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Balance Sheet - BARCLAYS PLC (BCS)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 407.56 509.67 -75.01 84.31 74.15 457.38 2,402.44 395.37 394.29 196.05 156.26 289.92 366.82 410.54 415.34 479.04 374.89 346.64 382.62 359.87
Accounts receivable, net 0.28 0.39 0.26 0.48 0.41 0.80 0.48 0.56 4.57 1.54 1.50 1.81 1.38 1.59 5.30 4.44 5.02
Inventories 0.00 0.00 0.00 0.00 0.00
Other current assets 822.47 510.84 805.57 743.32 731.83 580.56 562.23 2.39 2.89 3.01 3.61 3.92 4.08 4.57 5.14 6.36 0.88 0.55 0.66
Total current assets 407.84 509.67 510.84 256.35 238.57 191.13 150.26 395.37 396.68 198.94 159.27 293.53 370.74 414.62 419.91 485.57 382.84 352.81 387.62 365.55
Total non-current assets + 1,136.33 1,008.53 966.64 555.55 675.95 697.00 555.32 737.91 736.57 1,014.19 960.75 1,064.38 972.89 1,097.73 1,141.75 1,004.08 996.09 1,700.17 839.75 631.24
Total assets 1,544.17 1,518.20 1,477.49 1,513.70 1,384.29 1,349.51 1,140.23 1,133.28 1,133.25 1,213.13 1,120.01 1,357.91 1,343.63 1,512.35 1,561.65 1,489.65 1,378.93 2,052.98 1,227.36 996.79
Total current liabilities + 697.66 663.95 100.80 436.29 396.55 401.76 315.12 464.40 440.50 425.43 499.29 538.42 541.08 512.97 502.54 506.70 456.40 520.41 468.25 428.18
Total non-current liabilities + 768.27 781.77 1,314.92 1,444.44 111.63 92.14 94.53 605.10 626.73 716.33 554.86 753.52 738.60 939.40 996.10 920.68 864.05 1,485.16 726.63 541.22
Total liabilities 1,465.93 1,445.72 1,415.72 1,444.44 111.63 92.14 94.53 1,069.50 1,067.23 1,141.76 1,054.15 1,291.95 1,279.68 1,452.37 1,498.64 1,427.38 1,320.45 2,005.57 1,194.89 969.40
Total stockholders' equity + 77.78 71.82 61.77 69.26 1,272.66 1,257.38 1,045.70 62.56 63.91 64.87 59.81 59.57 55.39 50.62 53.41 50.86 47.28 36.62 23.29 19.80
Common shares outstanding 3,451 3,818 16 16,867 17,420 17,668 17,482 4,346 4,321 4,261 4,264 4,156 3,667 3,414 3,390 3,384 3,108 3,108 3,108 3,108
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Balance Sheet - BARCLAYS PLC (BCS)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06 Dec-05
Total cash and short-term investments + 426.40 407.56 867.54 225.72 434.27 509.67 406.04 445.49 449.67 -415.37 419.60 421.26 404.50 542.42 384.73 411.78 402.12 521.33 377.20 368.66 351.02 457.38 379.15 326.74 269.19 2,403.99 279.81 287.44 294.42 429.08 298.38 277.98 274.23 394.29 285.67 255.20 239.67 196.05 191.08 174.73 147.64 156.26 215.25 225.75 276.76 305.42 334.48 346.54 378.00 428.93 412.62 450.16 475.63 426.07 459.21 466.75 126.06 415.34 0.00 465.58 0.00 479.04 0.00 468.01 0.00 374.89 320.37 0.00 346.64 0.00 8.91 0.00 382.62 0.00 7.32 7.32 359.87 0.00 9.38 0.00 321.52
