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Shell plc

Income Statement - Shell plc (SHEL)

$(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 revenue 266.89 284.31 316.62 381.31 261.50 180.54 344.88 388.38 305.18 233.59 264.96 421.11 451.24 467.15 470.17 368.06 285.13 465.81 355.78 318.85
Cost of revenue 224.39 238.37 269.41 302.54 225.66 193.54 308.12 343.50 276.32 216.00 249.45 381.82 403.09 410.56 409.83 323.23 228.38 385.15 298.41 264.55
Gross profit 42.50 45.94 47.21 78.78 35.85 -13.00 36.76 44.88 28.86 17.59 15.51 39.29 48.14 56.60 60.35 44.83 56.75 80.66 57.37 54.29
Total operating expenses + 14.91 15.95 16.47 15.67 13.57 12.54 13.81 13.69 13.38 15.22 18.77 19.41 21.27 18.88 17.75 18.58 35.19 33.79 16.62 16.62
Operating income 27.58 29.99 30.74 63.11 22.28 -25.53 22.95 31.19 15.48 2.37 -3.26 19.88 26.87 37.72 42.60 26.24 21.56 46.87 40.75 37.68
Non-operating income (net) 2.17 -0.07 1.89 1.71 7.55 -1.44 2.54 4.43 2.65 3.24 5.31 8.44 6.72 12.79 12.95 9.10 -0.54 3.95 9.82 6.95
Income before tax 29.76 29.92 32.63 64.82 29.83 -26.97 25.49 35.62 18.13 5.61 2.05 28.31 33.59 50.51 55.54 35.34 21.02 50.82 50.58 44.63
Income tax expense 11.64 13.40 12.99 21.94 9.20 -5.43 9.05 11.72 4.70 0.83 -0.15 13.69 17.07 23.45 24.48 14.87 8.30 24.34 18.65 18.32
Net income 17.84 16.09 19.36 42.31 20.10 -21.68 15.84 23.35 12.98 4.58 1.94 15.05 16.37 26.59 30.92 20.13 12.52 26.28 31.33 25.44
Show Quarterly Income Statement

Income Statement - Shell plc (SHEL)

