Regeneron Pharmaceuticals, Inc.

NASDAQ:REGN

1145.03 (USD) • At close September 20, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,7303,105.92,885.62,193.71,617.81,467.7812.733535.203809.102648.719535.608230.276483.61112.572207.075247.796498.925237.876184.508101.234118.28580.077247.39330.97823.719.828.934.532.723.612.516.426.221.8
Kortetermijnbeleggingen 8,114.84,636.42,809.11,393.31,596.51,342.2596.847503.481236.121251.761158.37677.81943.332136.796134.255226.954267.532221.4114.037194.748175.489184.194137.68686.63442.5000000000
Liquide middelen en kortetermijnbeleggingen 10,844.814,334.112,532.76,722.66,471.14,564.92,896.0741,902.9441,677.3851,360.6341,083.875587.511526.942626.939341.33474.75766.457459.276298.545295.982293.774264.271385.079117.61266.219.828.934.532.723.612.516.426.221.8
Nettovorderingen 5,667.35,328.76,036.54,114.72,672.22,243.21,974.341,611.621,467.7931,017.399891.778693.12103.03593.11265.56835.21218.327.49336.52143.10215.5294.0172.97513.8350.65.76.64.32.71.71.71.11.40.2
Voorraad 2,580.52,401.91,951.31,916.61,415.51,151.2726.138399.356238.578128.86170.35428.63813.556-15.14200002.9043.2299.0066.8313.9731.9154.6000000000
Overige vlottende activa 386.6933332.41,164959.3243.3224.972130.528163.501120.721140.818176.159810.5515.14218.6111.4813.0523.2153.4221.6421.8981.8292.1590.781.667.464.146.213.826.777.667.2790.4
Totaal vlottende activa 19,479.222,064.720,520.512,753.910,558.87,959.35,596.5523,913.923,383.7562,506.8942,252.2081,620.787913.585720.051425.508521.442797.829469.984341.392343.955320.207276.948394.186134.1427392.999.68549.25291.884.7106.622.4
Niet-vlottende activa:
Materiële vaste activa, netto 4,146.43,7633,482.23,221.62,890.42,575.82,358.6052,083.4211,594.12974.309526.983379.94367.955347.45259.67687.85358.30449.35360.53571.23980.72376.82539.44836.93436.33332.734.327.927.722.410.55.42.2
Goodwill 00-6,844.70000000000000000000000000000000
Immateriële activa 1,038.6915.56.7000000000000000000000000000001.60.5
Goodwill en immateriële activa 1,038.6915.5-6,838-3,135.6-3,256.8-1,755-1,486.494-864.26-632.162-460.154-621.769-463.252000000000000000000001.60.5
Langetermijnbeleggingen 5,396.55,406.46,8383,135.63,256.81,7551,486.494864.26632.162460.154389.891271.23275.887370.05347.0851.061000000000000000000
Belastingvorderingen 2,575.41,723.7876.9858.9824.2828.7506.291825.303461.945316.104231.878192.0220000000000000000000000
Overige niet-vlottende activa 444.1-4,658.8555.2328.9531.8370.7302.838150.822169.31174.52171.82279.763-233.844-348.1228.9389.68280.12565.75321.57457.91478.62537.80161.76337.19827.73136.118.316.714.53.42.70.40.3
Totaal niet-vlottende activa 13,6017,149.84,914.34,409.44,246.43,775.23,167.7343,059.5462,225.3761,364.933698.805459.703409.998369.381315.694148.596138.429115.10682.109129.153159.348114.626101.21174.132646468.852.644.642.225.813.27.43
Totaal activa 33,080.229,214.525,434.817,163.314,805.211,734.58,764.2866,973.4665,609.1323,871.8272,951.0132,080.491,323.5831,089.432741.202670.038936.258585.09423.501473.108479.555391.574495.397208.274137156.9168.4137.693.894.2117.697.911425.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 606.6589.2564475.5418.1218.2178.183134.984140.96299.50861.93638.93427.736-48.04818.6386.2688.12821.47123.33718.87218.93330.30914.839.4466.65.64.74.46.3510.32.51.60
Kortlopende schulden 0720719.71,631.20-90.8468.83127.274452.607350.1970.9391.3741.0060.6750-162.421202.292-21.471-23.337-18.87213.8170.150.4260.6121.41.11.83.63.53.11.610.40
Belastingschulden 00.3326.319.549.420.80.227235.77600000000000000000000000000
