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ABBV AbbVie Inc

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  • 25.720
  • -0.090-0.35%
15min DelayMarket Closed Dec 27 15:52 ET
429.46BMarket Cap62.58P/E (TTM)

AbbVie Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-28.08%5.45B
-64.06%2.27B
-3.65%4.04B
-8.44%22.84B
-36.01%4.75B
-0.37%7.57B
26.25%6.32B
-14.57%4.19B
9.51%24.94B
46.36%7.43B
Net income from continuing operations
-12.18%1.56B
-32.26%1.37B
469.29%1.37B
-58.86%4.87B
-66.67%824M
-54.93%1.78B
118.43%2.03B
-94.64%241M
2.56%11.85B
-38.89%2.47B
Operating gains losses
----
----
----
----
----
----
----
----
-152.94%-172M
--0
Depreciation and amortization
-6.98%2.08B
-5.71%2.13B
-2.49%2.07B
2.73%8.7B
-3.76%2.08B
1.36%2.24B
10.14%2.26B
3.60%2.13B
-0.63%8.47B
8.99%2.16B
Asset impairment expenditure
--0
--0
--0
449.22%4.23B
--1.41B
174.55%2.11B
--0
--710M
1,440.00%770M
--0
Remuneration paid in stock
460.92%314M
----
----
-119.75%-443M
-1,222.22%-238M
-222.54%-87M
----
----
1,276.07%2.24B
-112.68%-18M
Remuneration paid in stock
39.23%181M
21.79%218M
11.18%348M
11.33%747M
-5.30%125M
3.17%130M
67.29%179M
2.29%313M
-3.03%671M
2.33%132M
Deferred tax
67.90%-277M
95.65%-16M
-45.69%-389M
-49.61%-2.89B
-169.57%-1.39B
-38.97%-863M
38.67%-368M
-37.63%-267M
-115.03%-1.93B
30.74%-516M
Other non cashItems
330.30%836M
7.56%1.92B
-79.36%388M
53.02%4.81B
-35.92%1.51B
9.25%-363M
7.27%1.79B
495.79%1.88B
-21.38%3.14B
354.63%2.36B
Change In working capital
-71.45%750M
-710.47%-3.38B
130.46%247M
3,092.55%2.81B
-47.64%443M
75.25%2.63B
147.59%554M
36.39%-811M
92.36%-94M
185.20%846M
-Change in receivables
17,100.00%344M
322.50%178M
-260.00%-702M
104.54%66M
181.49%339M
-99.44%2M
86.91%-80M
75.16%-195M
-10.14%-1.46B
44.46%-416M
-Change in inventory
-16.36%-64M
80.95%-52M
59.46%-75M
39.21%-417M
156.47%96M
-223.53%-55M
-139.47%-273M
51.95%-185M
-383.10%-686M
-51.79%-170M
-Change in prepaid assets
39.45%152M
-94.47%25M
270.06%284M
28.79%-188M
-185.29%-582M
247.30%109M
51.17%452M
41.40%-167M
-34.01%-264M
-176.98%-204M
-Change in payables and accrued expense
-89.48%267M
-207.94%-1.7B
180.27%362M
117.07%3.84B
-85.99%179M
170.29%2.54B
928.42%1.57B
-74.81%-451M
2.91%1.77B
382.26%1.28B
-Change in other working capital
54.55%51M
-63.90%-1.83B
102.14%378M
-190.04%-488M
14.80%411M
-88.78%33M
-104.20%-1.12B
-57.31%187M
142.02%542M
154.08%358M
Cash from discontinued investing activities
Operating cash flow
-28.08%5.45B
-64.06%2.27B
-3.65%4.04B
-8.44%22.84B
-36.01%4.75B
-0.37%7.57B
26.25%6.32B
-14.57%4.19B
9.51%24.94B
46.36%7.43B
Investing cash flow
Cash flow from continuing investing activities
-2,137.40%-8.26B