$(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 Sep-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
Total revenue 69.57 64.00 67.74 65.41 69.23 66.28 71.09 74.46 72.48 78.73 76.35 74.58 86.96 101.30 95.75 100.06 84.20 85.28 60.04 60.52 55.67 43.99 44.02 32.50 60.03 84.01 86.59 90.54 83.74 102.23 100.15 96.77 89.24 85.42 75.83 72.13 71.80 64.77 61.86 58.42 48.55 58.15 68.71 72.40 65.71 92.37 107.85 111.22 109.66 109.24 116.51 112.67 112.81 118.05 112.12 117.07 119.92 115.58 123.41 121.26 109.92 106.84 90.71 91.86 87.71 86.05 75.76 66.24 59.44 81.07 131.57 131.42 114.30 106.70 90.70 84.90 73.48 75.50 84.25 83.13 75.96
Cost of revenue 56.26 54.00 56.41 55.68 56.53 59.45 59.94 62.57 58.33 67.54 61.24 63.24 69.21 79.17 82.26 78.63 67.07 69.54 55.94 50.77 47.07 35.21 40.46 52.00 56.29 77.06 76.72 82.12 72.23 91.73 87.52 85.47 78.79 76.45 67.75 66.35 65.76 58.79 56.48 54.54 46.20 55.96 71.19 63.62 58.68 86.10 96.79 100.49 98.44 98.99 103.41 103.40 97.29 104.50 97.63 104.91 103.51 102.10 108.66 104.93 94.04 85.43 82.53 75.68 70.19 68.26 61.67 52.22 46.23 86.23 105.42 109.26 96.78 92.32 77.32 68.72 60.67 64.41 70.38 67.84 61.92
Gross profit 13.31 10.00 11.33 9.73 12.71 6.83 11.15 11.90 14.15 11.19 15.11 11.34 17.75 22.14 13.49 21.43 17.13 15.74 4.10 9.75 8.59 8.78 3.56 -19.50 3.74 6.95 9.88 8.42 11.51 10.50 12.63 11.30 10.45 8.97 8.08 5.78 6.03 5.98 5.38 3.88 2.36 2.18 -2.48 8.78 7.02 6.28 11.06 10.73 11.22 10.25 13.10 9.27 15.52 13.54 14.49 12.16 16.41 13.47 14.75 16.33 15.88 21.40 8.19 16.18 17.52 17.79 14.09 14.02 13.21 -5.15 26.15 22.57 17.85 14.39 13.38 16.18 12.81 11.09 13.87 15.29 14.04
Total operating expenses + 2.97 3.60 3.51 3.72 3.24 4.42 3.74 3.85 3.94 4.56 4.15 4.06 3.71 4.54 3.87 3.56 3.70 3.45 3.56 3.64 2.91 3.26 2.82 3.33 2.93 4.10 3.29 3.55 2.87 4.02 3.38 3.26 3.03 4.13 3.31 2.87 3.07 3.76 3.65 4.01 3.81 3.94 6.59 4.29 3.95 5.11 4.50 5.16 4.64 6.06 5.49 5.19 4.53 5.28 4.70 4.58 4.32 4.94 4.43 4.38 3.98 8.61 4.51 7.25 7.61 9.91 9.60 8.02 7.29 -10.46 17.30 4.85 4.29 2.00 3.84 5.70 4.41 3.44 4.61 4.68 3.88
