eBay
EBAY
Halozyme Therapeutics
HALO
Constellation Brands
STZ
4
Workday
WDAY
5
Lantheus
LNTH
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -20.58%22M | -20.58%22M | -15.61%34.6M | -16.88%26.1M | 124.30%63.7M | 9.92%27.7M | 9.92%27.7M | 65.99%41M | 40.18%31.4M | 27.93%28.4M |
-Cash and cash equivalents | -20.58%22M | -20.58%22M | -15.61%34.6M | -16.88%26.1M | 124.30%63.7M | 9.92%27.7M | 9.92%27.7M | 65.99%41M | 40.18%31.4M | 27.93%28.4M |
Receivables | -4.43%256.5M | -4.43%256.5M | 17.65%405.9M | 33.70%429.3M | -15.44%175.3M | -17.31%268.4M | -17.31%268.4M | -11.81%345M | -16.92%321.1M | 2.57%207.3M |
-Accounts receivable | 3.85%2.7M | 3.85%2.7M | 41.40%22.2M | -2.63%7.4M | --0 | -70.79%2.6M | -70.79%2.6M | -34.03%15.7M | --7.6M | -67.59%4.7M |
-Taxes receivable | -3.48%11.1M | -3.48%11.1M | 28.19%19.1M | --0 | --0 | 23.66%11.5M | 23.66%11.5M | 98.67%14.9M | --0 | --0 |
-Other receivables | -11.45%150M | -11.45%150M | 24.15%179.4M | 0.56%160.4M | -13.67%123.8M | -15.68%169.4M | -15.68%169.4M | -26.76%144.5M | -24.76%159.5M | 5.44%143.4M |
-Recievables adjustments allowances | 35.12%-15.7M | 35.12%-15.7M | 35.35%-13.9M | 20.35%-18M | 19.21%-18.5M | 22.93%-24.2M | 22.93%-24.2M | 12.96%-21.5M | 16.61%-22.6M | 6.15%-22.9M |
Inventory | 11.75%867.4M | 11.75%867.4M | 10.68%818.9M | 10.60%806.7M | 10.58%800.7M | 15.35%776.2M | 15.35%776.2M | 20.27%739.9M | 14.60%729.4M | 18.18%724.1M |
Prepaid assets | 28.85%66.1M | 28.85%66.1M | 21.54%63.2M | 25.73%73.3M | 51.95%62.3M | 7.32%51.3M | 7.32%51.3M | 9.47%52M | 11.47%58.3M | -8.69%41M |
Restricted cash | 17.25%401M | 17.25%401M | 7.59%425M | -5.19%329M | -0.82%362M | -4.74%342M | -4.74%342M | 0.00%395M | 0.00%347M | 7.99%365M |
Other current assets | -30.05%226.3M | -30.05%226.3M | -24.94%242.6M | -13.93%299.6M | -16.18%362.5M | -21.58%323.5M | -21.58%323.5M | -25.20%323.2M | -27.08%348.1M | -13.86%432.5M |
Total current assets | 2.81%1.84B | 2.81%1.84B | 4.96%1.99B | 7.01%1.96B | 1.57%1.83B | -2.87%1.79B | -2.87%1.79B | -0.50%1.9B | -4.52%1.84B | 4.43%1.8B |
Non current assets | ||||||||||
Net PPE | 5.07%24.93B | 5.07%24.93B | 5.74%24.61B | 5.77%24.3B | 6.58%23.95B | 6.52%23.73B | 6.52%23.73B | 6.63%23.28B | 6.31%22.98B | 5.46%22.47B |
-Gross PPE | 5.58%39.1B | 5.58%39.1B | 6.72%38.56B | 6.81%38.04B | 7.41%37.44B | 6.31%37.03B | 6.31%37.03B | 6.55%36.13B | 6.31%35.61B | 5.61%34.86B |
-Accumulated depreciation | -6.49%-14.17B | -6.49%-14.17B | -8.49%-13.95B | -8.70%-13.74B | -8.91%-13.49B | -5.94%-13.3B | -5.94%-13.3B | -6.41%-12.86B | -6.32%-12.64B | -5.88%-12.39B |