-223.17%-1.1B
-1,821.44%-9.59B
-222.47%-2.01B
-78.57%-800M
-128.69%-369M
-362.31%-341M
68.64%-499M
73.42%-623M
60.87%-448M
Net PPE purchase and sale
-13.70%-249M
-35.39%-241M
-10.29%-193M
-11.80%-777M
3.76%-205M
-23.73%-219M
-24.48%-178M
-8.02%-175M
11.69%-695M
-13.90%-213M
Net business purchase and sale
-5,309.55%-8.49B
-426.88%-843M
-2,559.77%-9.39B
-54.03%-1.22B
-84.33%-553M
-57.00%-157M
23.44%-160M
-90.81%-353M
58.25%-794M
71.83%-300M
Net investment purchase and sale
16,200.00%483M
-550.00%-13M
--0
-123.91%-22M
-133.33%-20M
-100.22%-3M
-105.41%-2M
100.21%3M
538.10%92M
266.67%60M
Net other investing changes
-70.00%3M
-400.00%-5M
-123.08%-6M
-98.32%13M
-540.00%-22M
-94.12%10M
-100.22%-1M
-83.12%26M
111.48%774M
-96.50%5M
Cash from discontinued investing activities
Investing cash flow
-2,137.40%-8.26B
-223.17%-1.1B
-1,821.44%-9.59B
-222.47%-2.01B
-78.57%-800M
-128.69%-369M
-362.31%-341M
68.64%-499M
73.42%-623M
60.87%-448M
Financing cash flow
Cash flow from continuing financing activities
-15.45%-3.07B
-55.54%-6.1B
274.73%10.82B
30.56%-17.22B
53.82%-4.45B
51.78%-2.66B
-46.32%-3.92B
11.19%-6.19B
-30.27%-24.8B
-52.00%-9.63B
Net issuance payments of debt
-20,050.00%-403M
-234.13%-3.35B
1,200.15%14.86B
66.63%-4.15B
73.81%-1.79B
99.93%-2M
-50,000.00%-1B
53.07%-1.35B
-47.77%-12.43B
-82.60%-6.85B
Net common stock issuance
-325.00%-17M
10.00%-9M
32.28%-1.32B
-32.62%-1.97B
25.00%-3M
0.00%-4M
-11.11%-10M
-32.99%-1.96B
-59.21%-1.49B
96.95%-4M
Cash dividends paid
-4.72%-2.75B
-4.76%-2.75B
-4.17%-2.77B
-4.94%-10.54B
-4.79%-2.63B
-4.91%-2.63B
-4.71%-2.63B
-5.34%-2.66B
-8.44%-10.04B
-8.30%-2.51B
Proceeds from stock option exercised by employees
86.11%67M
-79.17%10M
95.38%127M
-31.30%180M
-41.51%31M
227.27%36M
-31.43%48M
-49.22%65M
7.38%262M
-29.33%53M
Net other financing activities
150.00%32M
--0
74.14%-75M
32.67%-742M
82.52%-57M
80.00%-64M
-43.29%-331M
-28.89%-290M
-63.50%-1.1B
-50.93%-326M
Cash from discontinued financing activities
Financing cash flow
-15.45%-3.07B
-55.54%-6.1B
274.73%10.82B
30.56%-17.22B
53.82%-4.45B
51.78%-2.66B
-46.32%-3.92B
11.19%-6.19B
-30.27%-24.8B
-52.00%-9.63B
Net cash flow
Beginning cash position
49.90%13.13B
169.21%18.07B
39.27%12.81B
-5.59%9.2B
12.30%13.29B
2.79%8.76B
10.05%6.71B
-5.59%9.2B
15.35%9.75B
-2.87%11.83B
Current changes in cash
-229.42%-5.88B
-339.46%-4.93B
311.01%5.27B
847.00%3.61B
81.31%-496M
34.84%4.54B
-16.21%2.06B
31.66%-2.5B
-134.65%-483M
-10.22%-2.65B
Effect of exchange rate changes
150.00%8M
10.00%-9M
-325.00%-18M
108.06%5M
0.00%23M
72.88%-16M
69.70%-10M
14.29%8M
36.08%-62M
182.14%23M
End cash Position
-45.38%7.26B
49.90%13.13B
169.21%18.07B
39.27%12.81B