Operating income 10.35 12.13 7.82 6.01 9.47 2.41 7.41 8.05 10.21 6.64 10.96 7.28 14.04 17.59 9.62 17.88 13.43 12.29 0.54 6.11 5.68 5.52 0.74 -22.83 0.81 2.85 6.58 4.88 8.64 6.48 9.25 8.04 7.42 4.83 4.77 2.91 2.97 2.22 1.72 -0.13 -1.45 -1.75 -9.07 4.49 3.08 1.17 6.56 5.58 6.58 4.19 7.61 4.07 11.00 8.26 9.79 7.58 12.10 8.54 10.32 11.95 11.90 12.80 3.67 8.92 9.91 7.88 4.49 6.01 5.92 5.31 8.84 17.31 13.23 12.39 9.54 10.48 8.40 7.66 9.26 10.61 10.16
Non-operating income (net) -1.04 -5.24 0.06 -0.04 -0.51 1.79 -0.14 -0.64 0.83 -5.00 0.34 -1.93 0.31 -1.15 1.82 8.28 -2.66 3.98 0.65 -1.98 2.56 -9.64 -0.30 -1.08 -0.19 -0.06 1.79 0.04 0.77 1.43 0.49 1.57 0.94 1.72 0.89 -0.36 0.40 1.21 0.14 1.09 0.81 1.51 -0.05 1.08 2.76 1.36 1.56 3.55 1.97 1.77 1.35 1.30 2.30 4.19 2.90 2.41 3.30 3.27 2.21 2.94 4.52 -1.54 1.71 -0.19 0.06 -3.00 0.08 -0.17 -0.18 -5.78 6.62 2.81 2.48 1.00 1.95 3.75 3.07 1.49 1.50 1.78 2.16
Income before tax 9.31 6.89 7.88 5.98 8.96 4.21 7.27 7.40 11.04 1.63 11.29 5.35 14.35 16.44 11.44 26.16 10.78 16.27 1.19 4.13 8.24 -4.12 0.44 -23.91 0.62 2.79 8.37 4.92 9.41 7.91 9.74 9.61 8.37 6.55 5.66 2.55 3.37 3.43 1.86 0.96 -0.64 -0.24 -9.12 5.57 5.84 2.53 8.12 9.12 8.55 5.96 8.96 5.37 13.30 12.45 12.68 9.98 15.40 11.81 12.54 14.89 16.42 11.26 5.39 8.73 9.97 4.87 4.57 5.84 5.73 -0.47 15.47 20.12 15.71 13.39 11.49 14.23 11.47 9.15 10.76 12.39 12.33
Income tax expense 3.56 2.71 2.49 2.33 4.08 3.16 2.88 3.75 3.60 1.10 4.12 2.20 5.58 5.98 4.59 7.92 3.46 4.67 1.51 0.57 2.45 -0.17 -0.10 -5.81 0.65 1.70 2.35 1.76 3.25 2.26 3.70 3.42 2.34 2.62 1.45 0.90 -0.27 1.82 0.43 -0.32 -1.10 -1.18 -1.73 1.46 1.30 2.11 3.69 3.78 4.00 4.14 4.23 3.63 5.07 5.66 5.39 5.87 6.52 5.34 5.51 6.14 7.50 4.41 1.82 4.25 4.40 2.86 1.28 1.94 2.22 2.49 6.99 8.36 6.51 4.76 4.45 5.42 4.03 3.64 4.51 4.87 5.31
Net income 5.68 4.13 5.29 3.60 4.78 0.93 4.29 3.52 7.36 0.47 7.04 3.13 8.71 10.41 6.74 18.04 7.12 11.46 -0.45 3.43 5.66 -4.01 0.49 -18.13 -0.02 0.97 5.88 3.00 6.00 5.59 5.84 6.02 5.90 3.81 4.09 1.55 3.54 1.54 1.38 1.18 0.48 0.94 -7.42 3.99 4.43 0.77 4.46 5.31 4.51 1.78 4.68 1.74 8.18 6.67 7.14 4.06 8.72 6.50 6.98 8.66 8.78 6.79 3.46 4.39 5.48 1.96 3.25 3.82 3.49 -2.81 8.45 11.56 9.08 8.47 6.92 8.67 7.28 5.28 5.94 7.32 6.89
about 2 months ago

