Pharming Group N.V. (PHGUF)

USD 0.84

(0.0%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 462.85 Million 425.79 Million 396.9 Million 419.11 Million 255.63 Million -
Total Current Assets 316.34 Million 277.5 Million 249.18 Million 263.63 Million 119.3 Million -
Cash And Short Term Investments 213.42 Million 207.34 Million 191.72 Million 205.48 Million 74.26 Million -
Cash and Cash Equivalents 61.74 Million 207.34 Million 191.72 Million 205.48 Million 74.26 Million -
Short Term Investments 151.68 Million - - - -661.9 Thousand -
Net Receivables 42.61 Million 27.61 Million 29.95 Million 31.93 Million 26.27 Million -
Inventory 56.76 Million 42.32 Million 27.28 Million 21.19 Million 16.2 Million -
Other Current Assets 3.54 Million 213 Thousand 226.44 Thousand 5.01 Million 2.55 Million -
Total Non-Current Assets 146.51 Million 148.29 Million 147.71 Million 155.48 Million 136.33 Million -
Net PPE 33.46 Million 39.14 Million 33.13 Million 21.68 Million 16.27 Million -
Good Will And Intangible Assets 71.26 Million 75.12 Million 83.74 Million 94.23 Million 79.31 Million -
Good Will - - -87.02 Thousand - - -
Intangible Assets 71.26 Million 75.12 Million 83.83 Million 94.23 Million 79.31 Million -
Long-Term Investments 10.39 Million 9.73 Million 9.94 Million 7.12 Million 6.16 Million -
Tax Assets 29.76 Million 22.97 Million 21.19 Million 31.92 Million 32.02 Million -
Other Non Current Assets 1.62 Million 1.32 Million -303.43 Thousand 510.43 Thousand 2.54 Million -
Other Assets - - 1.00 - 1.00 -
Total Liabilities 244.07 Million 221.15 Million 204.18 Million 235.38 Million 138.37 Million -
Total Current Liabilities 77.96 Million 59.69 Million 46.72 Million 76.96 Million 114.12 Million -
Account Payables 16.02 Million 54.46 Million 42.42 Million 13.49 Million 5.99 Million -
Tax Payables 6.23 Million 2.09 Million 1.5 Million 617.43 Thousand -234.11 Thousand -
Short Term Debt 5.44 Million 5.23 Million 4.29 Million 4 Million 53.24 Million -
Deferred Revenue - -45.84 Million -34.85 Million 34.25 Million 34.6 Million -
Other Current Liabilities 56.5 Million 45.84 Million 34.85 Million 25.21 Million 20.27 Million -
Total Non Current Liabilities 166.1 Million 161.46 Million 157.46 Million 158.42 Million 24.24 Million -
Long-Term Debt 166.1 Million 161.46 Million 157.29 Million 158.2 Million 4.88 Million -
Deferred Revenue Non Current - -6.25 Million -5.8 Million -1.85 Million -2.63 Million -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities -8.09 Million 1.00 165.3 Thousand 212.78 Thousand 19.35 Million -
Other Liabilities - - 1.00 1.00 - -
Total Equity 218.78 Million 204.63 Million 192.71 Million 183.72 Million 117.25 Million -
Stock Holders Equity 218.78 Million 204.63 Million 192.71 Million 183.72 Million 117.25 Million -
Common Stock 7.66 Million 7.5 Million 7.27 Million 7.85 Million 7.07 Million -
Retained Earnings -265.26 Million -256.43 Million -269.44 Million -317.51 Million -333.38 Million -
Accumulated other comprehensive income -2.05 Million -8.73 Million 2.17 Million 5.33 Million 4.16 Million -
Common Stock Equity 218.78 Million 204.63 Million 192.71 Million 183.72 Million 117.25 Million -
Capital Lease Obligation 33.12 Million 33.3 Million 20.85 Million 10.2 Million 7.06 Million -
Total Investments 162.08 Million 9.73 Million 9.94 Million 7.12 Million 5.5 Million -
Total Debt 171.54 Million 166.69 Million 161.59 Million 162.21 Million 58.13 Million -
Net Debt 109.8 Million -40.64 Million -30.13 Million -43.26 Million -16.13 Million -

Balance Sheet Charts