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AbbVie Inc.

ABBV

189.495

USD
+3.44
(+1.85%)
Day's range
187.635
191.32
52 wk Range
153.58
218.66

ABBV Balance Sheet

Period EndingDec 31, 2010Dec 31, 2011Dec 31, 2012Dec 31, 2013Dec 31, 2014Dec 31, 2015Dec 31, 2016Dec 31, 2017Dec 31, 2018Dec 31, 2019Dec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
Cash & Cash Equivalents9,644,00027,000,0005,901,000,0009,595,000,0008,348,000,0008,399,000,0005,100,000,0009,303,000,0007,289,000,00039,924,000,0008,449,000,0009,746,000,0009,201,000,00012,814,000,0005,524,000,000
Short-Term Investments1,131,000626,000,0002,075,000,000300,000,00026,000,0008,000,0001,323,000,000486,000,000772,000,000030,000,00084,000,00028,000,0002,000,00031,000,000
Total Cash & Short-Term Investments10,775,000653,000,0007,976,000,0009,895,000,0008,374,000,0008,407,000,0006,423,000,0009,789,000,0008,061,000,00039,924,000,0008,479,000,0009,830,000,0009,229,000,00012,816,000,0005,555,000,000
Net Receivables3,373,104,0003,817,000,0004,298,000,0004,803,000,0003,735,000,0004,730,000,0004,758,000,0005,088,000,0005,384,000,0005,428,000,0008,822,000,0009,977,000,00011,254,000,00011,155,000,00010,919,000,000
Inventory836,270,000872,000,0001,091,000,0001,150,000,0001,124,000,0001,719,000,0001,444,000,0001,605,000,0001,605,000,0001,813,000,0003,310,000,0003,128,000,0003,579,000,0004,099,000,0004,181,000,000
Other Current Assets3,998,344,0002,012,000,0001,989,000,0002,000,000,0002,848,000,0001,458,000,0003,562,000,0004,741,000,0001,895,000,0002,354,000,0003,562,000,0004,993,000,0004,401,000,0004,932,000,0004,927,000,000
Total Current Assets8,218,493,0007,354,000,00015,354,000,00017,848,000,00016,081,000,00016,314,000,00016,187,000,00021,223,000,00016,945,000,00049,519,000,00024,173,000,00027,928,000,00028,463,000,00033,002,000,00025,582,000,000
Property, Plant & Equipment (Net)2,357,563,0002,144,000,0002,247,000,0002,298,000,0002,485,000,0002,565,000,0002,604,000,0002,803,000,0002,883,000,0002,962,000,0005,248,000,0005,110,000,0004,935,000,0004,989,000,0005,134,000,000
Goodwill6,197,182,0006,100,000,0006,130,000,0006,277,000,0005,862,000,00013,168,000,00015,416,000,00015,785,000,00015,663,000,00015,604,000,00033,124,000,00032,379,000,00032,156,000,00032,293,000,00034,956,000,000
Intangible Assets3,691,178,0002,910,000,0002,323,000,0001,890,000,0001,513,000,00019,709,000,00028,897,000,00027,559,000,00021,233,000,00018,649,000,00082,876,000,00075,951,000,00067,439,000,00055,610,000,00060,068,000,000
Goodwill & Intangible Assets9,888,360,0009,010,000,0008,453,000,0008,167,000,0007,375,000,00032,877,000,00044,313,000,00043,344,000,00036,896,000,00034,253,000,000116,000,000,000108,330,000,00099,595,000,00087,903,000,00095,024,000,000
Long-Term Investments137,360,000229,000,000119,000,000118,000,00092,000,000145,000,0001,783,000,0002,090,000,0001,420,000,00093,000,000293,000,000277,000,000241,000,000304,000,000279,000,000
Tax Assets532,929,000919,650,0000000000000000
Other Non-Current Assets0-135,650,000835,000,000767,000,0001,480,000,0001,149,000,0001,212,000,0001,326,000,0001,208,000,0002,288,000,0004,851,000,0004,884,000,0005,571,000,0008,513,000,0009,142,000,000
Total Non-Current Assets12,916,212,00012,167,000,00011,654,000,00011,350,000,00011,432,000,00036,736,000,00049,912,000,00049,563,000,00042,407,000,00039,596,000,000126,392,000,000118,601,000,000110,342,000,000101,709,000,000109,579,000,000
Other Assets000000000000000
Total Assets21,134,705,00019,521,000,00027,008,000,00029,198,000,00027,513,000,00053,050,000,00066,099,000,00070,786,000,00059,352,000,00089,115,000,000150,565,000,000146,529,000,000138,805,000,000134,711,000,000135,161,000,000
Accounts Payable356,784,000417,000,000556,000,000933,000,0001,401,000,0001,597,000,0001,407,000,0001,474,000,0001,546,000,0001,452,000,0002,276,000,0002,882,000,0002,934,000,0003,688,000,0002,945,000,000
Short-Term Debt016,000,0001,042,000,000431,000,0004,439,000,0002,431,000,000402,000,0006,415,000,0005,308,000,0003,753,000,0008,502,000,00012,495,000,0004,136,000,0007,191,000,0006,804,000,000
Tax Payables000000000000000
Deferred Revenue000000000000000
