Pharming Group N.V.

PHGUF · OTC
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Assets
Cash & Equivalents$55$62$207$192
Short-Term Investments$113$152$0$0
Receivables$50$43$25$28
Inventory$56$57$42$27
Other Curr. Assets$5$4$3$3
Total Curr. Assets$278$316$278$249
Property Plant & Equip (Net)$24$33$39$33
Goodwill$0$0$0-$0
Intangibles$61$71$75$84
Long-Term Investments$4$10$10$10
Tax Assets$42$30$23$21
Other NC Assets-$10$2$1-$0
Total NC Assets$122$147$148$148
Other Assets$0$0$0$0
Total Assets$400$463$426$397
Liabilities
Payables$10$10$8$7
Short-Term Debt$7$5$5$4
Tax Payable$3$6$2$2
Deferred Revenue$0$0-$46-$35
Other Curr. Liab.$53$57$44$34
Total Curr. Liab.$74$78$60$47
LT Debt$105$166$159$157
Deferred Rev, NC$0$0-$6-$6
Deferred Tax Liab, NC$11$8$6$6
Other NC Liab.$0$0$2$0
Total NC Liab.$116$174$161$157
Other Liabilities$0$0$0$0
Cap. Leases$30$33$31$21
Total Liabilities$179$244$221$204
Equity
Pref Stock$0$0$0$0
Common Stock$8$7$8$7
Retained Earnings-$275-$265-$256-$273
AOCI-$0-$2-$9$3
Other Equity$489$479$462$455
Total Equity$221$219$205$193
Supplemental Information
Minority Interest$0$0$0$0
Total Liab. & Tot. Equity$411$463$426$397
Net Debt$57$110-$43-$30