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STRONG
BUY
0
BUY 21
HOLD 9
SELL 3
STRONG
SELL
0
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Revenue
Revenue 8,452 8,252 8,012 10,385 9,358 9,008 10,074 9,024 8,139 8,292 8,633 8,574 8,891 8,654 9,095 8,752
Cost of Revenue 3,703 3,783 3,886 5,076 4,779 4,927 6,284 5,374 4,978 5,233 4,952 5,074 5,420 0 0 0
Gross Profit 4,749 4,469 4,126 5,309 4,579 4,081 3,790 3,650 3,161 3,059 3,681 3,500 3,471 8,654 9,095 8,752
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 3,301 0 0 0 0 0 3,208 3,049 2,725 2,722 2,756 2,665 2,783 2,750 2,648 2,931
Other Expenses 33 3,247 3,033 3,628 3,293 3,065 6,281 (325) 132 18 75 (653) (3) (7) 4 (16)
Operating Expenses 3,334 3,247 3,033 3,628 3,293 3,065 9,489 8,424 7,703 7,955 8,311 8,382 8,751 8,355 8,312 8,353
Operating Income
Operating Income 1,415 1,222 1,093 1,681 1,286 1,016 773 600 436 337 322 (529) 140 299 783 399
Interest Expense 10 85 84 105 37 25 59 7 0 0 0 0 0 0 0 0
Interest Income 0 0 0 0 0 0 0 0 39 43 56 68 77 56 47 28
Profitability
EBITDA 1,134 970 878 1,418 1,036 785 1,076 1,071 882 667 945 242 688 782 1,213 813
EBIT 956 782 678 993 606 372 413 599 433 337 447 (397) 140 299 783 399
Income Before Tax 923 585 380 812 450 (1,524) 354 (1,089) (615) 181 56 (397) 173 (2,377) 961 461
Income Tax Expense 275 206 152 52 61 21 126 355 28 (54) 134 (691) (374) (337) 257 202
Net Income 464 266 149 623 330 (1,269) 228 (1,514) (738) 179 (147) 239 506 (2,075) 678 243
Per Share Data
EPS (Basic) 0.82 0.47 0.26 1.06 0.56 -2.63 0.39 -2.60 -1.27 0.30 -0.25 0.41 0.87 -3.59 1.17 0.42
EPS (Diluted) 0.81 0.47 0.26 1.05 0.56 -2.63 0.39 -2.60 -1.27 0.30 -0.25 0.41 0.87 -3.59 1.17 0.42
Shares Outstanding 567.7 571.2 576.4 589.5 590.4 587.9 584.7 582.7 581 581 581 579 578.8 578.5 578.5 578.5
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Current Assets
Cash & Cash Equivalents 2,403 1,872 1,833 1,822 2,236 1,517 1,643 2,034 2,016 1,832 1,951 3,145 2,381 1,133 2,022
Short-Term Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Receivables 1,562 1,420 1,425 1,502 1,498 1,203 1,544 1,612 1,276 1,229 1,346 1,454 1,582 1,369 1,503
Inventory 327 266 311 311 253 348 348 376 208 218 319 310 301 246 242
Other Current Assets 519 814 484 458 469 393 515 372 315 370 218 361 144 212 227
Total Current Assets 4,811 4,372 4,053 4,093 4,456 3,461 4,050 4,394 3,815 3,889 3,975 5,270 4,643 3,115 3,994
Non-Current Assets
Property, Plant & Equipment 2,120 2,077 3,078 2,994 3,307 3,317 2,554 2,560 1,624 2,405 2,746 3,009 2,992 3,274 3,725
Goodwill 4,373 4,336 5,140 5,169 4,653 3,951 5,147 5,218 3,838 3,714 3,063 2,782 2,725 2,588 3,966
Intangible Assets 1,930 1,948 2,489 2,671 2,179 1,864 2,426 2,671 2,281 2,207 2,242 2,137 2,186 2,461 3,925
Long-Term Investments 1,016 429 427 488 351 297 335 393 2,027 2,270 2,379 2,609 2,499 1,126 1,035