39.27%12.81B
12.30%13.29B
2.79%8.76B
10.05%6.71B
-5.59%9.2B
-5.59%9.2B
Free cash from
-29.33%5.2B
-66.94%2.03B
-4.26%3.85B
-9.02%22.06B
-36.96%4.55B
-0.94%7.36B
26.31%6.14B
-15.34%4.02B
10.27%24.25B
47.61%7.22B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -28.08%5.45B-64.06%2.27B-3.65%4.04B-8.44%22.84B-36.01%4.75B-0.37%7.57B26.25%6.32B-14.57%4.19B9.51%24.94B46.36%7.43B
Net income from continuing operations -12.18%1.56B-32.26%1.37B469.29%1.37B-58.86%4.87B-66.67%824M-54.93%1.78B118.43%2.03B-94.64%241M2.56%11.85B-38.89%2.47B
Operating gains losses ---------------------------------152.94%-172M--0
Depreciation and amortization -6.98%2.08B-5.71%2.13B-2.49%2.07B2.73%8.7B-3.76%2.08B1.36%2.24B10.14%2.26B3.60%2.13B-0.63%8.47B8.99%2.16B
Asset impairment expenditure --0--0--0449.22%4.23B--1.41B174.55%2.11B--0--710M1,440.00%770M--0
Remuneration paid in stock 460.92%314M---------119.75%-443M-1,222.22%-238M-222.54%-87M--------1,276.07%2.24B-112.68%-18M
Remuneration paid in stock 39.23%181M21.79%218M11.18%348M11.33%747M-5.30%125M3.17%130M67.29%179M2.29%313M-3.03%671M2.33%132M
Deferred tax 67.90%-277M95.65%-16M-45.69%-389M-49.61%-2.89B-169.57%-1.39B-38.97%-863M38.67%-368M-37.63%-267M-115.03%-1.93B30.74%-516M
Other non cashItems 330.30%836M7.56%1.92B-79.36%388M53.02%4.81B-35.92%1.51B9.25%-363M7.27%1.79B495.79%1.88B-21.38%3.14B354.63%2.36B
Change In working capital -71.45%750M-710.47%-3.38B130.46%247M3,092.55%2.81B-47.64%443M75.25%2.63B147.59%554M36.39%-811M92.36%-94M185.20%846M
-Change in receivables 17,100.00%344M322.50%178M-260.00%-702M104.54%66M181.49%339M-99.44%2M86.91%-80M75.16%-195M-10.14%-1.46B44.46%-416M
-Change in inventory -16.36%-64M80.95%-52M59.46%-75M39.21%-417M156.47%96M-223.53%-55M-139.47%-273M51.95%-185M-383.10%-686M-51.79%-170M
-Change in prepaid assets 39.45%152M-94.47%25M270.06%284M28.79%-188M-185.29%-582M247.30%109M51.17%452M41.40%-167M-34.01%-264M-176.98%-204M
-Change in payables and accrued expense -89.48%267M-207.94%-1.7B180.27%362M117.07%3.84B-85.99%179M170.29%2.54B928.42%1.57B-74.81%-451M2.91%1.77B382.26%1.28B
-Change in other working capital 54.55%51M-63.90%-1.83B102.14%378M-190.04%-488M14.80%411M-88.78%33M-104.20%-1.12B-57.31%187M142.02%542M154.08%358M
Cash from discontinued investing activities
Operating cash flow -28.08%5.45B-64.06%2.27B-3.65%4.04B-8.44%22.84B-36.01%4.75B-0.37%7.57B26.25%6.32B-14.57%4.19B9.51%24.94B46.36%7.43B
Investing cash flow
Cash flow from continuing investing activities -2,137.40%-8.26B-223.17%-1.1B-1,821.44%-9.59B-222.47%-2.01B-78.57%-800M-128.69%-369M-362.31%-341M68.64%-499M73.42%-623M60.87%-448M
