BRISTOL MYERS SQUIBB COBMY

時価総額
$1085.5億
PER
研究開発から製造・販売まで手掛けるグローバルバイオ医薬品の最大手。がん、免疫、心血管、神経領域の革新的医薬品や抗PD-1などの免疫療法を展開。2024年にKaruna、RayzeBioを買収、ミラティを約48億ドルで買収。米国中心に製造拠点約130サイト、従業員約34,100人で43カ国に展開。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents5,0335,7761,6563,5865,5712,3854,2375,4216,91112,34614,54613,9799,12311,46410,346
Marketable debt securities-------------816513
Receivables3,4803,7433,0833,3603,3904,2995,5436,3005,9657,6858,5019,3699,88610,92110,747
Inventories1,2041,3841,6571,4981,5601,2211,2411,1661,1954,2932,0742,0952,3392,6622,557
Other current assets---4124704915705761,1161,9833,7864,8325,7955,9075,617
Total Current assets13,27315,3189,52118,91614,60810,41513,70414,85417,16029,35430,19233,26227,27331,77029,780
Property, plant and equipment4,6644,5215,3334,5794,4174,4124,9805,0015,0276,2525,8866,0496,2556,6467,136
Goodwill5,2335,5867,6357,0967,0276,8816,8756,8636,53822,48820,54720,50221,14921,16921,719
Other intangible assets3,3703,1248,7782,3181,7531,4191,3851,2101,09163,96953,24342,52735,85927,07223,307
Deferred income taxes----------1,1611,4391,3442,7684,236
Marketable debt securities-------------364320
Other non-current assets1,0058249041,4286211,1171,0481,5332,0246,6047,0195,5354,9405,3706,105
Total Assets31,07632,97035,89738,59233,74931,74833,70733,55134,986129,944118,481109,31496,82095,15992,603
Debt, Current---3595901399929871,7033,3462,3404,9484,2643,1192,046
Accounts payable1,9832,6032,2022,5592,4871,5651,6642,2481,8922,4452,7132,9493,0403,2593,602
Other current liabilities---------12,51314,02713,97114,58615,88418,126
Total Current liabilities6,7397,7808,27912,4408,4618,0178,8419,56310,65418,30419,08021,86821,89022,26223,774
Deferred income taxes---------6,4545,4074,5012,166338369
Long-term debt5,3285,3766,5687,9817,2426,5505,7166,9755,64643,38748,33639,60535,05636,65347,603
Other non-current liabilities4244914756256184801,2831,1641,04810,1017,7767,3346,5906,4214,469
Total Liabilities15,43817,10322,25923,35618,76617,32417,36021,70420,85978,24680,59973,30865,70265,67476,215
Commitments and contingencies---------------
Preferred Stock, Value, Issued---------------
Common Stock, Value, Outstanding-------------292292
Additional Paid in Capital3,6823,1142,6941,9221,5071,4591,7251,8982,08143,70944,32544,36145,16545,68446,024
Accumulated other comprehensive loss-2,371-3,045-3,202-2,141-2,425-2,468-2,503-2,289-2,762-1,520-1,839-1,268-1,281-1,546-1,238
Retained earnings31,63633,06932,73332,95232,54131,61333,51331,16034,06534,47421,28123,82025,50328,76614,912
Less cost of treasury stock — 894 million common shares in 2024 and 902 million common shares in 2023------------38,61843,76643,655
Total BMS Shareholders’ Equity15,71315,95613,63815,23614,98314,42416,34711,84714,12751,69837,88236,00631,11829,48516,388
Noncontrolling interest75-891582131158170106961006060575553
Total Equity15,63815,86713,63815,23614,98314,42416,34711,84714,12751,69837,88236,00631,11829,48516,388
Total Liabilities and Equity31,07632,97035,89738,59233,74931,74833,70733,55134,986129,944118,481109,31496,82095,15992,603