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nasdaq-bcs
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Barclays PLC
BCS
18.940
USD
-0.090
-0.47%
Cierre 07/22, 16:00(ET)
Cotizaciones retrasadas 15 min
0.000
USD
0.000
Pre-mercado 07/23, 09:30 (ET)
68.28B
Cap. mercado
9.51
P/E TTM
Barclays PLC
18.940
-0.090
-0.47%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
-26.26%
-39.31B
61.24%
47.52B
17.22%
-31.13B
-63.52%
29.47B
-376.53%
-37.61B
49.53%
80.78B
454.37%
13.60B
-22.26%
54.02B
11.06%
-3.84B
1737.92%
69.49B
-142.83%
-4.31B
95.91%
3.78B
-70.34%
10.07B
-95.61%
1.93B
503.20%
33.96B
71.44%
43.95B
-245.84%
-8.42B
38.39%
25.64B
132.23%
5.78B
1772.10%
18.52B
68.61%
-17.92B
-94.23%
989.53M
19.81%
-57.09B
-65.03%
17.14B
--
-71.20B
--
49.01B
Ingresos netos por operaciones continuas
100.93%
5.02B
-5.19%
5.33B
-35.06%
2.50B
16.09%
5.62B
-17.74%
3.85B
-29.88%
4.84B
99.95%
4.68B
331.06%
6.91B
38.42%
2.34B
-58.88%
1.60B
-28.77%
1.69B
70.90%
3.90B
50.15%
2.37B
-22.56%
2.28B
6.16%
1.58B
-0.42%
2.94B
166.76%
1.49B
-37.67%
2.96B
-460.71%
-2.23B
13.68%
4.74B
-121.09%
-397.92M
61.16%
4.17B
1700.66%
1.89B
88.58%
2.59B
--
-117.86M
--
1.37B
Otros artículos no monetarios
-67.23%
2.12B
-49.37%
6.29B
494.04%
6.47B
234.64%
12.43B
42.51%
-1.64B
-196.44%
-9.23B
--
-2.86B
631.00%
9.57B
--
--
-369.41%
-1.80B
--
--
-110.29%
-384.04M
--
--
185.09%
3.73B
--
--
110.25%
1.31B
-200.14%
-9.42B
-379.72%
-12.78B
50.06%
9.41B
55.53%
4.57B
-36.47%
6.27B
441.84%
2.94B
-26.34%
9.87B
-91.44%
542.02M
--
13.40B
--
6.33B
Cambio en el capital de trabajo
-15.20%
-45.49B
208.81%
36.58B
-0.04%
-39.49B
-86.18%
11.85B
-412.69%
-39.48B
122.39%
85.69B
319.74%
12.62B
-45.06%
38.53B
4.98%
-5.75B
11514.08%
70.13B
-173.87%
-6.05B
115.70%
603.87M
-74.90%
8.19B
-109.53%
-3.85B
--
32.62B
12.06%
40.36B
--
--
238.92%
36.02B
--
--
306.66%
10.63B
67.14%
-22.22B
-133.76%
-5.14B
18.98%
-67.64B
-64.33%
15.24B
--
-83.48B
--
42.71B
Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
-26.26%
-39.31B
61.24%
47.52B
17.22%
-31.13B
-63.52%
29.47B
-376.53%
-37.61B
49.53%
80.78B
454.37%
13.60B
-22.26%
54.02B
11.06%
-3.84B
1737.92%
69.49B
-142.83%
-4.31B
95.91%
3.78B
-70.34%
10.07B
-95.61%
1.93B
503.20%
33.96B
71.44%
43.95B
-245.84%
-8.42B
38.39%
25.64B
132.23%
5.78B
1772.10%
18.52B
68.61%
-17.92B
-94.23%
989.53M
19.81%
-57.09B
-65.03%
17.14B
--
-71.20B
--
49.01B
Flujo de efectivo por actividades de inversión
Flujo de efectivo neto de otras actividades de inversión
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-119.08%
-22.08B
--
--
-492.16%
-10.08B
-93.25%
1.92B
-87.53%
2.57B
167.91%
28.51B
199.68%
20.61B
105.22%
10.64B
-266.00%
-20.67B
154.39%
5.18B
148.50%
12.45B
-20.96%
-9.53B
-657.51%
-25.68B
--
-7.88B
--
-3.39B
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
81.47%
-2.00B
-13.37%
-20.66B
-36.78%
-10.82B
6.00%
-18.22B
-175.76%
-7.91B
-312.29%
-19.38B
217.95%
10.44B
79.08%
-4.70B
-1.98%
-8.85B
-1.81%
-22.48B
-178.16%
-8.68B
-119.08%
-22.08B
477.39%
11.10B
-492.16%
-10.08B
-93.25%
1.92B
-87.53%
2.57B
167.91%
28.51B
199.68%
20.61B
105.22%
10.64B
-266.00%
-20.67B
154.39%
5.18B
148.50%
12.45B
-20.96%
-9.53B
-657.51%
-25.68B
--
-7.88B
--
-3.39B
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
153.12%
797.55M
189.19%
209.97M