Accounts receivable, net 0.23 0.28 0.11 0.31 0.39 0.45 0.55 0.34 0.26 0.21 0.23 0.17 0.48 0.63 0.56 0.51 0.41 5.83 11.62 15.59 1.66 0.70 0.75 0.51 2.64 2.84 1.64 1.36 2.03 1.13 1.54 1.22 1.43 1.54 1.50 2.60 2.60 1.32 1.38 0.96 1.59 2.00 5.30 4.44 5.02 3.90
Inventories 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1.34 0.51 5.61 89.28 94.10 89.32 91.14 6.53
Other current assets 0.22 596.14 587.39 510.84 560.55 816.49 534.43 805.57 553.01 544.95 136.29 634.20 119.20 446.81 112.66 732.40 801.74 134.95 157.16 88.15 1,128.62 1,375.58 1,981.69 170.17 126.64 123.78 87.67 2.39 0.38 3.07 71.21 2.89 72.30 2.90 63.38 3.01 3.78 20.02 5.09 5.22 5.58 5.58 5.89 5.89 4.57 6.16 5.14 6.36 0.88 0.55 0.66 0.72
Total current assets 426.63 407.84 867.76 225.72 434.27 509.67 406.04 445.49 449.67 510.84 262.80 252.83 265.87 256.35 257.07 283.14 402.12 521.33 377.20 368.66 351.02 457.38 379.15 326.74 151.81 151.81 279.81 287.44 294.42 177.07 298.38 277.98 274.23 396.68 285.67 258.27 239.67 198.94 191.08 177.62 147.64 159.27 215.25 229.53 276.76 34.57 334.48 351.63 378.00 56.62 412.62 455.74 72.46 72.46 459.21 475.24 128.66 419.91 473.06 485.57 468.97 382.84 322.37 352.81 8.91 387.62 7.32 7.32 365.55 9.38 326.14
Total non-current assets + 1,268.16 1,136.33 761.39 1,372.98 1,159.22 1,008.53 1,125.10 1,131.15 1,127.45 966.64 814.78 804.45 719.20 555.55 865.99 806.59 1,093.97 862.96 1,029.32 1,007.67 1,028.63 892.14 1,042.52 1,058.38 729.54 729.54 1,010.54 945.38 899.12 393.98 872.40 871.59 867.97 736.57 863.59 877.05 964.12 1,014.19 1,132.96 1,173.66 1,101.23 960.75 1,021.28 967.19 1,139.65 730.88 1,031.25 963.27 983.95 597.61 992.21 1,076.99 762.98 762.98 1,139.93 1,156.02 767.17 1,141.75 1,019.87 1,004.08 1,118.18 996.09 1,222.97 1,700.17 1,356.74 839.75 1,150.94 370.98 631.24 976.75 598.22
Total assets 1,694.79 1,544.17 1,629.15 1,598.70 1,593.49 1,518.20 1,531.14 1,576.63 1,577.12 1,477.49 1,591.72 1,549.71 1,539.05 1,513.70 1,726.90 1,589.23 1,496.10 1,384.29 1,406.51 1,376.33 1,379.66 1,349.51 1,421.67 1,385.12 1,444.30 1,444.30 1,290.35 1,232.82 1,193.54 1,133.28 1,170.78 1,149.57 1,142.20 1,133.25 1,149.26 1,135.32 1,203.79 1,213.13 1,324.04 1,351.28 1,248.88 1,120.01 1,236.53 1,196.72 1,416.41 1,416.41 1,365.73 1,314.90 1,361.95 1,361.95 1,404.84 1,532.73 1,596.12 1,596.12 1,599.14 1,631.27 1,631.27 1,561.65 1,492.92 1,492.92 1,489.65 1,489.65 1,587.15 1,587.15 1,378.93 1,378.93 1,545.34 2,052.98 2,052.98 1,365.65 1,365.65 1,227.36 1,227.36 1,158.26 1,158.26 1,158.26 996.79 986.12 986.12 924.14 924.36