Net PPE purchase and sale -13.70%-249M-35.39%-241M-10.29%-193M-11.80%-777M3.76%-205M-23.73%-219M-24.48%-178M-8.02%-175M11.69%-695M-13.90%-213M
Net business purchase and sale -5,309.55%-8.49B-426.88%-843M-2,559.77%-9.39B-54.03%-1.22B-84.33%-553M-57.00%-157M23.44%-160M-90.81%-353M58.25%-794M71.83%-300M
Net investment purchase and sale 16,200.00%483M-550.00%-13M--0-123.91%-22M-133.33%-20M-100.22%-3M-105.41%-2M100.21%3M538.10%92M266.67%60M
Net other investing changes -70.00%3M-400.00%-5M-123.08%-6M-98.32%13M-540.00%-22M-94.12%10M-100.22%-1M-83.12%26M111.48%774M-96.50%5M
Cash from discontinued investing activities
Investing cash flow -2,137.40%-8.26B-223.17%-1.1B-1,821.44%-9.59B-222.47%-2.01B-78.57%-800M-128.69%-369M-362.31%-341M68.64%-499M73.42%-623M60.87%-448M
Financing cash flow
Cash flow from continuing financing activities -15.45%-3.07B-55.54%-6.1B274.73%10.82B30.56%-17.22B53.82%-4.45B51.78%-2.66B-46.32%-3.92B11.19%-6.19B-30.27%-24.8B-52.00%-9.63B
Net issuance payments of debt -20,050.00%-403M-234.13%-3.35B1,200.15%14.86B66.63%-4.15B73.81%-1.79B99.93%-2M-50,000.00%-1B53.07%-1.35B-47.77%-12.43B-82.60%-6.85B
Net common stock issuance -325.00%-17M10.00%-9M32.28%-1.32B-32.62%-1.97B25.00%-3M0.00%-4M-11.11%-10M-32.99%-1.96B-59.21%-1.49B96.95%-4M
Cash dividends paid -4.72%-2.75B-4.76%-2.75B-4.17%-2.77B-4.94%-10.54B-4.79%-2.63B-4.91%-2.63B-4.71%-2.63B-5.34%-2.66B-8.44%-10.04B-8.30%-2.51B
Proceeds from stock option exercised by employees 86.11%67M-79.17%10M95.38%127M-31.30%180M-41.51%31M227.27%36M-31.43%48M-49.22%65M7.38%262M-29.33%53M
Net other financing activities 150.00%32M--074.14%-75M32.67%-742M82.52%-57M80.00%-64M-43.29%-331M-28.89%-290M-63.50%-1.1B-50.93%-326M
Cash from discontinued financing activities
Financing cash flow -15.45%-3.07B-55.54%-6.1B274.73%10.82B30.56%-17.22B53.82%-4.45B51.78%-2.66B-46.32%-3.92B11.19%-6.19B-30.27%-24.8B-52.00%-9.63B
Net cash flow
Beginning cash position 49.90%13.13B169.21%18.07B39.27%12.81B-5.59%9.2B12.30%13.29B2.79%8.76B10.05%6.71B-5.59%9.2B15.35%9.75B-2.87%11.83B
Current changes in cash -229.42%-5.88B-339.46%-4.93B311.01%5.27B847.00%3.61B81.31%-496M34.84%4.54B-16.21%2.06B31.66%-2.5B-134.65%-483M-10.22%-2.65B
Effect of exchange rate changes 150.00%8M10.00%-9M-325.00%-18M108.06%5M0.00%23M72.88%-16M69.70%-10M14.29%8M36.08%-62M182.14%23M
End cash Position -45.38%7.26B49.90%13.13B169.21%18.07B39.27%12.81B39.27%12.81B12.30%13.29B2.79%8.76B10.05%6.71B-5.59%9.2B-5.59%9.2B
Free cash from -29.33%5.2B-66.94%2.03B-4.26%3.85B-9.02%22.06B-36.96%4.55B-0.94%7.36B26.31%6.14B-15.34%4.02B10.27%24.25B47.61%7.22B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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