Standard Chartered PLC (LSE:STAN) Annual Report 2021



The latest annual report of Standard Chartered PLC (STAN) was published on 31 Dec 2021. An annual report is a document that public corporations must provide annually to shareholders that describes their operations and financial conditions. Typically, an annual report will contain sections such as General corporate information, Operating and Financial highlights, Letter to shareholders from the CEO, Financial statements etc.

Key Statistics - STAN Annual Results

Amounts in USD

Total Revenue
14.14B
Gross Profit
14.14B
EBIT
-
Net Tangible Assets
45.3B
Net Income
2.31B
Capital Expenditures
-352M

STAN Income Statement 2021 Annual Report

As per the latest Income Statement of STAN, the Net revenue increased by $1.678B (13%) compared to the previous period. The operating income in 2021 increased by $1.283B (57%). The net income as per the annual report was 2.31B which increased by $1.591B (220%) compared to previous year.

Income Statement Report (2021/2020)

2021 2020
Total Revenue 14.14B 12.46B
Gross Profit 14.14B 12.46B
Operating Income 3.54B 2.26B
Income Before Tax 3.35B 1.61B
Net Income 2.31B 724M

Balance Sheet - STAN 2021 Annual Report

Read further: STAN Balance Sheet Detailed Analysis

The latest balance sheet from annual result of Standard Chartered PLC showed the company increased the cash on balance sheet by $4.099B (5%). The Net tangible assets of STAN on the balance sheet were at 45.3B which is $1.453B (3%) more than previous annual report. The total stockholder equity also increased by $1.861B (4%) compared to previous reporting period.

Balance Sheet Statement Report (2021/2020)

2021 2020
Cash 90.47B 86.37B
Total Assets 827.82B 789.05B
Long Term Debt 49.34B 47.16B
Total Liabilities 775.18B 738.32B
Total Shareholder Equity 50.77B 48.91B
Net Tangible Assets 45.3B 43.85B

Cash Flow Statement - STAN 2021 Annual Report

The 2021 annual cash flow statement of Standard Chartered PLC showed that the net income increased by $1.591B (220%) compared to previous reporting period. Also the capital expenditure of STAN increased by $918.00M (72%).

As of 2021, the total cash from investing activities was -8.99B and total cash from financing activities was 67.07B.

Cash Flow Statement Report (2021/2020)

2021 2020
Net Income 2.31B 724M
Capital Expenditures -352M -1.27B
Dividends Paid -784M -395M
Total Cash From From Investing Activities -8.99B -4.48B
Total Cash From From Financing Activities 67.07B 30.46B

Standard Chartered PLC Annual Report History

Income Statement

Income Statement history of Standard Chartered PLC (LSE:STAN)

31 Dec 2021 31 Dec 2020 31 Dec 2019 31 Dec 2018
Total Revenue 14.14B 12.46B 14.51B 13.98B
Cost Of Revenue - - - -
Gross Profit 14.14B 12.46B 14.51B 13.98B
Research Development - - - -
Selling General Administrative 10.6B 10.2B 10.76B 11.49B
Non Recurring - - - -
Other Operating Expenses - - 2M 2M
Total Operating Expenses 10.6B 10.2B 10.76B 11.49B
Operating Income 3.54B 2.26B 3.75B 2.49B
Total Other Income Expense Net -195M -646M -36M 62M
Ebit - - - -
Interest Expense - - - -
Income Before Tax 3.35B 1.61B 3.71B 2.55B
Income Tax Expense 1.03B 862M 1.37B 1.44B
Minority Interest 371M 325M 313M 273M
Net Income From Continuing Ops 2.31B 751M 2.34B 1.11B
Discontinued Operations - - - -
Extraordinary Items - - - -
Effect Of Accounting Charges - - - -
Other Items - - - -
Net Income 2.31B 724M 2.3B 1.05B
Net Income Applicable To Common Shares 1.91B 329M 1.85B 618M

Balance Sheet Statement

Balance Sheet Statement history of Standard Chartered PLC (LSE:STAN)

31 Dec 2021 31 Dec 2020 31 Dec 2019 31 Dec 2018
Cash 90.47B 86.37B 67.38B 82.11B
Short Term Investments 88.42B 67.57B 60.41B 61.73B
Net Receivables 766M 808M 539M 492M
Inventory 11.8M 23.2M 37M 18.2M
Other Current Assets 22.63B 25.41B 26.58B 24.73B
Total Current Assets 304.86B 292.92B 237.14B 247.27B
Long Term Investments 165.58B 155.48B 145.64B 128.21B
Property Plant Equipment 5.62B 6.51B 6.22B 6.49B
Good Will 2.6B 2.62B 3.08B 3.12B
Intangible Assets 2.88B 2.45B 2.21B 1.94B
Other Assets 346.29B 329.08B 326.11B 301.74B
Deferred Long Term Asset Charges 859M 919M 1.1B 1.05B
Total Assets 827.82B 789.05B 720.4B 688.76B
Accounts Payable 515.25B 479.74B 441.95B 427.8B
Short Long Term Debt 34.2B 30.86B 35.68B 32.12B
Other Current Liab 41.87B 43.2B 37.81B 26.87B
Long Term Debt 49.34B 47.16B 42.06B 36.74B
Other Liab 9.58B 9.53B 8.82B 17.85B
Minority Interest 371M 325M 313M 273M
Total Current Liabilities 715.37B 680.85B 617.92B 583.82B
Total Liab 775.18B 738.32B 669.74B 638.41B
Common Stock 1.54B 1.58B 1.6B 1.65B
Retained Earnings 27.18B 26.14B 26.07B 26.13B
Treasury Stock 18.06B 17.21B 17.2B 16.84B
Capital Surplus 3.99B 3.99B 3.99B 3.96B
Other Stockholder Equity 18.06B 17.21B 17.2B 16.84B
Total Stockholder Equity 50.77B 48.91B 48.85B 48.59B
Net Tangible Assets 45.3B 43.85B 43.56B 43.53B

Cash Flow Statement

Cash Flow Statement history of Standard Chartered PLC (LSE:STAN)

31 Dec 2021 31 Dec 2020 31 Dec 2019 31 Dec 2018
Net Income 2.31B 724M 2.3B 1.05B
Depreciation 720M 736M 744M 494M
Change To Netincome 674M 2.89B 1.09B 2.36B
Change To Liabilities - - - -
Change To Operating Activities -67.58B 15.31B -26.17B -11.24B
Total Cash From Operating Activities -54.59B -6.85B -28.78B -5.92B
Capital Expenditures -352M -1.27B -518M -171M
Investments -8.66B -3.39B -17.87B -12.4B
Other Cashflows From Investing Activities 38M 38M -5.09B 67M
Total Cashflows From Investing Activities -8.99B -4.48B -17.82B -12.42B
Dividends Paid -784M -395M -1.17B -975M
Net Borrowings 1.31B 5.36B 2.12B 1.14B
Other Cashflows From Financing Activities 65.6B 26.84B 26.47B 30.01B
Total Cash From Financing Activities 67.07B 30.46B 26.8B 30.19B
Effect Of Exchange Rate -1.76B 1.29B -245M -1.58B
Change In Cash 1.73B 20.42B -20.05B 10.27B
Repurchase Of Stock -1.79B -2.34B -1.21B -8M
Issuance Of Stock 2.73B 1B 584M 23M