Vertex Pharmaceuticals Incorporated

NASDAQ:VRTX

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

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,372.310,5046,7955,988.1873,109.3222,650.1341,665.4121,183.945714.768625.259569.299489.407475.32243.197446.658389.115355.663213.17178.04555.00698.159108.098189.205322.0931.524.271.534.928.471.628.611.627.64.4
Kortetermijnbeleggingen 849.2274.5729.9670.71698.972518.108423.254250.612327.694761.847895.777831.808493.602788.214838.255442.986105.208491.455283.112337.314485.005526.886553.99766.5090000000000
Liquide middelen en kortetermijnbeleggingen 11,221.510,778.57,524.96,658.8973,808.2943,168.2422,088.6661,434.5571,042.4621,387.1061,465.0761,321.215968.9221,031.4111,284.913832.101460.871704.626361.157392.32583.164634.984743.202388.59931.524.271.534.928.471.628.611.627.64.4
Nettovorderingen 1,563.41,442.21,136.8885.352633.518409.688281.343201.083177.63972.99485.517143.25183.13512.5299.60123.48931.3262.92320.59511.8917.32413.220.26512.2625.9000000000
Voorraad 738.8460.6353.1280.777167.502124.36111.8377.60456.08330.84814.14730.464112.4300.0080000004.3496.63600000000000
Overige vlottende activa 620.574.4187.2308.353213.51574.04563.96416.7812.06557.19323.83624.673983.81113.09912.51211.9914.663.8573.3032.5013.3184.0395.9892.325157.8224.5210.197.359.535.324.532.424.10.2
Totaal vlottende activa 14,144.212,681.39,014.87,825.0264,609.3143,702.292,483.3281,761.0061,355.0941,548.1411,588.5761,589.5851,331.2541,057.0391,307.034867.581496.851771.406385.055406.712593.806656.572776.092403.186195.2248.7281.6132.287.9106.953.14451.74.6
Niet-vlottende activa:
Materiële vaste activa, netto 1,452.91,108.41,094.1958.534745.08812.005789.437698.362697.715715.812696.911433.609133.17672.33362.27968.33166.50961.53554.53364.22580.08395.99180.37728.14924.514.511.18.77.88.57.76.954.4
Goodwill 1,0881,0881,402.21,402.1581,402.15850.38450.38450.38450.38439.91530.99230.99230.99226.10226.1020000000000000000000
Immateriële activa 839.9603.6400400400029284.34284.3429105.8663.5663.5518.7518.70000000000000000000
Goodwill en immateriële activa 1,927.91,691.61,402.21,402.1581,402.15850.38479.384334.724334.72468.91530.992694.492694.492544.802544.8020000000000000000000
Langetermijnbeleggingen 2,596.499.485.820.844.155020.44720.27652.08307.501000000018.86318.86318.86326.433000000000000
Belastingvorderingen 1,812.11,246.9934.5882.7791,190.8151,499.672-20.447-20.276-52.0830-7.50100000000000000000000000
Overige niet-vlottende activa 796.71,323.3901.1662.511326.943181.547193.86599.693109.5123.4412.56241.60245.35851.27241.38144.56738.11788.63890.54755.65331.65936.72468.662341.54612.73.12.92.63.30.80.20.10.40.2
Totaal niet-vlottende activa 8,5865,469.64,417.73,926.7823,709.1512,543.6081,062.6861,132.7791,141.951788.168730.4651,169.703873.026668.407648.462112.898104.626150.173163.943138.741130.605159.148149.039369.69537.217.61411.311.19.37.975.44.6
Totaal activa 22,730.218,150.913,432.511,751.8088,318.4656,245.8983,546.0142,893.7852,497.0452,336.3092,319.0412,759.2882,204.281,725.4461,955.496980.479601.477921.579548.998545.453724.411815.72925.131772.881232.4266.3295.6143.599116.2615157.19.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 364.9303.9195155.13987.61110.98773.99461.45174.94271.19449.327101.29274.64235.85136.98951.7632.7515.3686.216.6612.30616.74511.6283.84732.84.21.431.43.50.70.80
Kortlopende schulden 83.789.446.942.43430.2939.81722.531319.42687.02332.01216.89313.707195.378136.99132.071105.87119.997103.75859.59694.6564.662.1954.5792.3772.42.82.52.92.11.71.81.81.20.8
Belastingschulden 99.5123.3211.3104.17372.293006.88330.95310.0388.3620.71512.075000000000000000000000