-120.64%
-1.50B
96.70%
-235.42M
100.05%
7.28B
-100.79%
-7.14B
794.66%
3.64B
-190.05%
-3.55B
-131.98%
-523.59M
600.38%
3.95B
150.87%
1.64B
86.66%
-788.78M
-462.33%
-3.22B
-1737.18%
-5.91B
77.52%
888.26M
114.74%
361.03M
-64.00%
500.38M
-1.64%
-2.45B
199.97%
1.39B
34.40%
-2.41B
-112.32%
-1.39B
-96.33%
-3.67B
595.10%
11.28B
69.25%
-1.87B
--
1.62B
--
-6.09B
Flujo de efectivo neto de otras actividades de financiación
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
86.66%
-788.78M
--
--
-1737.18%
-5.91B
77.52%
888.26M
114.74%
361.03M
-64.00%
500.38M
-1.64%
-2.45B
199.97%
1.39B
34.40%
-2.41B
-112.32%
-1.39B
-96.33%
-3.67B
595.10%
11.28B
69.25%
-1.87B
--
1.62B
--
-6.09B
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
153.12%
797.55M
189.19%
209.97M
-120.64%
-1.50B
96.70%
-235.42M
100.05%
7.28B
-100.79%
-7.14B
794.66%
3.64B
-190.05%
-3.55B
-131.98%
-523.59M
600.38%
3.95B
150.87%
1.64B
86.66%
-788.78M
-462.33%
-3.22B
-1737.18%
-5.91B
77.52%
888.26M
114.74%
361.03M
-64.00%
500.38M
-1.64%
-2.45B
199.97%
1.39B
34.40%
-2.41B
-112.32%
-1.39B
-96.33%
-3.67B
595.10%
11.28B
69.25%
-1.87B
--
1.62B
--
-6.09B
Flujo de efectivo neto
Saldo de efectivo inicial
-6.55%
335.03B
-11.48%
313.53B
-3.80%
358.52B
12.23%
354.18B
15.94%
372.67B
8.61%
315.58B
3.84%
321.44B
40.65%
290.56B
29.98%
309.56B
-22.93%
206.58B
6.02%
238.17B
-0.81%
268.03B
-7.83%
224.66B
43.97%
270.23B
58.86%
243.74B
62.98%
187.70B
38.38%
153.43B
-6.56%
115.17B
-17.43%
110.88B
-11.85%
123.25B
-32.31%
134.28B
-25.40%
139.82B
-29.62%
198.37B
-20.26%
187.44B
--
281.87B
--
235.06B
Cambios en el flujo de efectivo del período actual
1.55%
-41.52B
607.95%
25.02B
-22.67%
-42.18B
-94.43%
3.53B
-216.75%
-34.38B
66.46%
63.40B
238.68%
29.45B
-37.36%
38.09B
-29.55%
-21.23B
433.27%
60.80B
-171.83%
-16.39B
-35.09%
-18.24B
-28.52%
22.82B
-129.59%
-13.51B
26.73%
31.92B
-15.82%
45.64B
45.16%
25.19B
1195.89%
54.21B
237.88%
17.35B
-166.26%
-4.95B
79.12%
-12.59B
241.49%
7.47B
24.62%
-60.29B
-114.78%
-5.28B
--
-79.98B
--
35.71B
Efecto de los cambios del tipo de cambio
-179.35%
-1.01B
72.54%
-2.05B
-66.97%
1.27B
-181.81%
-7.48B
117.12%
3.86B
219.08%
9.14B
122.13%
1.78B
-178.01%
-7.68B
-59.34%
-8.02B
1067.61%
9.84B
-203.59%
-5.04B
52.19%
843.09M
200.22%
4.86B
140.33%
553.96M
-206.28%
-4.85B
-113.89%
-1.37B
79.01%
4.56B
2644.77%
9.89B
65.44%
2.55B
83.13%
-388.51M
131.14%
1.54B
-144.88%
-2.30B
-84.67%
-4.95B
234.05%
5.13B
--
-2.68B
--
-3.83B
Saldo de efectivo final
-6.63%
294.77B
-5.39%
338.54B
-6.39%
315.69B
-4.60%
357.82B
-3.83%
337.25B
14.17%
375.07B
22.05%
350.68B
23.31%
328.53B
30.06%
287.33B
6.52%
266.42B
-10.62%
220.91B
-2.77%
250.12B
-10.61%
247.15B
9.49%
257.26B
55.52%
276.47B
41.97%
234.96B
39.36%
177.77B
40.07%
165.49B
4.38%
127.57B
-19.88%
118.15B
-9.71%
122.21B
-19.08%
147.48B
-32.41%
135.35B
-32.66%
182.24B
--
200.26B
--
270.63B
Flujo de caja libre
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
95.91%
3.78B
--
--
-95.61%
1.93B
503.20%
33.96B
71.44%
43.95B
-245.84%
-8.42B
38.39%
25.64B
132.23%
5.78B
1772.10%
18.52B
68.61%
-17.92B
-94.23%
989.53M
19.81%
-57.09B
-65.03%
17.14B
--
-71.20B
--
49.01B
Unidad monetaria
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Opiniones de evaluación
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