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Barclays PLC
BMV:BCSN

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Barclays PLC
BMV:BCSN
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Price: 464.45 MXN -2.25% Market Closed
Market Cap: Mex$1.7T

Cash Flow Statement

Cash Flow Statement
Barclays PLC

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Cash Flow Statement
Currency: GBP
Dec-2000 Jun-2001 Dec-2001 Jun-2002 Dec-2002 Jun-2003 Dec-2003 Jun-2004 Dec-2004 Jun-2005 Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024 Dec-2024 Jun-2025
Operating Cash Flow
Net Income
0
1 933
3 438
0
3 218
0
3 812
0
4 580
0
5 280
0
7 136
4 101
6 223
4 399
5 136
5 604
4 585
5 787
5 999
4 696
5 770
3 997
797
1 603
2 868
3 692
1 312
1 413
1 146
607
3 230
3 508
3 541
2 859
3 494
4 849
4 357
2 615
3 065
6 772
8 414
7 168
7 012
7 841
6 557
6 210
8 108
9 096
Depreciation & Amortization
0
260
528
0
545
0
554
0
328
0
450
0
612
0
651
0
885
0
1 196
0
1 346
0
1 104
0
1 119
0
1 274
0
1 108
0
1 215
0
1 261
0
1 241
0
1 261
0
1 520
0
1 734
0
2 076
0
1 786
0
2 147
0
1 734
0
Stock-Based Compensation
0
0
0
0
0
0
0
0
0
0
338
0
640
0
477
0
225
0
286
0
860
0
906
0
818
0
727
0
662
0
532
0
666
0
508
0
450
0
481
0
431
0
477
0
513
0
479
0
507
0
Other Non-Cash Items
0
(498)
762
0
447
0
852
0
602
0
1 450
0
1 385
716
(1 378)
(28)
(19 186)
5 890
3 125
11 691
(6 222)
3 027
6 971
9 212
14 232
8 762
3 352
7 990
7 662
3 497
(669)
246
(19 974)
16 568
9 822
1 675
(5 465)
(297)
4 919
(1 431)
(3 457)
6 900
(677)
(9 212)
(18 645)
8 686
17 179
10 141
(4 419)
11 110
Cash Taxes Paid
636
545
1 004
947
828
935
910
0
690
0
1 082
0
2 141
3 101
1 254
1 049
1 404
1 322
1 177
1 232
1 458
1 620
1 686
1 685
1 516
1 421
1 558
1 350
1 552
1 722
1 670
1 308
780
916
708
350
548
636
228
319
683
1 044
1 335
1 024
688
633
836
1 030
1 283
1 455
Cash Interest Paid
0
0
0
0
607
0
606
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Change in Working Capital
7 851
3 205
(2 528)
3 545
1 747
4 833
(9 017)
(1 755)
3 948
24 255
(3 531)
(4 905)
914
(1 071)
(16 933)
(14 924)
46 643
16 278
32 562
50 438
17 563
18 521
15 234
15 043
(29 668)
(43 871)
(32 436)
(47 131)
(18 668)
(626)
11 821
19 213
27 174
8 400
46 208
22 641
9 898
8 872
(11 298)
50 254
56 163
26 181
39 106
74 277
40 078
(24 639)
(26 810)
(3 619)
1 690
(30 361)
Cash from Operating Activities
7 851
N/A
2 661
-66%
2 200
-17%
1 850
-16%
5 957
+222%
4 833
-19%
(3 799)
N/A
(1 755)
+54%
9 458
N/A
24 255
+156%
3 649
-85%
(4 905)
N/A
10 047
N/A
3 746
-63%
(11 437)
N/A
(10 553)
+8%
33 478
N/A
27 772
-17%
41 468
+49%
67 916
+64%
18 686
-72%
26 244
+40%
29 079
+11%
28 252
-3%
(13 520)
N/A
(33 506)
-148%
(24 942)
+26%
(35 449)
-42%
(8 586)
+76%
2 524
N/A
13 513
+435%
20 066
+48%
11 691
-42%
28 476
+144%
60 812
+114%
27 175
-55%
9 188
-66%
10 708
+17%
(502)
N/A
51 735
N/A
57 505
+11%
41 284
-28%
48 919
+18%
72 233
+48%
30 231
-58%
(8 112)
N/A
(927)
+89%
12 732
N/A
7 113
-44%
(10 155)
N/A
Investing Cash Flow
Capital Expenditures
0
(166)
(351)
0
(301)
0
(310)
0
(596)
0
(679)
0
(866)
0
(1 409)
0
(2 309)
0
(1 376)
0
(1 767)
0
(1 454)
0
(604)
0
(736)
0
(691)
0
(1 928)
0
(1 707)
0
(1 456)
0
(1 402)
0
(1 793)
0
(1 324)
0
(1 720)
0
(1 746)
0
(1 718)
0
(1 574)
0
Other Items
(7 063)
(462)
(973)
(2 600)
(7 068)
(5 718)
812
(4 548)
(6 390)
(14 084)
(4 613)
4 764
(288)
4 174
11 721
7 196
(6 353)
(17 912)
13 264
24 085
(3 860)
(24 913)