Total current liabilities + 671.67 697.66 1,088.80 633.84 644.81 663.95 607.04 616.77 622.27 100.80 109.18 367.27 119.03 436.29 115.50 105.65 624.57 602.85 572.05 557.88 559.49 550.15 545.67 518.52 991.15 940.66 463.69 456.32 459.03 1,947.71 443.51 433.82 426.66 440.50 537.80 526.22 537.14 425.43 538.55 533.56 505.42 499.29 543.16 536.07 561.03 997.27 558.93 562.62 577.78 903.53 568.75 597.95 13.74 4.87 556.80 556.44 502.54 450.58 506.70 434.90 456.40 469.61 520.41 409.23 468.25 379.87 428.18 339.42 392.81
Total non-current liabilities + 945.99 768.27 463.52 888.51 873.14 781.77 852.47 888.03 882.51 1,314.92 114.01 116.04 126.72 1,444.44 1,658.90 1,518.63 802.09 711.40 764.70 750.34 754.00 732.49 806.94 797.06 1,374.70 1,374.70 759.25 707.71 668.63 1,069.50 661.98 652.59 653.91 626.73 544.41 542.83 595.29 716.33 715.37 748.30 675.09 554.86 625.29 595.08 788.29 1,349.32 740.28 687.25 719.29 1,297.06 777.87 874.64 1,534.69 1,534.69 978.64 1,011.14 1,567.58 996.10 980.35 920.68 1,091.17 864.05 1,027.04 1,485.16 923.61 726.63 749.67 1,129.54 541.22 621.16 507.12
Total liabilities 1,617.67 1,465.93 1,552.31 1,522.35 1,517.95 1,445.72 1,459.50 1,504.80 1,504.78 1,415.72 114.01 116.04 126.72 1,444.44 1,658.90 1,518.63 1,426.66 1,314.24 1,336.75 1,308.22 1,313.49 1,282.63 1,352.61 1,315.58 1,374.70 1,374.70 1,222.93 1,164.03 1,127.66 1,069.50 1,105.49 1,086.40 1,080.57 1,067.23 1,082.21 1,069.05 1,132.43 1,141.76 1,253.92 1,281.86 1,180.51 1,054.15 1,168.45 1,131.14 1,349.32 1,349.32 1,299.20 1,249.87 1,297.06 1,297.06 1,346.62 1,472.60 1,534.69 1,534.69 1,535.43 1,567.58 1,567.58 1,498.64 1,430.93 1,427.38 1,526.07 1,320.45 1,496.65 2,005.57 1,332.83 1,194.89 1,129.54 1,129.54 969.40 960.59 899.93
Total stockholders' equity + 76.67 77.78 76.39 75.91 74.88 71.82 70.97 71.17 71.68 57.95 68.32 67.67 69.70 68.29 67.03 69.63 68.47 69.05 68.70 67.05 65.11 65.80 67.82 68.30 68.37 68.37 66.20 67.58 64.66 62.56 63.17 61.06 59.52 63.91 64.65 63.87 65.54 64.87 63.93 62.85 62.17 59.81 61.95 59.28 60.69 60.69 59.57 58.07 56.39 56.39 49.44 51.08 52.14 52.14 54.30 54.21 54.21 53.41 51.57 50.86 49.59 47.28 37.70 36.62 22.29 23.29 20.97 20.97 19.80 17.99 17.43
Common shares outstanding 3,432 3,471 3,511 3,553 3,579 3,818 3,662 3,963 3,746 15,092 3,851 3,889 3,943 4,171 4,171 4,171 4,171 4,266 4,266 4,303 4,323 4,325 4,325 4,324 4,321 4,321 4,298 4,295 4,278 4,278 4,278 4,259 4,259 4,259 4,259 4,231 4,231 4,231 4,172 4,009 4,210 4,205 4,205 4,009 4,009 4,009 4,009 3,987 4,021 4,021 3,389 3,389 3,329 3,329 3,310 3,310 3,310 3,300 3,300 3,222 3,222 3,222 3,222 3,812 4,075 3,592 3,108 3,164 3,108 3,108 3,108 3,108 3,108 3,108 3,108 3,108 3,108 3,108 3,108 3,108 3,108
about 5 hours ago