Uitgestelde opbrengsten 170.3159.6171.7191.51962.332554.089237.5779.42116.29617.46821.5127.566163.13274.619300.53137.67825.52833.88931.44947.7417.74611.88839.49800000000000
Overige kortlopende verplichtingen 2,928.51,877.71,4601,171.0181,024.28740.589473.165-452.344328.088247.58310.099290.059405.616227.322296.91621.255121.00497.9992.9884.688114.35533.76935.84832.44713.17.572.83.72.921.40.70.8
Totaal kortlopende verplichtingen 3,547.42,430.61,873.61,560.111,204.522715.482807.267.954506.349368.254397.829432.624838.768474.783666.507216.564199.279251.014100.243153.745139.06764.59791.55338.67118.513.113.77.18.867.33.92.71.6
Langlopende verplichtingen:
Langetermijnschulden 724.7471.6556.7581.476577.371567.163563.911838.249820.614825.298440.937672.631400400153.836287.5019.997180.097334.997340.728325.944323.026347.3134.775.95.64.94.74.23.32.12.4
Uitgestelde opbrengsten niet-vlottend -924.100088.76282.57380.15712.63726.0145.27670.969123.808118.095160.04938.207247.474101.217116.2950.85118.34551.77146.598000000000000
Uitgestelde belastingverplichtingen niet-vlottend 924.1000-88.762-82.5736.341134.063110.43915.04428.353280.367243.707160.278160.27811.0580-116.295-0.851-18.345-51.771-46.598000000000000
Overige niet-vlottende verplichtingen 877.71,336902.2923.407451.328528.05853.299562.691447.302354.508422.377448.1-361.80226.363-160.278-20.99129.686144.63329.48221.2751.77146.59835.20100000000-0.10.10
Totaal niet-vlottende verplichtingen 1,602.41,807.61,458.91,504.8831,028.6991,095.2131,503.7081,547.641,404.3651,240.126962.6361,524.906400746.69192.043525.041130.903164.63209.579356.267392.499372.542358.227347.3134.775.95.64.94.74.23.22.22.4
Totaal passiva 5,149.84,238.23,332.53,064.9932,233.2211,810.6951,503.7081,555.5941,404.3651,240.126962.6361,524.9061,238.7681,221.473858.55741.605330.182415.644309.822510.012531.566437.139449.78385.98423.220.119.612.713.710.711.57.14.94
Eigen vermogen:
Preferente aandelen 00000013.727181.609152.71321.17700000.60000000000000000000
Gewone aandelen 2.62.62.52.5992.5892.5462.5122.452.4272.3852.322.1492.0722.0161.9821.4941.3121.2441.0810.8070.780.7640.7510.5960.3000000000
Ingehouden winsten 10,142.46,522.83,200.8858.669-1,852.978-2,989.478-5,119.723-5,373.836-5,261.784-4,705.45-3,966.895-3,521.867-3,414.835-3,444.409-2,689.783-2,047.605-1,587.754-1,196.475-989.584-786.167-619.92-423.153-314.532-230.485-190.8-149.9-116.8-96.9-56.9-35.4-17.8-19.9-11.4-6.2
Overige gereserveerde algehele resultaten -14.30.815.9-68.48-1.9730.659-11.57221.1731.8240.917-0.306-0.55-1.053-1.067-0.643.1680.881-0.962-16.281-13.0311.5786.76411.1143.62-1.1-28.1-23.6-20000000
Overige totale aandeelhoudersvermogen 7,449.77,386.56,880.87,894.0277,937.6067,421.4767,157.3626,506.7956,197.55,777.1545,321.2864,519.4484,200.6593,947.4333,784.7872,281.8171,856.8561,702.1281,243.96833.832810.407794.206778.018613.166400.8424.2416.4247.7142.2140.967.363.863.611.4
Totaal eigen vermogen van aandeelhouders 17,580.413,912.710,1008,686.8156,085.2444,435.2032,042.3061,338.1911,092.681,096.1831,356.405999.18786.843503.9731,096.946238.874271.295505.935239.17635.441192.845378.581475.351386.897209.2246.2276130.885.3105.549.543.952.25.2
Totaal eigen vermogen 17,580.413,912.710,1008,686.8156,085.2444,435.2032,056.0331,519.81,246.3411,117.361,356.4051,234.382965.512503.9731,096.946238.874271.295505.935239.17635.441192.845378.581475.351386.897209.2246.2276130.885.3105.549.543.952.25.2
Totaal passiva en aandeelhoudersvermogen 22,730.218,150.913,432.511,751.8088,318.4656,245.8983,546.0142,893.7852,497.0452,336.3092,319.0412,759.2882,204.281,725.4461,955.496980.479601.477921.579548.998545.453724.411815.72925.131772.881232.4266.3295.6143.599116.2615157.19.2