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AbbVie Inc.

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index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42
Rok finansowy 2014 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017 2018 2018 2018 2018 2019 2019 2019 2019 2020 2020 2020 2020 2021 2021 2021 2021 2022 2022 2022 2022 2023 2023 2023 2023 2024 2024 2024 2024 2025
Kwartał Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1
Aktywa 28 454.0 27 547.0 26 699.0 53 855.0 54 832.0 53 050.0 53 720.0 67 211.0 66 626.0 66 099.0 65 664.0 66 994.0 68 840.0 70 786.0 69 342.0 61 641.0 66 164.0 59 352.0 56 769.0 57 142.0 59 441.0 89 115.0 91 199.0 149 530.0 149 621.0 150 565.0 150 501.0 147 972.0 148 858.0 146 529.0 143 211.0 143 186.0 141 325.0 138 805.0 134 544.0 135 367.0 136 221.0 134 711.0 148 874.0 141 937.0 143 422.0 135 161.0 136 165.0
Aktywa trwałe 10 899.0 11 459.0 11 291.0 36 978.0 36 920.0 36 736.0 37 098.0 50 420.0 50 336.0 49 912.0 50 117.0 50 032.0 49 910.0 49 563.0 48 898.0 47 796.0 47 699.0 42 407.0 42 356.0 42 042.0 39 275.0 39 596.0 39 441.0 128 274.0 126 612.0 126 392.0 123 932.0 121 973.0 119 901.0 118 601.0 116 702.0 114 086.0 110 961.0 110 342.0 108 056.0 106 515.0 102 997.0 101 709.0 110 003.0 108 121.0 115 637.0 109 579.0 108 490.0
Rzeczowe aktywa trwałe netto 2 432.0 2 485.0 2 431.0 2 517.0 2 546.0 2 565.0 2 597.0 2 618.0 2 638.0 2 604.0 2 612.0 2 657.0 2 697.0 2 803.0 2 828.0 2 787.0 2 950.0 2 883.0 2 860.0 2 879.0 2 894.0 2 962.0 2 961.0 4 908.0 4 986.0 5 248.0 5 193.0 5 161.0 5 130.0 5 110.0 5 075.0 4 958.0 4 893.0 4 935.0 4 931.0 4 943.0 4 934.0 4 989.0 4 980.0 5 023.0 5 141.0 5 134.0 5 237.0
Wartość firmy 6 002.0 5 862.0 5 534.0 13 209.0 13 243.0 13 168.0 13 274.0 15 507.0 15 657.0 15 416.0 15 490.0 15 652.0 15 748.0 15 785.0 15 880.0 15 692.0 15 718.0 15 663.0 15 606.0 15 642.0 15 537.0 15 604.0 15 561.0 42 669.0 42 801.0 33 124.0 32 349.0 32 398.0 32 296.0 32 379.0 32 298.0 32 028.0 31 726.0 32 156.0 32 220.0 32 224.0 32 091.0 32 293.0 33 426.0 33 386.0 35 295.0 34 956.0 35 285.0
Wartości niematerialne i prawne 1 540.0 1 513.0 1 478.0 19 937.0 19 822.0 19 709.0 19 512.0 29 450.0 29 113.0 28 897.0 28 629.0 28 366.0 28 167.0 27 559.0 27 230.0 26 903.0 26 625.0 21 233.0 20 846.0 20 459.0 19 036.0 18 649.0 18 203.0 76 463.0 74 643.0 82 876.0 81 293.0 79 340.0 77 456.0 75 951.0 73 986.0 71 823.0 68 725.0 67 439.0 64 848.0 62 862.0 58 603.0 55 610.0 62 225.0 60 243.0 66 646.0 60 068.0 58 489.0
Wartość firmy i wartości niematerialne i prawne 7 542.0 7 375.0 7 012.0 33 146.0 33 065.0 32 877.0 32 786.0 44 957.0 44 770.0 44 313.0 44 119.0 44 018.0 43 915.0 43 344.0 43 110.0 42 595.0 42 343.0 36 896.0 36 452.0 36 101.0 34 573.0 34 253.0 33 764.0 119 132.0 117 444.0 116 000.0 113 642.0 111 738.0 109 752.0 108 330.0 106 284.0 103 851.0 100 451.0 99 595.0 97 068.0 95 086.0 90 694.0 87 903.0 95 651.0 93 629.0 101 941.0 95 024.0 93 774.0
