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RELX Plc reported strong financial results for fiscal year 2025, with revenue of $9.59 billion and net profit of $2.08 billion. The company generated a gross profit of $6.36 billion from its $9.59 billion in revenue, representing a gross margin of 66.3%. Operating profit was $3.03 billion, resulting in an operating margin of 31.6%. The company's cash flow from operations was robust at $2.84 billion, though significant cash was used in financing activities ($2.05 billion) primarily for share repurchases ($1.50 billion) and dividend payments ($1.18 billion). The balance sheet shows total assets of $14.76 billion with net assets of $2.39 billion, supported by shareholders' equity of $2.37 billion. Debt levels include current debt of $1.57 billion and non-current debt of $5.70 billion. The company ended the year with $334 million in cash and cash equivalents.
EPS
$1
Revenue
$9.59B
Net Income
$2.08B
Gross Margin
66.3%
Gross Profit
$6.36B
free cash flow
$2.07B
Operating Income
$3.03B
operating margin
31.6%