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Balance Sheet - AbbVie Inc. (ABBV)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09
Total cash and short-term investments + 5.26 5.56 12.82 9.23 9.83 8.48 39.92 8.06 9.79 6.42 8.41 8.37 9.90 7.98 0.65 0.01 0.00
Accounts receivable, net 12.59 10.92 11.16 11.25 9.98 8.82 5.43 5.38 5.09 4.76 4.73 3.74 4.80 4.30 3.82 3.37
Inventories 4.95 4.18 4.10 3.58 3.13 3.31 1.81 1.61 1.61 1.44 1.72 1.12 1.15 1.09 0.87 0.84
Other current assets 6.27 4.93 4.93 4.40 4.99 3.56 2.35 1.90 4.74 3.56 1.46 2.85 2.00 1.99 2.01 4.00
Total current assets 29.06 25.58 33.00 28.46 27.93 24.17 49.52 16.95 21.22 16.19 16.31 16.08 17.85 15.35 7.35 8.22
Total non-current assets + 104.90 109.58 101.71 110.34 118.60 126.39 39.60 42.41 49.56 49.91 36.74 11.43 11.35 11.65 12.17 12.92
Total assets 133.96 135.16 134.71 138.81 146.53 150.57 89.12 59.35 70.79 66.10 53.05 27.51 29.20 27.01 19.52 21.13
Total current liabilities + 43.29 38.75 37.84 29.54 35.19 28.66 15.59 17.24 16.64 9.78 10.89 11.39 6.88 6.78 5.90 3.76
Total non-current liabilities + 93.90 93.05 86.47 91.98 95.90 108.81 81.70 50.56 49.05 51.68 38.21 14.38 17.83 16.87 1.69 1.67
Total liabilities 137.19 131.80 124.31 121.52 131.09 137.47 97.29 67.80 65.69 61.46 49.11 25.77 24.71 23.65 7.59 5.43
Total stockholders' equity + -3.23 3.36 10.40 17.29 15.44 13.10 -8.17 -8.45 5.10 4.64 3.95 1.74 4.49 3.36 11.93 15.70
Common shares outstanding 1,774 1,773 1,773 1,778 1,777 1,673 1,484 1,546 1,603 1,631 1,637 1,610 1,604 1,577 1,625 1,625 1,625
Show Quarterly Balance Sheet

Balance Sheet - AbbVie Inc. (ABBV)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10
Total cash and short-term investments + 9.39 5.26 5.67 6.47 5.18 5.56 7.29 13.16 18.07 12.82 13.29 8.77 6.72 9.23 11.88 9.96 7.57 9.83 12.25 8.60 9.78 8.48 7.95 6.04 41.14 39.92 10.65 5.42 5.23 8.06 8.79 3.74 9.47 9.79 9.55 7.21 6.25 6.42 7.95 8.00 8.60 8.41 9.25 8.28 7.92 8.37 7.73 10.25 9.10 9.90 9.60 8.75 7.48 7.98 4.59 0.07 0.04 0.65 0.00 0.00 0.00 1.88
Accounts receivable, net 12.48 12.59 12.77 12.64 12.48 10.92 11.47 11.72 11.95 11.16 11.41 11.49 11.47 11.25 10.74 11.24 10.73 9.98 9.28 9.91 9.59 8.82 8.42 8.35 6.36 5.43 5.53 5.48 5.68 5.38 5.78 5.79 5.84 5.09 4.89 4.86 4.68 4.76 5.00 5.05 4.75 4.73 4.57 4.37 4.21 3.74 3.06 3.13 3.11 4.80 3.80 3.76 4.30 4.30 3.10 2.99 3.65 3.82
Inventories 5.05 4.95 4.94 4.96 4.53 4.18 4.45 4.22 4.25 4.10 3.98 4.06 3.83 3.58 3.17 3.40 3.48 3.13 3.09 3.39 3.27 3.31 3.47 4.06 1.84 1.81 1.93 1.90 1.70 1.61 1.79 1.58 1.74 1.61 1.79 1.58 1.43 1.44 1.63 1.76 1.79 1.72 1.84 1.62 1.02 1.12 1.01 1.05 1.10 1.15 1.17 1.09 1.04 1.09 0.96 0.86 0.92 0.87 0.84
Other current assets 6.61 6.27 5.16 5.20 5.50 4.93 4.58 4.72 4.61 4.93 4.54 4.54 4.46 4.40 4.57 4.51 4.72 4.99 4.33 4.10 3.93 3.56 3.17 2.80 2.41 2.35 2.06 2.31 1.80 1.90 2.11 2.73 3.39 4.74 2.70 3.32 3.20 3.56 1.71 1.99 1.48 1.46 2.25 2.61 2.25 2.85 5.76 3.37 4.02 2.00 1.98 2.07 2.11 1.99 2.29 2.06 2.15 2.01 2.13