Balance Sheet - Shell plc (SHEL)

$(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 + 30.22 39.11 43.69 64.11 30.98 18.91 4.56 26.74 20.31 19.13 31.75 21.61 9.70 18.55 11.29 3.08 -0.29 8.99 4.10 5.08
Accounts receivable, net 44.60 31.23 36.46 39.54 34.95 21.97 30.43 27.54 30.72 25.77 22.71 31.57 39.09 52.77 54.96 39.66
Inventories 22.22 23.43 26.02 31.89 25.26 19.46 24.07 21.12 25.22 21.78 15.82 19.70 30.01 30.78 28.98 29.35 27.41 19.34 31.50 23.22
Other current assets 10.14 34.16 32.86 54.26 31.59 18.70 20.13 22.08 19.15 19.90 23.07 26.90 24.54 12.63 79.51 70.10 59.33 82.04 74.24 59.67
Total current assets 107.17 127.93 134.12 165.94 128.77 91.95 92.69 97.48 95.40 86.57 93.36 99.78 103.34 114.73 119.78 112.89 96.46 116.57 115.40 91.89
Total non-current assets + 263.18 259.68 272.16 277.09 275.61 287.31 311.65 301.71 311.69 324.71 246.80 253.34 254.17 235.56 225.48 209.67 195.72 165.83 154.07 143.39
Total assets 370.35 387.61 406.27 443.02 404.38 379.27 404.34 399.19 407.10 411.28 340.16 353.12 357.51 350.29 345.26 322.56 292.18 282.40 269.47 235.28
Total current liabilities + 82.42 95.03 95.47 121.31 95.55 73.71 79.62 77.81 79.77 73.83 70.95 86.21 93.26 96.98 102.66 100.55 84.79 105.53 94.38 76.75
Total non-current liabilities + 112.62 112.41 122.44 129.12 133.51 147.02 134.25 118.85 129.52 148.94 105.09 94.12 83.11 77.13 71.60 72.23 69.26 48.01 49.12 43.58
Total liabilities 195.03 207.44 217.91 250.43 229.05 220.73 213.87 196.66 209.29 222.76 176.04 180.33 176.36 174.11 174.25 172.78 154.05 153.54 143.50 120.33
Total stockholders' equity + 174.39 178.31 186.61 190.47 171.97 155.31 186.48 198.65 194.36 186.65 162.88 171.97 180.05 174.75 169.52 148.01 136.43 127.29 123.96 105.73
Common shares outstanding 2,974 3,182 3,400 3,705 3,903 3,898 4,056 4,174 4,150 3,946 3,197 3,156 3,147 3,134 3,111 3,070 3,064 3,086 3,142 3,220
Show Quarterly Balance Sheet