(458)
11 403
(6 493)
(21 575)
(21 909)
1 446
9 120
(12 528)
(4 623)
21 319
38 414
24 374
4 958
(5 873)
2 649
(8 496)
(22 172)
(24 734)
(17 052)
(3 921)
5 990
(7 280)
(19 927)
(21 518)
(21 696)
(24 963)
(16 312)
(5 737)
Cash from Investing Activities
(7 063)
N/A
(535)
+92%
(1 324)
-147%
(2 434)
-84%
(7 369)
-203%
(5 718)
+22%
502
N/A
(4 548)
N/A
(6 986)
-54%
(14 084)
-102%
(5 292)
+62%
4 764
N/A
(1 154)
N/A
4 174
N/A
10 312
+147%
7 196
-30%
(8 662)
N/A
(17 912)
-107%
11 888
N/A
24 085
+103%
(5 627)
N/A
(24 913)
-343%
(1 912)
+92%
11 403
N/A
(7 097)
N/A
(21 575)
-204%
(22 645)
-5%
1 446
N/A
8 429
+483%
(12 528)
N/A
(6 551)
+48%
21 319
N/A
36 707
+72%
24 374
-34%
3 502
-86%
(5 873)
N/A
1 247
N/A
(8 496)
N/A
(23 965)
-182%
(24 734)
-3%
(18 376)
+26%
(3 921)
+79%
4 270
N/A
(7 280)
N/A
(21 673)
-198%
(21 518)
+1%
(23 414)
-9%
(24 963)
-7%
(17 886)
+28%
(5 737)
+68%
Financing Cash Flow
Net Issuance of Common Stock
0
(123)
(45)
0
87
0
3 375
0
25
0
(5)
0
148
0
2 446
0
9 592
0
806
0
546
0
(194)
0
(882)
0
8 407
0
(454)
0
599
0
(327)
0
571
0
(2 104)
0
504
0
(248)
0
(556)
0
(928)
0
(1 998)
0
(3 350)
0
Net Issuance of Debt
0
1 470
2 203
0
1 251
0
748
0
(644)
0
715
0
2 127
0
2 161
0
4 383
0
(834)
0
920
0
(4 380)
0
(533)
0
(825)
0
(767)
0
323
0
314
0
1 663
0
(3 025)
0
2 098
0
3 916
0
2 023
0
3 602
0
2 868
0
6 395
0
Cash Paid for Dividends
0
(703)
(1 036)
(1 036)
(1 169)
(1 208)
(1 263)
0
(1 425)
0
(1 894)
0
(2 215)
0
(2 151)
0
(2 697)
0
(633)
0
(1 307)
0
(1 387)
0
(1 427)
0
(1 672)
0
(1 688)
0
(1 496)
0
(1 304)
0
(1 273)
0
(1 658)
0
(1 912)
0
(936)
0
(1 360)
0
(1 978)
0
(2 259)
0
(2 261)
0
Other
437
445
0
2 658
35
1 410
65
5 253
705
(769)
2 267
(177)
632
(164)
1 331
6 265
1 356
8 366
0
(699)
0
(1 272)
0
(6 973)
0
(193)
0
4 920
104
(2 084)
0
(802)
0
679
0
(3 626)
0
(3 097)
0
4 433
0
(2 963)
0
(2 831)
0
6 005
0
(1 032)
0
4 338
Cash from Financing Activities
437
N/A
2 052
+370%
1 122
-45%
275
-75%
204
-26%
202
-1%
2 925
+1 348%
4 791
+64%
(1 339)
N/A
(769)
+43%
1 083
N/A
(177)
N/A
692
N/A
(164)
N/A
3 787
N/A
6 265
+65%
12 634
+102%
8 366
-34%
(661)
N/A
(699)
-6%
159
N/A
(1 272)
N/A
(5 961)
-369%
(6 973)
-17%
(2 842)
+59%
(193)
+93%
5 910
N/A
4 920
-17%
(2 805)
N/A
(2 084)
+26%
(574)
+72%
(802)
-40%
(1 317)
-64%
679
N/A
961
+42%
(3 626)
N/A
(6 787)
-87%
(3 097)
+54%
690
N/A
4 433
+542%
2 732
-38%
(2 963)
N/A
107
N/A
(2 831)
N/A
696
N/A
6 005
+763%
(1 389)
N/A
(1 032)
+26%
784
N/A
4 338
+453%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
(305)
(470)
(704)
(237)
(84)
562
752
(537)
(754)
(6 018)
225
(2 864)
(5 947)
3 842
(488)
(2 933)
(3 778)
(4 111)
1 640
198
(4 505)
(313)
1 092
1 689
8 561
10 473
2 484
(4 773)
(3 278)
4 160
4 409
(3 347)
3 815
1 668
(11 681)
(4 232)
8 350
10 330
(2 786)
(5 053)
(608)
(2 407)
(3 415)
Net Change in Cash
1 225
N/A
4 178
+241%
1 998
-52%
(309)
N/A
(1 208)
-291%
(683)
+43%
(372)
+46%
(1 817)
-388%
663
N/A
8 698
+1 212%
(797)
N/A
(402)
+50%
10 147
N/A
8 508
-16%
2 125
-75%
2 154
+1%
31 432
+1 359%
18 451
-41%
49 831
+170%
85 355
+71%
17 060
-80%
(429)
N/A
18 273
N/A
28 904
+58%
(27 570)
N/A
(53 634)
-95%
(41 479)
+23%
(33 588)
+19%
(3 275)
+90%
(10 996)
-236%
8 077
N/A
49 144
+508%
57 554
+17%
56 013
-3%
60 502
+8%
14 398
-76%
7 808
-46%
3 524
-55%
(27 124)
N/A
35 249
N/A
43 529
+23%
22 719
-48%
49 064
+116%
70 472
+44%
19 584
-72%
(26 411)
N/A
(30 783)
-17%
(13 871)
+55%
(12 396)
+11%
(14 969)
-21%