Zoetis Inc.ZTS

時価総額
$540.9億
PER
動物用医薬品・ワクチン・診断の業界最大手。ワクチン、抗生物質、遺伝子検査、デジタル診断を展開。2022年にオーストラリアの動物医薬企業を約2.4億ドルで買収、2024年10月に飼料添加物事業を約3.09億ドルで売却。北米・欧州を中心に直接販売約45カ国、製品は100カ国超で展開。
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 equivalents-----1,6021,9343,6043,4853,5812,0411,987
Accounts Receivable, after Allowance for Credit Loss, Current1,1389809379139981,0361,0861,0131,1331,2151,3041,316
Inventories1,2931,2891,4671,5021,4271,3911,4101,6281,9232,3452,5642,306
Other current assets219205201248228271318366389365434377
Total current assets3,3573,4653,8303,3904,2174,3994,7486,6116,9307,5066,3435,986
Property, Plant and Equipment, Net1,2951,3181,3071,3811,4351,6581,9402,2022,4222,7533,2043,391
Operating lease right-of-use assets------189192181220230219
Goodwill9829761,4551,4811,5102,5192,5922,6942,6822,7462,7592,724
Intangible Assets, Net (Excluding Goodwill)8037271,1901,2281,2692,0461,8901,7101,4741,3801,3381,127
Noncurrent deferred tax assets-------94100173206540
Other noncurrent assets58674973759498106111147206250
Total assets6,5586,6077,9137,6498,58610,77711,54513,60913,90014,92514,28614,237
Short-Term Debt-----9-4-23-
Current portion of long-term debt------500600-1,350-1,350
Accounts payable506290293265261313301457436405411433
Dividends payable36-4752617995119154174198224
Accrued expenses-475676464432487543556710682683746
Employee-related Liabilities, Current229238234224236266276295392300382441
Income taxes payable40266371603536463815711093
Other current liabilities-85941443455936797102125
Total current liabilities1,4151,0861,7811,1171,0941,2231,8062,1701,7973,1671,8893,412
Long-Term Debt, Excluding Current Maturities3,6423,6434,4634,4684,9536,4435,9476,5956,5926,5526,5645,220
Noncurrent deferred tax liabilities-------378320142146167
Operating lease liabilities------164163151186188174
Other taxes payable49576373172265257260257258271272
Other noncurrent liabilities168207251248201187229270239217237222
Total liabilities5,5965,2706,8226,1506,8008,5928,8379,8369,35610,5229,2959,467
Common Stock, Value, Issued555555555555
Treasury stock, at cost, 53,418,170 and 43,523,885 shares of common stock at December 31, 2024 and 2023, respectively--2034218521,4872,0422,2302,9524,5395,5977,445
Additional paid-in capital8789581,0121,0241,0131,0261,0441,0651,0681,0881,1331,182
Retained earnings2767098761,4772,1093,2704,4275,6597,1868,66810,29511,968
Accumulated other comprehensive loss-219-361-622-598-505-629-726-730-764-817-839-940
Stockholders' Equity Attributable to Parent9621,3371,0911,4991,7862,1852,7083,7734,5444,4054,9974,770
Equity, Attributable to Noncontrolling Interest2226231216--41-2-6-
Total equity9621,3371,0911,4991,7862,1852,7083,7734,5444,4034,9914,770
Total liabilities and equity6,5586,6077,9137,6498,58610,77711,54513,60913,90014,92514,28614,237
Common Stock, Par or Stated Value Per Share-----------0.01