GILEAD SCIENCES, INC.GILD

時価総額
$1571.4億
PER
バイオ医薬品開発・販売の大手。抗ウイルス薬、抗がん剤やCAR-Tなどの医薬品を展開。2024年3月に新興バイオ企業を39億ドルで買収、2023年2月に臨床段階のCAR-T企業を3億ドルで買収、2023年5月に小分子ベンチャーを2億ドルで買収。米国・欧州・アジア中心に35カ国超で展開。
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
Net income:2,8902,7892,5743,05712,05918,10613,4884,6445,4605,364896,2014,5665,613480
Depreciation677283103125161177233226255288329323354381
Amortization1982301952429259379811,0531,2031,1491,1921,7211,7802,3392,386
Stock-based compensation expense200192209252360382380638845636643635637766835
Deferred income taxes12------------1,552-962-1,844
Net loss from equity securities---------1,241-1,662-610-657-167-274
Acquired in-process research and development expenses-------------1,1554,663
In-process research and development impairments------432-820800--2,700504,200
Other-482-----304-56-184-250-1,217-780-826-353
Accounts receivable, net349376-1983152,5781,397-1,192-754-4802181,171-313406-157-139
Inventories161201350343-14385548825331095195-11310842426
Prepaid expenses and other701412917037190520-358-90330721442-70-39259
Accounts payable-4429117-98-28922647-430-39-6180-118226-347290
Increase (Decrease) in Income Taxes--------------1,768-732
Accrued and other liabilities1203013863122,0132,632425-818-514-389640689-775458108
Net cash provided by operating activities2,8343,6393,1953,10512,81820,32916,66911,8988,4009,1448,16811,3849,0728,00610,828
Purchases of marketable debt securities-------------1,930244
Proceeds from sales of marketable debt securities-----------7304125102,265
Proceeds from maturities of marketable debt securities6847884578527191,7007,82124,33622,3989,4792,1801,5901,334327
Acquisitions, including in-process research and development, net of cash acquired9158910,752379---10,426--25,7421,4021,7971,1524,840
Purchases of equity securities--25-18-357-3461,773455380172442492
Capital expenditures----------650579728585523
Other---------38417116311-58
Net cash used in investing activities-1,9383,590-11,846-254-1,823-12,475-11,985-16,06914,355-7,817-14,615-3,131-2,466-2,265-3,449
Proceeds from Debt, Net of Issuance Costs----7,9329,9025,2938,985--8,184--1,9803,464
Proceeds from Issuance of Common Stock221212466313331319208234289209256169309232422
Repurchases of common stock under repurchase programs4,0232,3836675825,34910,00211,0019542,9001,7491,5835461,3961,0001,150
Repayments of debt and other obligations--1,8374,4404,7799971,9811,8116,2502,7502,5004,7501,5002,2501,970
Payments of dividends-----1,8742,4552,7312,9713,2223,4493,6053,7093,8093,918
Other--------330-486-122-138-145-173-279-281
Net cash used in financing activities-1,3391,764563-2,544-3,025-4,963-9,3473,393-12,318-7,634770-8,877-6,469-5,125-3,433
Effect of exchange rate changes on cash and cash equivalents----------243-35-6357-40
Net change in cash and cash equivalents----------6,309-5,634-659746733,906
Interest paid, net of amounts capitalized---2383305298851,0381,070982951979907891951
Income taxes paid1,1306211,1011,0512,0603,1372,4363,3423,1981,7932,6392,5093,1363,9902,779