Other Non-Current Assets 1,000 3,190 1,341 1,384 1,447 1,039 930 831 442 396 472 536 459 470 336
Total Non-Current Assets 10,693 12,312 12,868 13,128 12,315 10,800 11,661 11,952 10,737 11,594 11,118 11,219 11,000 9,975 13,014
Total Assets 15,504 16,684 16,921 17,221 16,771 14,261 15,711 16,346 14,552 15,483 15,093 16,489 15,643 13,090 17,008
Current Liabilities
Account Payables 335 254 440 411 321 351 411 605 222 217 238 276 242 284 314
Short-Term Debt 2 9 3 266 28 48 449 462 103 0 0 0 0 0 0
Deferred Revenue 498 483 622 604 473 398 428 516 426 388 361 369 389 386 447
Other Current Liabilities 438 1,019 521 603 666 488 702 355 458 466 747 431 250 185 232
Total Current Liabilities 2,608 3,055 3,165 3,519 3,234 2,682 3,340 3,295 2,452 2,442 2,155 2,264 2,171 2,467 2,568
Non-Current Liabilities
Long-Term Debt 1,794 2,093 2,925 2,736 2,213 1,093 1,004 1,490 276 369 0 0 0 0 0
Deferred Tax Liabilities 57 21 163 198 260 258 295 389 61 171 166 224 152 926 1,379
Other Non-Current Liabilities 609 1,592 580 638 730 603 761 675 670 699 623 582 624 778 632
Total Non-Current Liabilities 3,507 4,618 4,811 4,559 4,391 3,190 2,060 2,554 1,007 1,239 802 806 776 1,704 2,011
Total Liabilities 6,115 7,673 7,976 8,078 7,625 5,872 5,400 5,849 3,459 3,681 2,957 3,070 2,947 4,171 4,579
Stockholders' Equity
Common Stock 6 6 6 6 6 6 6 6 6 6 6 6 6 0 0
Retained Earnings (747) (1,889) (2,144) (2,293) (2,911) (3,241) (1,979) (2,163) (648) 150 88 237 0 0 0
Accumulated Other Comprehensive Income (1,543) (1,251) (1,247) (1,270) (941) (1,331) (1,126) (874) (964) (1,026) (582) 610 271 (2,310) (2,350)
Total Stockholders' Equity 8,774 8,120 8,064 8,222 8,211 7,582 9,144 9,311 10,809 11,584 11,965 13,263 12,578 8,919 12,429
Total Liabilities & Equity 15,504 16,684 16,921 17,221 16,771 14,261 15,711 16,346 14,552 15,483 15,093 16,489 15,643 13,090 17,008
Debt Metrics
Total Debt 2,940 3,103 4,207 4,155 3,600 2,536 1,453 1,952 276 369 404 431 1,108 0 0
Net Debt 537 1,231 2,374 2,333 1,364 1,019 (190) (82) (1,740) (1,463) (1,547) (2,714) (1,273) (1,133) (2,022)
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Operating Activities
Net Income 480 269 149 760 330 (401) 228 (1,444) (643) 235 (78) 294 547 (2,040) 704 259
Depreciation & Amortization 459 440 823 688 680 644 659 472 449 505 530 578 548 483 430 414
Stock-Based Compensation 0 0 92 59 128 69 73 76 38 55 53 32 49 0 0 0
Change in Working Capital (206) (139) (82) (93) 203 (163) (71) (89) 94 373 (5) (59) (106) 101 106 337
Other Non-Cash Items 318 497 98 65 (4) 682 112 325 (390) (18) (75) (68) (1,593) 2,307 (47) 37
Operating Cash Flow 1,134 1,098 1,092 1,354 1,237 780 928 757 494 952 831 854 501 851 1,331 1,047
Investing Activities
Capital Expenditure (407) (357) (499) (499) (390) (438) (572) (364) (256) (256) (378) (379) (332) (375) (549) (328)