Należności netto 3 995.0 4 291.0 4 356.0 4 367.0 4 574.0 4 730.0 4 753.0 5 048.0 4 999.0 4 758.0 4 677.0 4 859.0 4 891.0 5 088.0 5 841.0 5 793.0 5 780.0 5 384.0 5 680.0 5 482.0 5 529.0 5 428.0 6 362.0 8 354.0 8 416.0 8 822.0 9 588.0 9 914.0 9 281.0 9 977.0 10 733.0 11 237.0 10 743.0 11 254.0 11 473.0 11 491.0 11 412.0 11 155.0 11 949.0 11 724.0 11 472.0 10 919.0 12 477.0
Inwestycje długoterminowe 124.0 92.0 93.0 134.0 74.0 145.0 387.0 1 400.0 1 378.0 1 783.0 2 123.0 2 052.0 1 971.0 2 090.0 2 057.0 1 505.0 1 463.0 1 420.0 1 477.0 1 473.0 131.0 93.0 78.0 225.0 246.0 293.0 305.0 266.0 272.0 277.0 260.0 244.0 235.0 241.0 257.0 288.0 275.0 304.0 305.0 272.0 267.0 279.0 287.0
Aktywa obrotowe 17 555.0 16 088.0 15 408.0 16 877.0 17 912.0 16 314.0 16 622.0 16 791.0 16 290.0 16 187.0 15 547.0 16 962.0 18 930.0 21 223.0 20 444.0 13 845.0 18 465.0 16 945.0 14 413.0 15 100.0 20 166.0 49 519.0 51 758.0 21 256.0 23 009.0 24 173.0 26 569.0 25 999.0 28 957.0 27 928.0 26 509.0 29 100.0 30 364.0 28 463.0 26 488.0 28 852.0 33 224.0 33 002.0 38 871.0 33 816.0 27 785.0 25 582.0 27 675.0
Środki pieniężne i Inwestycje 7 728.0 8 374.0 7 924.0 8 279.0 9 249.0 8 407.0 8 600.0 8 002.0 7 950.0 6 423.0 6 248.0 7 205.0 9 554.0 9 789.0 9 474.0 3 743.0 8 785.0 8 061.0 5 228.0 5 416.0 10 648.0 39 924.0 41 142.0 6 040.0 7 950.0 8 479.0 9 777.0 8 600.0 12 249.0 9 830.0 7 572.0 9 961.0 11 879.0 9 229.0 6 722.0 8 766.0 13 290.0 12 816.0 18 069.0 13 157.0 7 285.0 5 555.0 5 176.0
Zapasy 1 008.0 1 124.0 1 022.0 1 623.0 1 841.0 1 719.0 1 789.0 1 756.0 1 630.0 1 444.0 1 427.0 1 582.0 1 785.0 1 605.0 1 738.0 1 580.0 1 786.0 1 605.0 1 702.0 1 895.0 1 929.0 1 813.0 1 844.0 4 059.0 3 474.0 3 310.0 3 272.0 3 386.0 3 094.0 3 128.0 3 483.0 3 396.0 3 172.0 3 579.0 3 833.0 4 055.0 3 981.0 4 099.0 4 245.0 4 218.0 4 450.0 4 181.0 4 526.0
Inwestycje krótkoterminowe 9.0 26.0 18.0 879.0 26.0 8.0 1 044.0 1 675.0 1 732.0 1 323.0 1 508.0 1 117.0 1 108.0 486.0 467.0 196.0 770.0 772.0 331.0 244.0 0.0 0.0 0.0 23.0 60.0 30.0 22.0 54.0 67.0 84.0 1 474.0 1 440.0 47.0 28.0 11.0 7.0 3.0 2.0 2.0 27.0 28.0 31.0 1.0
Środki pieniężne i inne aktywa pieniężne 7 719.0 8 348.0 7 906.0 7 400.0 9 223.0 8 399.0 7 556.0 6 327.0 6 218.0 5 100.0 4 740.0 6 088.0 8 446.0 9 303.0 9 007.0 3 547.0 8 015.0 7 289.0 4 897.0 5 172.0 10 648.0 39 924.0 41 142.0 6 017.0 7 890.0 8 449.0 9 755.0 8 546.0 12 182.0 9 746.0 6 098.0 8 521.0 11 832.0 9 201.0 6 711.0 8 759.0 13 287.0 12 814.0 18 067.0 13 130.0 7 257.0 5 524.0 5 175.0
Należności krótkoterminowe 0.0 881.0 0.0 0.0 0.0 1 597.0 0.0 0.0 0.0 1 407.0 0.0 0.0 0.0 1 474.0 0.0 0.0 0.0 1 546.0 0.0 0.0 0.0 1 452.0 0.0 0.0 0.0 2 276.0 0.0 0.0 0.0 2 882.0 0.0 0.0 0.0 2 934.0 0.0 0.0 0.0 3 688.0 0.0 0.0 0.0 2 945.0 0.0