Balance Sheet - Shell plc (SHEL)

$(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 Sep-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
Total cash and short-term investments + 23.12 30.22 33.05 32.68 35.60 39.11 42.25 38.15 39.95 38.77 26.80 38.52 42.07 64.11 35.98 32.28 38.36 36.97 38.07 34.10 30.99 18.91 35.71 27.94 21.81 4.56 4.30 18.47 21.47 26.74 19.11 19.47 21.93 20.31 20.70 23.99 19.60 19.13 19.98 15.22 11.02 31.75 31.85 18.46 19.87 21.61 19.03 6.30 11.92 9.70 14.28 12.54 17.61 18.55 18.84 65.66 64.56 11.29 65.99 19.47 16.61 13.44 0.90 2.69 -1.26 -0.29 4.58 0.96 10.39 15.19 1.62 2.78 8.54 9.66 9.05 10.35 6.90 9.00 7.78 8.63 10.03
Accounts receivable, net 53.89 44.60 45.29 45.57 48.25 31.23 46.78 50.62 53.18 36.46 52.08 52.38 61.74 39.54 66.70 66.71 63.48 34.95 46.37 43.69 40.14 21.97 33.03 32.38 36.80 30.43 40.69 43.14 44.52 27.54 51.10 48.65 45.07 30.72 41.34 36.93 39.25 25.77 38.65 40.36 35.58 22.71 36.70 41.84 40.32 31.57 52.06 56.83 56.09 39.09 55.34 54.14 58.16 52.77 70.97 54.96 39.66
Inventories 28.70 22.22 22.91 23.28 22.98 23.43 24.14 26.45 26.47 26.02 30.23 26.98 28.58 31.89 34.72 36.09 30.01 25.26 24.60 25.10 22.68 19.46 17.31 17.73 13.90 24.07 23.24 24.47 23.94 21.12 29.31 27.98 25.01 25.22 24.02 22.32 21.59 21.78 20.56 20.63 17.40 15.82 19.28 22.49 19.97 19.70 27.32 31.36 28.83 30.01 29.82 29.02 31.53 30.78 32.36 28.30 34.16 28.98 30.25 33.96 33.63 29.35 28.92 27.97 28.71 27.41 25.42 24.92 21.40 19.34 33.44 39.62 32.18 31.50 27.91 26.50 23.96 23.22 23.39 24.66 21.60
Other current assets 13.45 10.14 19.92 20.06 19.82 34.16 12.38 13.42 13.49 32.86 15.91 16.03 18.18 54.26 25.92 23.46 20.17 31.59 22.54 8.79 5.75 18.70 6.26 8.16 12.47 20.13 6.84 7.02 6.06 22.08 7.72 7.42 6.03 19.15 5.87 4.81 4.96 19.90 7.90 9.19 17.26 23.07 12.43 9.09 11.38 26.90 7.00 8.39 7.58 24.54 7.22 8.17 8.44 12.63 70.97 71.20 78.80 79.51 78.53 75.49 78.10 70.10 62.77 62.62 62.87 59.33 66.97 72.53 77.12 82.04 90.10 127.24 87.51 74.24 61.64 60.65 59.00 59.67 63.90 62.33 60.80
Total current assets 119.16 107.17 121.18 121.60 126.65 127.93 125.56 128.63 133.09 134.12 141.25 140.49 150.57 165.94 163.32 165.22 152.02 128.77 131.57 111.68 99.56 91.95 92.31 86.20 84.97 92.69 86.19 93.10 95.99 97.48 107.25 103.51 98.05 95.40 91.92 88.05 85.39 86.57 87.10 85.40 81.25 93.36 100.25 100.40 91.53 99.78 105.40 112.01 104.42 103.34 106.66 103.88 115.74 114.73 122.17 116.78 127.99 119.78 128.04 128.91 128.34 112.89 102.97 102.60 100.04 96.46 106.66 108.05 114.48 116.57 131.36 175.86 134.11 115.40 103.63 102.26 94.14 91.89 98.53 98.76 95.17
Total non-current assets + 261.44 263.18 256.56 266.32 262.59 259.68 269.39 266.15 268.95 272.16 272.25 274.55 278.58 277.09 274.04 282.67 272.97 275.61 277.20 286.18 285.84 287.31 286.94 288.90 308.99 311.65 309.59 315.80 315.84 301.71 300.74 303.72 312.67 311.69 321.16 322.73 325.57 324.71 332.55 332.05 335.05 246.80 243.45 255.93 250.30 253.34 254.01 258.71 262.17 254.17 247.95 241.63 241.25 235.56 238.18 229.06 231.32 225.48 219.45 221.91 214.98 209.67 207.68 194.66 197.17 195.72 190.59 183.69 166.84 165.83 170.72 166.82 161.31 154.07 147.95 139.28 146.99 143.39 134.92 131.79 124.87