Uitgestelde opbrengsten 458.9547.7442577.7591.7452.5320.138231.664153.48774.0254750.831300.2554.72344.544209.92544.43223.54317.0215.26740.1739.6596.76600000000000
Overige kortlopende verplichtingen 2,357.91,992.21,725.3122.4781.1772.10.267486.73713.56396.407152.35127.46573.32653.65830.39329.928.81221.47123.33718.8720003.7285.32.74.243.19.81.21.11.30
Totaal kortlopende verplichtingen 3,423.43,849.13,4512,806.81,790.91,352967.418980.659760.619620.137262.226118.604402.31861.00893.57583.672283.66445.01440.35734.13972.92340.11822.02213.78613.39.410.71212.917.913.14.63.31.8
Langlopende verplichtingen:
Langetermijnschulden 2,702.92,701.42,699.72,695.7713.9708.5703.453481.126375.51459.064505.512457.328435.533160.0305.0930200200200200200200.152.0692.73.13.85.169.25.95.82.40
Uitgestelde opbrengsten niet-vlottend 126.769.8515.3635.51,210.7916.7949.3371,062.436818.166250.301231.199259.173248.61340.579137.884162.4210123.45269.14256.42668.835.4756.8700000000000
Uitgestelde belastingverplichtingen niet-vlottend 50.458.2-680.2-687.1-286-502-152.073-100.385-115.535-40.855-11.33-7.259-255.053-7.350-61.9280-123.452-69.142-56.426-68.83-5.475-6.8700000000000
Overige niet-vlottende verplichtingen 803.7-128680.2687.1286502152.073100.385115.53540.85511.337.2596.4437.35112.98161.928192.327123.45269.14256.42668.9895.4756.8710.28911.513.21513.6700.20.32.10
Totaal niet-vlottende verplichtingen 3,683.72,701.43,2153,331.21,924.61,625.21,652.791,543.5621,193.676709.365736.711716.501435.533500.609250.865167.514192.327323.452269.142256.426268.989205.475207.0212.35814.216.318.818.7139.26.16.14.511.4
Totaal passiva 7,107.16,550.56,6666,1383,715.52,977.22,620.2082,524.2211,954.2951,329.502998.937835.105837.851561.617344.44251.186475.991368.466309.499290.565341.912245.593229.04226.14427.525.729.530.725.927.119.210.77.813.2
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000000
Gewone aandelen 0.10.10.10.10.10.10.1120.110.1080.1040.0990.0970.0930.0890.0810.080.0790.0650.0560.0560.0550.0440.0440.0370000000000
Ingehouden winsten 27,260.323,306.718,968.310,8937,379.85,254.32,946.7331,748.222852.7255.382-92.692-517.054-1,267.323-1,045.563-941.095-875.927-793.217-687.617-585.28-489.834-531.533-424.075-299.698-223.518-200.3-177.2-168.6-157-124.6-101.1-70.4-30.6-11.4-7
Overige gereserveerde algehele resultaten -80.9-238.8-26.229.321.1-12.30.64-12.848.57252.251-1.188-1.166-1.862-2.4911.044-0.1140.17-0.231-0.785-3.068-3.997-3.172-1.615-0.78-0.5-26.6-23.6-5.9-5.900000
Overige totale aandeelhoudersvermogen -1,206.4-404-173.4102.93,688.73,515.23,196.5932,713.7532,793.4572,234.5882,045.8571,763.5081,754.8241,575.781,336.7321,294.8131,253.235904.407700.011675.389673.118573.184567.624406.391310.3335331.1269.8198.4168.2168.8117.8117.619.2
Totaal eigen vermogen van aandeelhouders 25,973.122,66418,768.811,025.311,089.78,757.36,144.0784,449.2453,654.8372,542.3251,952.0761,245.385485.732527.815396.762418.852460.267216.624114.002182.543137.643145.981266.355182.13109.5131.2138.9106.967.967.198.487.2106.212.2
Totaal eigen vermogen 25,973.122,66418,768.811,025.311,089.78,757.36,144.0784,449.2453,654.8372,542.3251,952.0761,245.385485.732527.815396.762418.852460.267216.624114.002182.543137.643145.981266.355182.13109.5131.2138.9106.967.967.198.487.2106.212.2
Totaal passiva en aandeelhoudersvermogen 33,080.229,214.525,434.817,163.314,805.211,734.58,764.2866,973.4665,609.1323,871.8272,951.0132,080.491,323.5831,089.432741.202670.038936.258585.09423.501473.108479.555391.574495.397208.274137156.9168.4137.693.894.2117.697.911425.4