PERRIGO Co plcPRGO

時価総額
$17.4億
PER
セルフケア製品の最大手。OTC・プライベートブランド医薬品とOpillのOTC化を展開。2022年4月に約18億ユーロで欧州ブランドを買収、2022年11月に工場を1.1億ドルで取得。米国・欧州・豪州中心に展開。
2014年
6月28日
2015年
6月27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, cash equivalents and restricted cash-----3546421,865601751559
Accounts Receivable, after Allowance for Credit Loss, Current9351,2821,1761,1311,0731,2431,054653697740642
Inventories6328397958078789671,2001,0201,1501,1411,082
Prepaid expenses and other current assets116141212203400192238306272201199
Total current assets2,5513,1832,8052,8202,9022,7573,1343,8602,7202,8332,482
Property, plant and equipment, net780932870833829903996864926916918
Operating lease assets-----130186167217184175
Goodwill And Indefinite Lived Intangibles3,5447,2354,1644,2664,0294,1863,7843,0053,5493,5343,325
Finite-Lived Intangible Assets, Net6,7878,1063,3973,2912,8592,9212,9742,1463,2302,9812,424
Deferred income taxes---10154477265
Other non-current assets195225212410363400371378368335319
Total non-current assets11,32916,53811,0658,8098,0818,5458,3556,5668,2977,9767,166
Total assets13,88019,72113,87011,62910,98311,30111,48810,42611,01710,8099,648
Accounts payable364748472450475520544411537478495
Payroll and related taxes112134116149132156175119136127123
Accrued customer programs257368380420442394366126139164133
Other accrued liabilities----------239
Accrued income taxes1753321169732917144217
Current indebtedness14258573701903386043644136
Total current liabilities1,0751,6941,8361,4361,5371,3361,3821,5881,1141,5861,044
Long-term debt, less current portion3,0915,2475,2253,2713,0523,3663,5282,9174,0703,6333,582
Deferred income taxes---322282281279239368262203
Other non-current liabilities293372462430443515644530623560499
Total non-current liabilities4,1127,3646,0764,0223,7784,1624,4513,6865,0624,4554,284
Total liabilities5,1879,0587,9135,4585,3155,4975,8335,2746,1756,0415,328
Preferred Stock, Value, Issued-----------
Common Stock, Value, Issued6,6788,6228,1357,8937,4227,3607,1187,0436,9376,8386,734
Accumulated other comprehensive income140102-822538513939536-2711-162
Retained earnings (accumulated deficit)1,8751,938-2,095-1,975-1,838-1,695-1,858-1,927-2,068-2,080-2,252
Total shareholders’ equity8,69410,6635,9586,1715,6685,8045,6555,1524,8424,7684,319
Total liabilities and shareholders' equity13,88019,72113,87011,62910,98311,30111,48810,42611,01710,8099,648