7321
19115
897
43.112
126.08
158.3
406.65
85.4



Lloyds Banking Group PLC Fundamentals



  • Open
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  • 6/29/2022 1:25:00pm




    • 2021-12-31
    • 2020-12-31
    • 2019-12-31
    • 2018-12-31
    • 2017-12-31
    • 2016-12-31
    • 2015-12-31
    • 2014-12-31
    • 2013-12-31
    • 2012-12-31

    Balance Sheet (2021-12-31)Currency GBPTotal Assets 886525mIntangible Assets 4196mOther Current Assets 6015mTotal Liabilities 833373mTotal Stock Holder Equity 52917mDeferred Long Term Liabilities 64mOther Current Liabilities 61628mCommon Stock 7102mRetained Earnings 10241mOther Liabilities 145897mGood Will 2320mOther Assets 886525mCash In Bank 76567mTotal Current Liabilities 620654mNet Debt 9414mShort Long Term Debt Total 85981mOther Stock Holder Equity 35574mProperty Plant Equipment 7965mTotal Current Assets 202382mLong Term Investments 264146mNet Tangible Assets 46401mNet Receivables 510mAccounts Payable 483991mNon Current Liabilities Total 85981mLiabilities And Stockholders Equity 886290mCash And Short Term Investments 76567mNet Invested Capital 138898mCommon Stock Shares Outstanding 70606m
    Cash Flow (2021-12-31)Currency GBPInvestments -2545mChange To Liabilities 0.00Total Cash From Investing Activities -2545mNet Borrowings -557mTotal Cash From Financing Activities -3234mChange To Operating Activities -19676mNet Income 5784mChange In Cash 912mBegin Period Cash Flow 75467mEnd Period Cash Flow 76379mTotal Cash Flow From Operating Activities 6621mDepreciation 1933mDividends Paid -1306mSale Purchase Of Stock 0.00Other Cash Flow From Financing Activities -897mChange To Net Income 3560mCapital Expenditures 3228mChange In Working Capital -5548mOther Non Cash Items 6385mFree Cash Flow 3393m
    Income Statement (2021-12-31)Currency GBPIncome Before Tax 6902mMinority Interest -101mNet Income 5784mSelling General Administrative 371mReconciled Depreciation 2825mEarnings Before Interest, Taxes, Depreciation And Amortization 10693mOther Operating Expenses 2301mInterest Expense 3892mTax Provision 1017mInterest Income 13258mNet Interest Income 9366mIncome Tax Expense 1017mTotal Revenue 37444mTotal Operating Expenses 31920mNet Income From Continuing Operations 5885mNet Income Applicable To Common Shares 5355m
    Earnings (2021-12-31)Earnings Per Share 0.0712

    Balance Sheet (2020-12-31)Currency GBPTotal Assets 871269mIntangible Assets 4140mEarning Assets 260665mOther Current Assets 576779mTotal Liabilities 821856mTotal Stock Holder Equity 49184mDeferred Long Term Liabilities 74mOther Current Liabilities 54301mCommon Stock 7084mRetained Earnings 4584mOther Liabilities 138551mGood Will 2320mOther Assets 1092203mCash In Bank 73556mTotal Current Liabilities 601993mNet Debt 28374mShort Long Term Debt Total 101930mOther Stock Holder Equity 37516mProperty Plant Equipment 8407mTotal Current Assets 650335mLong Term Investments 206067mNet Tangible Assets 42724mNet Receivables 959mLong Term Debt 101658mAccounts Payable 463398mAccumulated Other Comprehensive Income -5848mCommon Stock Total Equity 7084mNon Currrent Assets Other -220934mNon Current Assets Total 220934mNon Current Liabilities Total 101930mCapital Surpluse 17863mLiabilities And Stockholders Equity 871040mCash And Short Term Investments 73556mProperty Plant And Equipment Gross 8407mProperty Plant And Equipment Net 8407mNet Invested Capital 149880mCommon Stock Shares Outstanding 71256m
    Cash Flow (2020-12-31)Currency GBPInvestments -2242mChange To Liabilities 0.00Total Cash From Investing Activities -4000mNet Borrowings -3874mTotal Cash From Financing Activities -5319mChange To Operating Activities -10690mNet Income 1318mChange In Cash 17656mBegin Period Cash Flow 57811mEnd Period Cash Flow 75467mTotal Cash Flow From Operating Activities 27171mDepreciation 2732mOther Cash Flow From Investing Activities -1099mDividends Paid -453mSale Purchase Of Stock 144mOther Cash Flow From Financing Activities -1136mChange To Net Income 6034mCapital Expenditures 2901mChange In Working Capital 17087mOther Non Cash Items 6034mFree Cash Flow 24270m
    Income Statement (2020-12-31)Currency GBPIncome Before Tax 1226mMinority Interest 229mNet Income 1318mSelling General Administrative 189mSelling And Marketing Expenses 187mReconciled Depreciation 2732mEarnings Before Interest And Taxes 4714mEarnings Before Interest, Taxes, Depreciation And Amortization 7446mDepreciation And Amortization 2732mOther Operating Expenses 9018mInterest Expense 3557mTax Provision -161mInterest Income 14481mNet Interest Income 10749mIncome Tax Expense -161mTotal Revenue 29174mTotal Operating Expenses 23261mNet Income From Continuing Operations 1387mNet Income Applicable To Common Shares 865m
    Earnings (2020-12-31)Earnings Per Share 0.0154

