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Pfizer PFE
$ 26.36 2.29%

Quarterly report 2024-Q3
added 11-04-2024

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Pfizer Balance Sheet 2011-2024 | PFE

Annual Balance Sheet Pfizer

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

59.2 B 33.1 B 34.7 B 34.1 B 50.8 B 40.1 B 41.3 B 39.5 B 35.3 B 33.3 B 34.3 B 27.1 B 35.4 B

Long Term Debt

61.5 B 32.9 B 36.2 B 35.6 B 36 B 32.4 B 32.7 B 31.4 B 28.8 B 31.5 B 30.5 B 31 B 34.9 B

Long Term Debt Current

527 M 620 M 449 M 321 M 276 M 4.78 B 3.55 B 4.22 B 3.72 B 3.01 B 2.06 B 2.45 B 6 M

Total Non Current Liabilities

- - - - 66.7 B 63.8 B 69.7 B 80.7 B 73.1 B 76 B 72.1 B 75.5 B 77.3 B

Total Current Liabilities

47.8 B 42.1 B 42.7 B 25.9 B 37.3 B 31.9 B 30.4 B 31.1 B 29.4 B 21.6 B 23.4 B 28.6 B 28.1 B

Total Liabilities

137 B 101 B 104 B 90.8 B 104 B 95.7 B 100 B 112 B 102 B 97.7 B 95.5 B 104 B 105 B

Deferred Revenue

2.7 B 2.52 B 3.07 B - - - - - - - - - -

Retained Earnings

118 B 126 B 103 B 96.8 B 97.7 B 89.6 B 85.3 B 71.8 B 72 B 72.2 B 69.7 B 54.2 B 46.2 B

Total Assets

227 B 197 B 181 B 154 B 167 B 159 B 172 B 172 B 167 B 169 B 172 B 186 B 188 B

Cash and Cash Equivalents

2.85 B 416 M 1.98 B 1.82 B 1.3 B 1.14 B 1.34 B 2.6 B 3.64 B 3.34 B 2.18 B 10.1 B 3.18 B

Book Value

89.3 B 95.9 B 77.5 B 63.5 B 63.4 B 63.8 B 71.7 B 59.8 B 65 B 71.6 B 76.6 B 81.7 B 82.6 B

Total Shareholders Equity

89 B 95.7 B 77.5 B 63.5 B 63.1 B 63.4 B 71.3 B 59.5 B 64.7 B 71.3 B 76.3 B 81.3 B 82.2 B

All numbers in USD currency

Quarterly Balance Sheet Pfizer

2024-Q3 2024-Q2 2024-Q1 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

58 B 57.5 B 61.3 B 61 B 61.4 B 31.7 B 32.9 B 32.6 B 34.3 B 35.7 B 36.2 B 36.2 B 35.4 B 35.3 B 37.1 B 37.1 B 37.1 B 37.1 B 36 B 36 B 36 B 36 B 32.9 B 32.9 B 32.9 B 32.9 B 33.5 B 33.5 B 33.5 B 33.5 B 31.4 B 31.4 B 31.4 B 31.4 B 28.7 B 28.7 B 28.7 B 28.7 B 31.5 B 31.5 B 31.5 B 31.5 B 30.5 B 30.5 B 30.5 B 30.5 B 31 B 31 B 31 B 31 B 34.9 B 34.9 B 34.9 B 34.9 B

Total Non Current Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Total Liabilities

127 B 128 B 129 B 118 B 121 B 94.4 B 101 B 102 B 108 B 101 B 104 B 103 B 99.6 B 90 B 90.8 B 90.8 B 90.8 B 90.8 B 104 B 104 B 104 B 104 B 95.7 B 95.7 B 95.7 B 95.7 B 100 B 100 B 100 B 100 B 112 B 112 B 112 B 112 B 102 B 102 B 102 B 102 B 95.9 B 97.7 B 97.7 B 97.7 B 95.5 B 95.5 B 95.5 B 95.5 B 104 B 104 B 104 B 104 B 105 B 105 B 105 B 105 B