Total assets 380.60 370.35 377.74 387.92 389.25 387.61 394.95 394.78 402.04 406.27 413.50 415.03 429.15 443.02 437.36 447.90 424.99 404.38 408.77 397.86 385.40 379.27 379.25 375.10 393.96 404.34 395.77 408.89 411.83 399.19 407.99 407.23 410.72 407.10 413.08 410.79 410.95 411.28 419.65 417.44 416.30 340.16 343.70 356.33 341.83 353.12 359.41 370.72 366.59 357.51 354.61 345.51 356.99 350.29 360.35 345.83 359.30 345.26 347.48 350.82 343.33 322.56 310.65 297.26 297.20 292.18 297.25 291.74 281.32 282.40 302.08 342.68 295.42 269.47 251.58 241.54 241.13 235.28 233.44 230.55 220.03
Total current liabilities + 93.47 82.42 89.62 92.02 96.08 95.03 89.63 91.50 93.91 95.47 95.13 96.13 102.68 121.31 118.67 118.68 113.30 95.55 104.23 84.50 76.43 73.71 70.54 69.39 76.24 79.62 75.17 84.32 82.84 77.81 89.75 81.52 81.59 79.77 74.92 71.25 70.78 73.83 74.94 77.47 78.47 70.95 76.67 78.50 79.50 86.21 88.43 94.90 92.38 93.26 93.78 91.27 99.62 96.98 104.23 97.67 108.49 102.66 107.53 108.88 111.44 100.55 92.79 84.43 84.35 84.79 89.14 93.76 100.71 105.53 112.73 150.60 112.90 94.38 82.52 80.86 81.64 76.75 83.57 82.24 80.47
Total non-current liabilities + 112.52 112.62 110.29 112.81 112.50 112.41 115.79 116.10 119.82 122.44 125.42 126.81 130.95 129.12 128.45 134.92 132.16 133.51 137.85 142.11 142.02 147.02 148.37 145.26 134.34 134.25 128.03 128.32 128.73 118.85 116.76 124.47 127.82 129.52 139.63 143.28 147.42 148.94 155.98 147.47 139.83 105.09 104.55 99.83 93.51 94.12 89.99 89.70 91.08 83.11 80.43 76.02 76.13 77.13 70.94 70.09 71.62 71.60 73.75 74.63 72.20 72.23 73.42 73.66 73.11 69.26 69.60 62.86 52.67 48.01 48.98 50.17 49.36 49.12 49.04 46.34 45.98 43.58 39.59 40.08 36.59
Total liabilities 206.00 195.03 199.92 204.83 208.58 207.44 205.41 207.59 213.74 217.91 220.55 222.94 233.62 250.43 247.12 253.60 245.45 229.05 242.09 226.61 218.45 220.73 218.91 214.65 210.58 213.87 203.19 212.64 211.57 196.66 206.50 205.99 209.41 209.29 214.55 214.53 218.20 222.76 230.92 224.94 218.29 176.04 181.22 178.32 173.01 180.33 178.42 184.60 183.46 176.36 174.21 167.29 175.76 174.11 175.17 167.76 180.11 174.25 181.28 183.51 183.64 172.78 166.21 158.09 157.47 154.05 158.74 156.62 153.38 153.54 161.71 200.77 162.26 143.50 131.55 127.20 127.62 120.33 123.15 122.32 117.06
Total stockholders' equity + 173.58 174.39 175.82 181.14 178.81 178.31 187.67 185.41 186.57 186.61 191.20 190.46 193.32 190.47 186.52 190.50 176.00 171.97 163.39 168.00 163.71 155.31 157.17 157.16 179.64 186.48 188.62 192.28 196.33 198.65 197.53 197.32 197.33 194.36 195.03 193.04 190.82 186.65 186.89 190.67 196.52 162.88 161.35 176.79 167.96 171.97 180.00 185.02 182.03 180.05 179.15 176.87 179.81 174.75 183.79 176.64 177.65 169.52 164.60 165.49 157.81 148.01 142.74 137.49 138.01 136.43 136.86 133.51 126.43 127.29 138.47 139.81 131.13 123.96 118.19 112.62 105.11 105.73 101.60 100.21 95.50
Common shares outstanding 2,852 2,900 2,953 3,002 3,182 3,107 3,195 3,209 3,252 3,316 3,368 3,427 3,491 3,564 3,671 3,759 3,831 3,872 3,887 3,918 3,916 3,892 3,912 3,895 3,910 3,981 4,034 4,077 4,105 4,145 4,177 4,188 4,189 4,177 4,162 4,146 4,111 4,085 4,054 4,027 3,615 3,208 3,198 3,192 3,189 3,151 3,167 3,162 3,144 3,138 3,136 3,158 3,157 3,145 3,137 3,137 3,120 3,121 3,124 3,114 3,087 3,066 3,069 3,072 3,066 3,064 3,066 3,065 3,062 3,061 3,085 3,095 3,106 3,131 3,143 3,144 3,153 3,144 3,229 3,242 3,268
about 2 months ago