Dług krótkoterminowy 323.0 4 446.0 4 590.0 4 007.0 768.0 2 431.0 2 423.0 517.0 26.0 402.0 425.0 3 420.0 3 821.0 6 415.0 6 381.0 6 530.0 4 021.0 5 308.0 2 078.0 5 641.0 5 276.0 3 753.0 3 762.0 5 371.0 4 777.0 8 502.0 11 347.0 7 901.0 6 672.0 12 495.0 9 952.0 11 930.0 9 207.0 4 136.0 2 801.0 5 203.0 5 115.0 7 191.0 10 196.0 12 586.0 12 570.0 6 804.0 5 362.0
Zobowiązania krótkoterminowe 6 635.0 11 400.0 11 050.0 11 258.0 8 813.0 10 894.0 10 662.0 9 272.0 9 103.0 9 781.0 8 844.0 12 259.0 13 033.0 16 641.0 17 058.0 17 224.0 15 387.0 17 239.0 13 904.0 16 941.0 17 493.0 15 585.0 16 471.0 24 646.0 24 181.0 28 661.0 31 951.0 28 684.0 28 533.0 35 194.0 32 521.0 34 473.0 32 712.0 29 538.0 27 590.0 32 239.0 34 773.0 37 841.0 41 522.0 41 915.0 43 062.0 38 749.0 36 403.0
Rozliczenia międzyokresowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Zobowiązania długoterminowe 17 174.0 14 405.0 14 272.0 37 093.0 41 156.0 38 211.0 38 415.0 52 299.0 51 054.0 51 682.0 51 822.0 48 726.0 49 120.0 49 048.0 48 731.0 47 792.0 53 698.0 50 559.0 50 691.0 48 767.0 50 174.0 81 702.0 82 143.0 110 152.0 110 151.0 108 807.0 104 817.0 106 694.0 106 748.0 95 899.0 94 376.0 94 025.0 92 586.0 91 980.0 93 651.0 90 230.0 89 319.0 86 473.0 99 305.0 93 201.0 94 289.0 93 048.0 98 300.0
Rezerwy z tytułu odroczonego podatku 0.0 630.0 0.0 6 059.0 5 996.0 5 276.0 5 412.0 7 180.0 6 124.0 6 890.0 6 797.0 6 391.0 6 147.0 2 490.0 2 304.0 1 670.0 1 490.0 1 067.0 1 116.0 1 148.0 1 058.0 1 130.0 959.0 4 785.0 4 485.0 3 646.0 3 768.0 3 661.0 3 602.0 3 009.0 2 831.0 2 255.0 1 972.0 2 190.0 2 110.0 2 124.0 2 044.0 1 952.0 2 722.0 2 726.0 2 749.0 2 579.0 2 582.0
Zobowiązania długoterminowe 17 174.0 14 405.0 14 272.0 37 093.0 41 156.0 38 211.0 38 415.0 52 299.0 51 054.0 51 682.0 51 822.0 48 726.0 49 120.0 49 048.0 48 731.0 47 792.0 53 698.0 50 559.0 50 691.0 48 767.0 50 174.0 81 702.0 82 143.0 110 152.0 110 151.0 108 807.0 104 817.0 106 694.0 106 748.0 95 899.0 94 376.0 94 025.0 92 586.0 91 980.0 93 651.0 90 230.0 89 319.0 86 473.0 99 305.0 93 201.0 94 289.0 93 048.0 98 300.0
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Zobowiązania ogółem 23 809.0 25 805.0 25 322.0 48 351.0 49 969.0 49 105.0 49 077.0 61 571.0 60 157.0 61 463.0 60 666.0 60 985.0 62 153.0 65 689.0 65 789.0 65 016.0 69 085.0 67 798.0 64 595.0 65 708.0 67 667.0 97 287.0 98 614.0 134 798.0 134 332.0 137 468.0 136 768.0 135 378.0 135 281.0 131 093.0 126 897.0 128 498.0 125 298.0 121 518.0 121 241.0 122 469.0 124 092.0 124 314.0 140 827.0 135 116.0 137 351.0 131 797.0 134 703.0
Kapitał (fundusz) podstawowy 16.0 16.0 16.0 17.0 17.0 17.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0 18.0