Total current assets 33.53 29.06 28.54 29.26 27.68 25.58 27.79 33.82 38.87 33.00 33.22 28.85 26.49 28.46 30.36 29.10 26.51 27.93 28.96 26.00 26.57 24.17 23.01 21.26 51.76 49.52 20.17 15.10 14.41 16.95 18.47 13.85 20.44 21.22 18.93 16.96 15.55 16.19 16.29 16.79 16.62 16.31 17.91 16.88 15.41 16.08 17.56 17.79 17.33 17.85 16.54 15.66 14.92 15.35 10.93 5.99 6.75 7.35
Total non-current assets + 102.93 104.90 105.36 107.92 108.49 109.58 115.64 108.12 110.00 101.71 103.00 106.52 108.06 110.34 110.96 114.09 116.70 118.60 119.90 121.97 123.93 126.39 126.61 128.27 39.44 39.60 39.28 42.04 42.36 42.41 47.70 47.80 48.90 49.56 49.91 50.03 50.12 49.91 50.34 50.42 37.10 36.74 36.92 36.98 11.29 11.43 10.90 11.25 11.33 11.35 11.71 12.25 12.25 11.65 11.80 11.72 12.21 12.17
Total assets 136.46 133.96 133.90 137.18 136.17 135.16 143.42 141.94 148.87 134.71 136.22 135.37 134.54 138.81 141.33 143.19 143.21 146.53 148.86 147.97 150.50 150.57 149.62 149.53 91.20 89.12 59.44 57.14 56.77 59.35 66.16 61.64 69.34 70.79 68.84 66.99 65.66 66.10 66.63 67.21 53.72 53.05 54.83 53.86 26.70 27.51 28.45 29.05 28.66 29.20 28.25 27.91 27.17 27.01 22.73 17.71 18.96 19.52 21.13
Total current liabilities + 42.10 43.29 39.39 39.77 36.40 38.75 43.06 41.92 41.52 37.84 34.77 32.24 27.59 29.54 32.71 34.47 32.52 35.19 28.53 28.68 31.95 28.66 24.18 24.65 16.47 15.59 17.49 16.94 13.90 17.24 15.39 17.22 17.06 16.64 13.03 12.26 8.84 9.78 9.10 9.27 10.66 10.89 8.81 11.26 11.05 11.39 6.64 6.32 6.22 6.88 6.88 6.81 6.77 6.78 5.37 4.84 5.51 5.90 3.76
Total non-current liabilities + 66.86 93.90 97.11 97.55 98.30 93.05 94.29 93.20 99.31 86.47 89.32 90.23 93.65 91.98 92.59 94.03 94.38 95.90 106.75 106.69 104.82 108.81 110.15 110.15 82.14 81.70 50.17 48.77 50.69 50.56 53.70 47.79 48.73 49.05 49.12 48.73 51.82 51.68 51.05 52.30 38.42 38.21 41.16 37.09 14.27 14.38 17.17 17.51 17.74 17.83 17.80 17.55 17.45 16.87 1.69 1.36 1.40 1.69
Total liabilities 143.08 137.19 136.50 137.32 134.70 131.80 137.35 135.12 140.83 124.31 124.09 122.47 121.24 121.52 125.30 128.50 126.90 131.09 135.28 135.38 136.77 137.47 134.33 134.80 98.61 97.29 67.67 65.71 64.60 67.80 69.09 65.02 65.79 65.69 62.15 60.99 60.67 61.46 60.16 61.57 49.08 49.11 49.97 48.35 25.32 25.77 23.81 23.83 23.96 24.71 24.68 24.35 24.21 23.65 7.06 6.20 6.91 7.59 5.43
Total stockholders' equity + -6.61 -3.23 -2.60 -0.14 1.46 3.36 6.07 6.82 8.05 10.40 12.13 12.90 13.30 17.29 16.03 14.69 16.31 15.44 13.58 12.59 13.73 13.10 15.29 14.73 -7.42 -8.17 -8.23 -8.57 -7.83 -8.45 -2.92 -3.38 3.55 5.10 6.69 6.01 5.00 4.64 6.47 5.64 4.64 3.95 4.86 5.50 1.38 1.74 4.65 5.22 4.70 4.49 3.58 3.56 2.96 3.36 15.67 11.51 12.05 11.93 15.70
Common shares outstanding 1,774 1,774 1,772 1,772 1,772 1,773 1,772 1,771 1,773 1,772 1,771 1,771 1,776 1,778 1,776 1,776 1,778 1,778 1,777 1,776 1,775 1,781 1,774 1,647 1,484 1,485 1,483 1,484 1,483 1,481 1,515 1,572 1,596 1,602 1,603 1,600 1,603 1,623 1,640 1,632 1,625 1,640 1,664 1,633 1,608 1,597 1,610 1,608 1,609 1,608 1,605 1,609 1,605 1,605 1,580 1,625 1,625 1,580 1,580 1,580 1,625
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