Acquisitions (96) (38) (60) (1,501) (912) (40) (192) (94) (244) (529) (1,154) 156 (1,335) (54) (333) 734
Purchases of Investments (154) (96) (60) (112) (13) 438 (34) (33) (39) (54) (224) (83) (7) (230) 333 (1)
Sales/Maturities of Investments 274 81 60 41 390 11 572 137 109 0 0 (201) 1,335 54 1 (734)
Other Investing Activities 230 (114) (15) (5) (367) (398) (451) 33 325 (285) 15 201 (1,335) (54) (333) 734
Investing Cash Flow (153) (524) (574) (2,076) (1,292) (427) (677) (321) (105) (1,124) (1,741) (306) (1,674) (659) (881) 405
Financing Activities
Net Debt Issuance (142) (131) (75) 852 958 (300) (435) (118) (23) 342 (129) 0 (235) 0 0 (1)
Stock Repurchased (150) (117) (243) (179) 0 0 0 0 0 (41) (30) 0 0 0 0 0
Dividends Paid (185) (172) (174) (175) (163) (158) (161) (158) (152) (147) (30) (24) (20) (13) (10) (5)
Other Financing Activities (86) (21) (9) (94) (96) (14) (14) (122) (42) (4) (1) 213 2,741 (993) 293 (1,224)
Financing Cash Flow (563) (441) (501) 404 699 (472) (610) (398) (217) 150 (190) 189 2,486 (1,006) 270 (1,230)
Cash Position
Net Change in Cash 531 39 11 (414) 719 (126) (391) 18 184 (119) (1,194) 764 1,248 (889) 942 236
Cash at Beginning 1,872 1,833 1,822 2,236 1,517 1,643 2,034 2,016 1,832 1,951 3,145 2,381 1,133 2,022 1,080 844
Cash at End 2,403 1,872 1,833 1,822 2,236 1,517 1,643 2,034 2,016 1,832 1,951 3,145 2,381 1,133 2,022 1,080
Free Cash Flow 727 741 593 855 847 342 356 393 238 696 453 475 169 476 782 719
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Income Statement
Revenue 8,452 8,252 8,012 10,385 9,358 9,008 10,074 9,024 8,139 8,292 8,633 8,574 8,891 8,654 9,095 8,752
Gross Profit 4,749 4,469 4,126 5,309 4,579 4,081 3,790 3,650 3,161 3,059 3,681 3,500 3,471 8,654 9,095 8,752
Operating Income 1,415 1,222 1,093 1,681 1,286 1,016 773 600 436 337 322 (529) 140 299 783 399
Net Income 464 266 149 623 330 (1,269) 228 (1,514) (738) 179 (147) 239 506 (2,075) 678 243
EPS (Diluted) 0.81 0.47 0.26 1.05 0.56 -2.63 0.39 -2.60 -1.27 0.30 -0.25 0.41 0.87 -3.59 1.17 0.42
Balance Sheet
Cash & Equivalents 2,403 1,872 1,833 1,822 2,236 1,517 1,643 2,034 2,016 1,832 1,951 3,145 2,381 1,133 2,022
Total Assets 15,504 16,684 16,921 17,221 16,771 14,261 15,711 16,346 14,552 15,483 15,093 16,489 15,643 13,090 17,008
Total Debt 2,940 3,103 4,207 4,155 3,600 2,536 1,453 1,952 276 369 404 431 1,108 0 0
Stockholders' Equity 8,774 8,120 8,064 8,222 8,211 7,582 9,144 9,311 10,809 11,584 11,965 13,263 12,578 8,919 12,429
Cash Flow
Operating Cash Flow 1,134 1,098 1,092 1,354 1,237 780 928 757 494 952 831 854 501 851 1,331 1,047
Capital Expenditure (407) (357) (499) (499) (390) (438) (572) (364) (256) (256) (378) (379) (332) (375) (549) (328)
Free Cash Flow 727 741 593 855 847 342 356 393 238 696 453 475 169 476 782 719