    Balance Sheet (2019-12-31)Currency GBPTotal Assets 833893mIntangible Assets 3808mEarning Assets 245869mOther Current Assets 568744mTotal Liabilities 786087mTotal Stock Holder Equity 47603mDeferred Long Term Liabilities 83mOther Current Liabilities 51601mCommon Stock 7005mRetained Earnings 3246mOther Liabilities 135014mGood Will 2324mOther Assets 1043599mCash In Bank 55443mTotal Current Liabilities 559545mNet Debt 58172mShort Term Debt 23734mCurrent Debt 23734mShort Long Term Debt Total 113615mOther Stock Holder Equity 37352mProperty Plant Equipment 9551mTotal Current Assets 624187mLong Term Investments 194023mNet Tangible Assets 41471mShort Term Investments 55584mNet Receivables 320mLong Term Debt 114819mAccounts Payable 421874mAccumulated Other Comprehensive Income -5474mCommon Stock Total Equity 7005mNon Currrent Assets Other -194023mNon Current Assets Total 209706mLong Term Debt Total 114819mNon Current Liabilities Total 113615mCapital Surpluse 17751mLiabilities And Stockholders Equity 833690mCash And Short Term Investments 55443mProperty Plant And Equipment Gross 9551mProperty Plant And Equipment Net 9551mNet Invested Capital 161520mCommon Stock Shares Outstanding 71285m
    Cash Flow (2019-12-31)Currency GBPInvestments -99mChange To Liabilities 0.00Total Cash From Investing Activities -2130mNet Borrowings -818mTotal Cash From Financing Activities -6559mChange To Operating Activities -12402mNet Income 2925mChange In Cash 2587mBegin Period Cash Flow 55224mEnd Period Cash Flow 57811mTotal Cash Flow From Operating Activities 11281mDepreciation 2660mOther Cash Flow From Investing Activities 1312mDividends Paid -2778mSale Purchase Of Stock -1095mOther Cash Flow From Financing Activities -1904mChange To Net Income 13103mCapital Expenditures 3442mChange In Working Capital -7407mOther Non Cash Items 13103mFree Cash Flow 7839m
    Income Statement (2019-12-31)Currency GBPIncome Before Tax 4393mMinority Interest 203mNet Income 2925mSelling General Administrative 226mSelling And Marketing Expenses 170mGross Profit 16984mReconciled Depreciation 2660mEarnings Before Interest And Taxes 10993mEarnings Before Interest, Taxes, Depreciation And Amortization 13653mDepreciation And Amortization 2660mOperating Income 4593mOther Operating Expenses 11848mInterest Expense 6681mTax Provision 1387mInterest Income 16861mNet Interest Income 10180mIncome Tax Expense 1387mTotal Revenue 42066mTotal Operating Expenses 36196mCost Of Revenue 187mNet Total Other Income Expenses -200mNet Income From Continuing Operations 3006mNet Income Applicable To Common Shares 2459m
    Earnings (2019-12-31)Earnings Per Share 0.0442









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