Zyski zatrzymane 2 131.0 535.0 739.0 1 256.0 1 654.0 2 248.0 2 673.0 3 349.0 4 011.0 4 378.0 5 063.0 5 951.0 6 547.0 5 459.0 4 977.0 5 495.0 6 789.0 3 368.0 4 234.0 3 384.0 3 673.0 4 717.0 5 973.0 3 130.0 3 335.0 1 055.0 2 292.0 740.0 1 600.0 3 127.0 5 103.0 3 516.0 4 953.0 4 784.0 2 393.0 1 789.0 933.0 (1 000.0) (2 384.0) (3 768.0) (4 964.0) (7 900.0) (9 527.0)
Kapitał własny 4 645.0 1 742.0 1 377.0 5 504.0 4 863.0 3 945.0 4 643.0 5 640.0 6 469.0 4 636.0 4 998.0 6 009.0 6 687.0 5 097.0 3 553.0 (3 375.0) (2 921.0) (8 446.0) (7 826.0) (8 566.0) (8 226.0) (8 172.0) (7 415.0) 14 732.0 15 289.0 13 097.0 13 733.0 12 594.0 13 577.0 15 436.0 16 314.0 14 688.0 16 027.0 17 287.0 13 303.0 12 898.0 12 129.0 10 397.0 8 047.0 6 821.0 6 071.0 3 364.0 1 462.0
Udziały mniejszościowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 24.0 19.0 21.0 23.0 25.0 27.0 28.0 31.0 35.0 33.0 33.0 29.0 32.0 35.0 37.0 40.0 43.0 39.0 39.0 42.0
Pasywa 28 454.0 27 547.0 26 699.0 53 855.0 54 832.0 53 050.0 53 720.0 67 211.0 66 626.0 66 099.0 65 664.0 66 994.0 68 840.0 70 786.0 69 342.0 61 641.0 66 164.0 59 352.0 56 769.0 57 142.0 59 441.0 89 115.0 91 199.0 149 530.0 149 621.0 150 565.0 150 501.0 147 972.0 148 858.0 146 529.0 143 211.0 143 186.0 141 325.0 138 805.0 134 544.0 135 367.0 136 221.0 134 711.0 148 874.0 141 937.0 143 422.0 135 161.0 136 165.0
Inwestycje 133.0 118.0 111.0 1 013.0 100.0 153.0 1 431.0 3 075.0 3 110.0 3 106.0 3 631.0 3 169.0 3 079.0 2 576.0 2 524.0 1 701.0 2 233.0 2 192.0 1 808.0 1 717.0 131.0 93.0 78.0 248.0 306.0 323.0 327.0 320.0 339.0 361.0 1 734.0 1 684.0 282.0 269.0 268.0 295.0 278.0 306.0 307.0 299.0 295.0 310.0 288.0
Dług 14 792.0 15 011.0 15 273.0 31 123.0 32 127.0 31 671.0 31 913.0 37 845.0 37 310.0 36 842.0 36 951.0 37 237.0 37 795.0 37 368.0 37 287.0 37 109.0 40 508.0 40 310.0 37 144.0 37 260.0 38 402.0 66 728.0 67 046.0 87 432.0 87 059.0 86 056.0 85 530.0 82 138.0 80 721.0 76 684.0 73 474.0 72 932.0 69 606.0 63 271.0 62 093.0 61 015.0 60 746.0 59 385.0 74 001.0 70 634.0 71 079.0 67 144.0 69 889.0
Środki pieniężne i inne aktywa pieniężne 7 719.0 8 348.0 7 906.0 7 400.0 9 223.0 8 399.0 7 556.0 6 327.0 6 218.0 5 100.0 4 740.0 6 088.0 8 446.0 9 303.0 9 007.0 3 547.0 8 015.0 7 289.0 4 897.0 5 172.0 10 648.0 39 924.0 41 142.0 6 017.0 7 890.0 8 449.0 9 755.0 8 546.0 12 182.0 9 746.0 6 098.0 8 521.0 11 832.0 9 201.0 6 711.0 8 759.0 13 287.0 12 814.0 18 067.0 13 130.0 7 257.0 5 524.0 5 175.0
Dług netto 7 073.0 6 663.0 7 367.0 23 723.0 22 904.0 23 272.0 24 357.0 31 518.0 31 092.0 31 742.0 32 211.0 31 149.0 29 349.0 28 065.0 28 280.0 33 562.0 32 493.0 33 021.0 32 247.0 32 088.0 27 754.0 26 804.0 25 904.0 81 415.0 79 169.0 77 607.0 75 775.0 73 592.0 68 539.0 66 938.0 67 376.0 64 411.0 57 774.0 54 070.0 55 382.0 52 256.0 47 459.0 46 571.0 55 934.0 57 504.0 63 822.0 61 620.0 64 714.0
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