Goodwill and other intangible assets | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B |
-Goodwill | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B | 0.00%2.34B |
Investments and advances | 14.80%879.8M | 14.80%879.8M | 23.37%877.4M | 15.41%827.7M | 16.88%805.9M | 17.31%766.4M | 17.31%766.4M | 15.93%711.2M | 4.30%717.2M | -5.96%689.5M |
Other non current assets | 2.89%576.2M | 2.89%576.2M | 1.64%558.7M | 4.30%557.8M | 5.31%583M | 4.77%560M | 4.77%560M | -3.61%549.7M | -6.63%534.8M | -5.59%553.6M |
Total non current assets | 4.30%30.44B | 4.30%30.44B | 5.00%30.16B | 5.01%29.87B | 5.53%29.43B | 5.57%29.19B | 5.57%29.19B | 5.04%28.72B | 4.31%28.44B | 3.22%27.89B |
Total assets | 4.22%32.28B | 4.22%32.28B | 5.00%32.15B | 5.13%31.83B | 5.29%31.26B | 5.04%30.98B | 5.04%30.98B | 4.68%30.62B | 3.73%30.28B | 3.29%29.69B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -0.10%772.8M | -0.10%772.8M | -6.99%704.9M | 0.96%609.1M | -1.07%621.2M | 1.28%773.6M | 1.28%773.6M | 3.41%757.9M | -12.12%603.3M | -2.52%627.9M |
-accounts payable | -0.50%613.8M | -0.50%613.8M | -12.37%366.3M | 1.22%374.3M | -2.65%356.7M | 2.68%616.9M | 2.68%616.9M | 4.97%418M | -22.03%369.8M | -7.50%366.4M |
-Total tax payable | 1.47%159M | 1.47%159M | -0.38%338.6M | 0.56%234.8M | 1.15%264.5M | -3.87%156.7M | -3.87%156.7M | 1.55%339.9M | 10.04%233.5M | 5.44%261.5M |
Current accrued expenses | 1.64%136.4M | 1.64%136.4M | 38.50%169.8M | 16.29%117.1M | 44.96%177M | 7.96%134.2M | 7.96%134.2M | 38.37%122.6M | 9.22%100.7M | -14.79%122.1M |
Current provisions | -28.78%28.7M | -28.78%28.7M | 13.45%46.4M | 10.86%44.9M | 7.30%42.6M | -0.25%40.3M | -0.25%40.3M | 127.22%40.9M | 118.92%40.5M | 108.95%39.7M |
Current debt and capital lease obligation | 7.95%2.26B | 7.95%2.26B | -34.95%2.25B | -24.55%2.12B | -12.47%1.97B | -1.72%2.09B | -1.72%2.09B | 40.38%3.46B | 3.03%2.81B | -2.77%2.25B |
-Current debt | 7.95%2.26B | 7.95%2.26B | -34.95%2.25B | -24.55%2.12B | -12.47%1.97B | -1.72%2.09B | -1.72%2.09B | 40.38%3.46B | 3.03%2.81B | -2.77%2.25B |
Other current liabilities | -1.26%391.2M | -1.26%391.2M | 0.39%359.5M | 5.40%363.2M | -13.67%320.1M | 11.98%396.2M | 11.98%396.2M | 22.14%358.1M | 30.73%344.6M | 70.72%370.8M |
Current liabilities | 4.26%3.66B | 4.26%3.66B | -25.00%3.61B | -16.22%3.31B | -7.98%3.19B | 0.54%3.51B | 0.54%3.51B | 30.99%4.81B | 2.38%3.95B | 2.21%3.47B |
Non current liabilities | ||||||||||