Deferred Revenue

2.02 B 2.53 B 2.5 B 2.2 B 1.29 B 1.75 B 2.52 B 6.19 B 3.8 B 3.11 B 3.07 B 3.53 B 4.29 B 2.05 B 1.11 B 1.11 B 1.11 B 1.11 B - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Retained Earnings

121 B 117 B 121 B 126 B 129 B 131 B 126 B 123 B 117 B 111 B 103 B 102 B 96.3 B 95.2 B 90.4 B 90.4 B 90.4 B 90.4 B 97.7 B 97.7 B 97.7 B 97.7 B 89.6 B 89.6 B 89.6 B 89.6 B 85.3 B 85.3 B 85.3 B 85.3 B 71.8 B 71.8 B 71.8 B 71.8 B 72 B 72 B 72 B 72 B 72.2 B 72.2 B 72.2 B 72.2 B 69.7 B 69.7 B 69.7 B 69.7 B 54.2 B 54.2 B 54.2 B 54.2 B 46.2 B 46.2 B 46.2 B 46.2 B

Total Assets

219 B 216 B 221 B 215 B 220 B 196 B 197 B 195 B 195 B 184 B 181 B 179 B 170 B 159 B 154 B 154 B 154 B 154 B 168 B 167 B 167 B 167 B 159 B 159 B 159 B 159 B 172 B 172 B 172 B 172 B 172 B 172 B 172 B 172 B 167 B 167 B 167 B 167 B 168 B 169 B 169 B 169 B 172 B 172 B 172 B 172 B 186 B 186 B 186 B 186 B 188 B 188 B 188 B 188 B

Cash and Cash Equivalents

1.09 B 1.05 B 719 M 3.23 B 2.7 B 2.22 B 416 M 1.34 B 1.82 B 2.51 B 1.94 B 2.03 B 2.42 B 1.77 B 1.79 B 1.78 B 1.78 B 1.78 B 1.12 B 1.3 B 1.3 B 1.3 B 1.14 B 1.14 B 1.14 B 1.14 B 1.34 B 1.34 B 1.34 B 1.34 B 2.6 B 2.6 B 2.6 B 2.6 B 3.64 B 3.64 B 3.64 B 3.64 B 3.34 B 3.34 B 3.34 B 3.34 B 2.18 B 2.18 B 2.18 B 2.18 B 10.1 B 10.1 B 10.1 B 10.4 B 3.18 B 3.18 B 3.18 B 3.18 B

Book Value

92.6 B 88 B 92.6 B 97.2 B 99.3 B 101 B 95.9 B 92.9 B 87.5 B 82.7 B 77.5 B 76 B 70.3 B 68.9 B 63.5 B 63.5 B 63.5 B 63.5 B 63.4 B 63.4 B 63.4 B 63.4 B 63.8 B 63.8 B 63.8 B 63.8 B 71.7 B 71.7 B 71.7 B 71.7 B 59.8 B 59.8 B 59.8 B 59.8 B 65 B 65 B 65 B 65 B 71.6 B 71.6 B 71.6 B 71.6 B 76.6 B 76.6 B 76.6 B 76.6 B 81.7 B 81.7 B 81.7 B 81.7 B 82.6 B 82.6 B 82.6 B 82.6 B

Total Shareholders Equity

92.3 B 87.7 B 92.3 B 97.2 B 99.3 B 101 B 95.7 B 92.9 B 87.5 B 82.7 B 77.2 B 76 B 70.3 B 68.6 B 63.2 B 63.2 B 63.2 B 63.2 B 63.1 B 63.1 B 63.1 B 63.1 B 63.4 B 63.4 B 63.4 B 63.4 B 71.3 B 71.3 B 71.3 B 71.3 B 59.5 B 59.5 B 59.5 B 59.5 B 64.7 B 64.7 B 64.7 B 64.7 B 71.3 B 71.3 B 71.3 B 71.3 B 76.3 B 76.3 B 76.3 B 76.3 B 81.3 B 81.3 B 81.3 B 81.3 B 82.2 B 82.2 B 82.2 B 82.2 B

All numbers in USD currency