Other Current Liabilities3,404,464,0005,464,000,0005,178,000,0005,515,000,0005,553,000,0006,866,000,0007,972,000,0008,752,000,00010,385,000,00010,380,000,00017,883,000,00019,817,000,00022,468,000,00026,962,000,00029,000,000,000
Total Current Liabilities3,761,248,0005,897,000,0006,776,000,0006,879,000,00011,393,000,00010,894,000,0009,781,000,00016,641,000,00017,239,000,00015,585,000,00028,661,000,00035,194,000,00029,538,000,00037,841,000,00038,749,000,000
Long-Term Debt032,000,00014,630,000,00014,292,000,00010,538,000,00029,240,000,00036,440,000,00030,953,000,00035,002,000,00063,246,000,00078,407,000,00064,927,000,00059,906,000,00052,956,000,00060,340,000,000
Non-Current Deferred Revenue000000000000000
Non-Current Deferred Tax Liabilities0646,000,000360,000,000570,000,000159,000,0005,276,000,0006,890,000,0002,490,000,0001,067,000,0001,130,000,0003,646,000,0003,009,000,0002,190,000,00002,579,000,000
Other Non-Current Liabilities1,185,458,0001,014,000,0001,879,000,0003,535,000,0003,840,000,0008,971,000,00015,242,000,00018,095,000,00015,557,000,00018,456,000,00030,400,000,00030,972,000,00032,074,000,00033,517,000,00030,129,000,000
Total Non-Current Liabilities1,670,458,0001,692,000,00016,869,000,00017,827,000,00014,378,000,00038,211,000,00051,682,000,00049,048,000,00050,559,000,00081,702,000,000108,807,000,00095,899,000,00091,980,000,00086,473,000,00093,048,000,000
Other Liabilities000000000000000
Capital Lease Obligations000000000271,000,000853,000,000738,000,000771,000,000762,000,0000
Total Liabilities5,431,706,0007,589,000,00023,645,000,00024,706,000,00025,771,000,00049,105,000,00061,463,000,00065,689,000,00067,798,000,00097,287,000,000137,468,000,000131,093,000,000121,518,000,000124,314,000,000131,797,000,000
Preferred Stock000000000000000
Common Stock011,957,000,0003,713,000,00016,000,00016,000,00017,000,00018,000,00018,000,00018,000,00018,000,00018,000,00018,000,00018,000,00018,000,00018,000,000
Retained Earnings0001,567,000,000535,000,0002,248,000,0004,378,000,0005,459,000,0003,368,000,0004,717,000,0001,055,000,0003,127,000,0004,784,000,000-1,000,000,000-7,900,000,000
Accumulated Other Comprehensive Income/Loss288,289,000-25,166,000-350,000,000-442,000,000-2,031,000,000-2,561,000,000-2,586,000,000-2,727,000,000-2,480,000,000-3,596,000,000-3,117,000,000-2,899,000,000-2,199,000,000-2,305,000,000-1,925,000,000
Other Total Stockholders' Equity0003,351,000,0003,222,000,0004,241,000,0002,826,000,0002,347,000,000-9,352,000,000-9,311,000,00015,120,000,00015,162,000,00014,651,000,00013,647,000,00013,132,000,000
Total Stockholders' Equity15,702,999,00011,932,000,0003,363,000,0004,492,000,0001,742,000,0003,945,000,0004,636,000,0005,097,000,000-8,446,000,000-8,172,000,00013,076,000,00015,408,000,00017,254,000,00010,360,000,0003,325,000,000
Total Equity15,702,999,00011,932,000,0003,363,000,0004,492,000,0001,742,000,0003,945,000,0004,636,000,0005,097,000,000-8,446,000,000-8,172,000,00013,097,000,00015,436,000,00017,287,000,00010,397,000,0003,364,000,000
Total Liabilities & Stockholders' Equity21,134,705,00019,521,000,00027,008,000,00029,198,000,00027,513,000,00053,050,000,00066,099,000,00070,786,000,00059,352,000,00089,115,000,000150,565,000,000146,529,000,000138,805,000,000134,711,000,000135,161,000,000
Minority Interest000000000021,000,00028,000,00033,000,00037,000,00039,000,000
Total Liabilities & Total Equity21,134,705,00019,521,000,00027,008,000,00029,198,000,00027,513,000,00053,050,000,00066,099,000,00070,786,000,00059,352,000,00089,115,000,000150,565,000,000146,529,000,000138,805,000,000134,711,000,000135,161,000,000
Total Investments138,491,000855,000,0002,194,000,000418,000,000118,000,000153,000,0003,106,000,0002,576,000,0002,192,000,00093,000,000323,000,000361,000,000269,000,000306,000,000310,000,000
Total Debt048,000,00015,672,000,00014,723,000,00014,977,000,00031,671,000,00036,842,000,00037,368,000,00040,310,000,00066,728,000,00086,056,000,00076,684,000,00063,271,000,00059,385,000,00067,144,000,000
Net Debt-9,644,00021,000,0009,771,000,0005,128,000,0006,629,000,00023,272,000,00031,742,000,00028,065,000,00033,021,000,00026,804,000,00077,607,000,00066,938,000,00054,070,000,00046,571,000,00061,620,000,000