Long term provisions | 9.07%1.27B | 9.07%1.27B | 9.40%1.26B | 9.49%1.25B | 4.06%1.17B | 4.49%1.16B | 4.49%1.16B | 19.60%1.16B | 19.18%1.14B | 18.23%1.12B |
Long term debt and capital lease obligation | 6.84%11.81B | 6.84%11.81B | 24.45%11.57B | 18.40%11.95B | 15.46%11.66B | 11.59%11.05B | 11.59%11.05B | 1.09%9.3B | 9.79%10.1B | 9.19%10.1B |
-Long term debt | 6.84%11.81B | 6.84%11.81B | 24.45%11.57B | 18.40%11.95B | 15.46%11.66B | 11.59%11.05B | 11.59%11.05B | 1.09%9.3B | 9.79%10.1B | 9.19%10.1B |
Non current deferred liabilities | -2.96%2.04B | -2.96%2.04B | 5.60%2.21B | 4.49%2.15B | 4.42%2.12B | 5.07%2.1B | 5.07%2.1B | 5.78%2.1B | 7.34%2.05B | 7.53%2.03B |
Employee benefits | -20.00%371.3M | -20.00%371.3M | 6.02%498.1M | -5.04%486.6M | -1.18%475.4M | 1.24%464.1M | 1.24%464.1M | -47.17%469.8M | -42.19%512.4M | -45.60%481.1M |
Other non current liabilities | 3.52%474M | 3.52%474M | 1.10%457.5M | -0.39%462.1M | -0.99%459.5M | -0.99%457.9M | -0.99%457.9M | -6.37%452.5M | -4.15%463.9M | -5.59%464.1M |
Total non current liabilities | 4.79%18.63B | 4.79%18.63B | 15.24%18.48B | 12.00%18.79B | 10.08%18.4B | 7.73%17.78B | 7.73%17.78B | 0.49%16.04B | 4.72%16.77B | 3.77%16.72B |
Total liabilities | 4.71%22.29B | 4.71%22.29B | 5.96%22.09B | 6.62%22.1B | 6.98%21.59B | 6.47%21.29B | 6.47%21.29B | 6.19%20.85B | 4.27%20.73B | 3.50%20.18B |
Shareholders'equity | ||||||||||
Share capital | 0.15%7.25B | 0.15%7.25B | 0.15%7.24B | 0.14%7.24B | 0.18%7.24B | 0.21%7.23B | 0.21%7.23B | 0.21%7.23B | 0.23%7.23B | 0.22%7.22B |
-common stock | 0.15%7.25B | 0.15%7.25B | 0.15%7.24B | 0.14%7.24B | 0.18%7.24B | 0.21%7.23B | 0.21%7.23B | 0.21%7.23B | 0.23%7.23B | 0.22%7.22B |
Retained earnings | 11.19%2.73B | 11.19%2.73B | 10.22%2.81B | 6.57%2.49B | 5.76%2.43B | 6.93%2.46B | 6.93%2.46B | 4.76%2.55B | 9.45%2.34B | 10.93%2.3B |
Gains losses not affecting retained earnings | 19.59%-23.8M | 19.59%-23.8M | 16.07%-25.6M | 15.67%-26.9M | 14.76%-28.3M | 14.20%-29.6M | 14.20%-29.6M | 23.37%-30.5M | 22.57%-31.9M | 22.07%-33.2M |
Total stockholders'equity | 3.02%9.96B | 3.02%9.96B | 2.83%10.03B | 1.77%9.7B | 1.58%9.64B | 1.89%9.66B | 1.89%9.66B | 1.46%9.75B | 2.45%9.53B | 2.73%9.49B |
Noncontrolling interests | 56.16%34.2M | 56.16%34.2M | 65.43%31.1M | 77.85%28.1M | 96.85%25M | 128.13%21.9M | 128.13%21.9M | 189.23%18.8M | 351.43%15.8M | 3,075.00%12.7M |
Total equity | 3.14%9.99B | 3.14%9.99B | 2.95%10.06B | 1.90%9.73B | 1.71%9.66B | 2.02%9.69B | 2.02%9.69B | 1.58%9.77B | 2.58%9.55B | 2.86%9.5B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |