Pharma Mar, S.A.

PHMMF · OTC
Analyze with AI
9/30/2025
6/30/2025
3/31/2025
12/31/2024
Assets
Cash & Equivalents$58$22$60$63
Short-Term Investments$114$106$81$91
Receivables$49$60$37$35
Inventory$62$50$51$51
Other Curr. Assets$2$12$8$10
Total Curr. Assets$285$249$236$250
Property Plant & Equip (Net)$67$58$58$59
Goodwill$0$0$0$0
Intangibles$1$1$1$1
Long-Term Investments$2$1-$79-$89
Tax Assets$46$38$36$36
Other NC Assets$0$1$81$92
Total NC Assets$116$99$97$99
Other Assets$0$0$0$0
Total Assets$401$348$333$350
Liabilities
Payables$51$37$42$39
Short-Term Debt$15$12$12$10
Tax Payable$0$0$0$2
Deferred Revenue$6$0$0$0
Other Curr. Liab.$32$38$26$32
Total Curr. Liab.$104$88$79$83
LT Debt$44$39$40$41
Deferred Rev, NC$15$20$16$17
Deferred Tax Liab, NC$0$0$0$0
Other NC Liab.$0$0$0$0
Total NC Liab.$60$59$57$59
Other Liabilities$0$0$0$0
Cap. Leases$1$3$3$3
Total Liabilities$164$147$136$141
Equity
Pref Stock$0$0$0$0
Common Stock$13$11$11$11
Retained Earnings$203$188$165$168
AOCI$0$0$0$0
Other Equity$16$2$22$29
Total Equity$232$202$197$208
Supplemental Information
Minority Interest$0$0$0$0
Total Liab. & Tot. Equity$401$348$333$350
Net Debt$1$30-$8-$12