Cash Flow - Shell plc (SHEL)

$(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
Operating cash flow + 40.81 54.69 54.19 68.41 45.11 34.11 42.18 53.09 35.65 20.62 29.81 45.04 40.44 46.14 36.77 27.35 21.49 43.92 34.46 31.70
Cash flow from investing + -18.83 -15.16 -17.73 -22.45 -4.76 -13.28 -15.78 -13.66 -8.03 -30.96 -22.41 -19.66 -40.15 -28.45 -20.44 -21.97 -26.23 -19.59 -14.57 -20.86
Cash flow from financing + -31.76 -38.43 -38.24 -41.95 -34.66 -7.22 -35.21 -32.55 -27.09 -0.77 3.81 -12.79 -8.98 -10.63 -18.13 -1.47 -0.83 -8.02 -18.16 -12.45
Change in cash -9.78 1.10 -1.78 4.01 5.68 13.60 -8.81 6.88 0.54 -11.12 11.22 12.60 -8.68 7.06 -1.80 3.91 -5.58 16.31 1.73 -1.61
Show Quarterly Cash Flow

Cash Flow - Shell plc (SHEL)

$(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 Sep-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
Operating cash flow + 5.38 8.69 11.77 11.94 9.28 13.17 14.68 13.51 13.33 12.57 12.33 15.13 14.16 22.40 12.54 18.66 14.82 8.17 16.03 12.62 8.29 6.29 10.40 2.56 14.85 10.27 12.25 11.03 8.63 22.02 12.09 9.50 9.47 7.28 7.58 11.29 9.51 9.17 8.49 2.29 0.66 5.42 11.23 6.05 7.11 9.61 12.81 8.64 13.98 6.03 10.41 12.44 11.56 9.91 9.48 13.31 13.44 6.47 11.65 10.04 8.62 5.46 9.02 8.10 4.78 6.17 7.35 0.92 7.56 11.29 16.43 4.17 16.86 6.11 9.73 8.59 10.84 6.79 9.76 8.16 7.50
Cash flow from investing + -3.46 -5.66 -2.67 -5.41 -3.96 -4.43 -3.86 -3.34 -3.53 -5.66 -4.83 -4.83 -4.83 -6.92 -5.05 -6.21 -4.27 2.58 -3.80 -2.95 -0.59 -5.41 -2.83 -2.32 -2.72 -4.86 -2.13 -4.17 -4.62 -5.31 -4.08 0.03 -4.25 -0.67 -3.91 0.87 -4.32 -3.43 -5.17 -5.45 -16.92 -6.19 -5.72 -6.06 -4.44 -6.68 -4.33 -0.94 -7.71 -14.45 -8.88 -9.17 -7.64 -8.94 -8.34 -5.86 -5.32 -8.92 -5.59 -4.29 -1.65 -1.00 -10.06 -5.47 -5.44 -0.74 -11.66 -7.74 -6.09 -6.37 -14.47 0.03 -8.11 -5.71 -5.93 1.46 -4.40 -6.23 -4.99 -6.29 -3.34
Cash flow from financing + -8.80 -5.83 -8.58 -10.11 -9.18 -10.89 -7.45 -11.85 -8.25 -11.70 -9.15 -9.00 -8.39 -12.08 -9.71 -11.15 -9.02 -11.76 -7.93 -6.55 -8.42 -5.33 0.17 5.72 -7.78 -3.06 -12.99 -9.87 -9.30 -8.92 -8.36 -11.63 -3.65 -7.08 -7.15 -8.02 -4.84 -6.47 1.36 7.58 -3.24 1.26 -0.21 6.71 -3.95 -0.08 -4.48 -4.18 -4.05 3.86 0.05 -8.36 -4.52 -1.35 0.14 -4.68 -4.74 -5.26 -5.44 -3.06 -4.37 -2.08 -0.16 1.37 -0.60 -10.09 8.56 1.34 -0.64 2.52 -3.13 -5.05 -3.74 -5.00 -4.01 -6.12 -4.26 -2.97 -5.30 -2.35 -3.12
Change in cash -6.88 -2.80 0.52 -3.58 -3.86 -2.16 3.38 -1.68 1.55 -4.79 -1.64 1.30 0.95 3.41 -2.22 1.30 1.52 -1.02 4.29 3.12 -0.72 -4.45 7.74 5.96 4.35 2.35 -2.86 -3.00 -5.29 7.79 -0.35 -2.10 1.58 -0.47 -3.48 4.14 0.34 -0.73 4.68 4.42 -19.50 0.50 5.30 6.70 -1.28 2.85 4.00 3.52 2.22 -4.57 1.58 -5.09 -0.60 -0.37 1.28 2.77 3.38 -7.72 0.62 2.69 2.61 2.38 -1.20 3.99 -1.26 -4.66 4.24 -5.47 0.83 7.44 -1.17 -0.85 5.02 -4.59 -0.21 3.93 2.18 -2.42 -0.53 -0.49 1.04
about 2 months ago

Shell plc (SHEL) - Operating Cashflow

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Stock Based Compensation

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Net Income

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Proceeds From Repurchase Of Equity

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Dividend Payout

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Cashflow From Financing

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Cashflow From Investment

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Change In Inventory

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Capital Expenditures

1Y 2Y 5Y Max
about 2 months ago

Shell plc (SHEL) - Depreciation Depletion And Amortization

1Y 2Y 5Y Max
about 2 months ago