US Stock MarketDetailed Quotes

AMGN Amgen

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  • 330.850
  • +0.790+0.24%
Trading Sep 13 09:48 ET
177.78BMarket Cap57.04P/E (TTM)

Amgen Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-40.16%2.46B
-35.24%689M
-12.86%8.47B
-79.69%538M
-7.32%2.76B
112.90%4.11B
-50.83%1.06B
4.97%9.72B
-5.66%2.65B
23.16%2.98B
Net income from continuing operations
-45.90%746M
-103.98%-113M
2.52%6.72B
-52.54%767M
-19.27%1.73B
4.71%1.38B
92.48%2.84B
11.18%6.55B
-14.90%1.62B
13.75%2.14B
Operating gains losses
-43.54%389M
126.22%488M
-198.04%-1.55B
-220.10%-233M
-1,341.67%-149M
-20.16%689M
-460.66%-1.86B
4,703.03%1.59B
300.00%194M
-92.77%12M
Depreciation and amortization
56.25%1.4B
55.44%1.4B
19.14%4.07B
51.48%1.38B
6.93%895M
8.21%896M
7.02%900M
0.56%3.42B
6.92%911M
-1.53%837M
Deferred tax
-148.70%-383M
-718.37%-401M
-6.26%-1.27B
-77.49%-623M
-34.23%-447M
41.44%-154M
80.48%-49M
-164.46%-1.2B
-85.71%-351M
-162.20%-333M
Other non cash items
-56.92%28M
-58.33%-95M
285.81%563M
32.86%-286M
9,277.78%844M
-23.53%65M
-306.90%-60M
-124.38%-303M
-33.54%-426M
106.04%9M
Change In working capital
-89.06%122M
8.22%-692M
33.97%-484M
-395.39%-898M
-82.90%53M
223.89%1.12B
-68.68%-754M
38.61%-733M
-5.30%304M
250.49%310M
-Change in receivables
-83.33%-176M
437.50%486M
-36.06%-1.02B
-140.56%-433M
-451.61%-342M
68.93%-96M
26.15%-144M
-73.89%-746M
-12.50%-180M
79.61%-62M
-Change in inventory
2,306.67%722M
1,489.66%806M
166.17%491M
729.67%573M
77.59%-54M
116.67%30M
74.78%-58M
-349.70%-742M
-282.00%-91M
-402.08%-241M
-Change in payables and accrued expense
-399.62%-1.57B
-257.91%-469M
-121.82%-127M
-216.68%-1.2B
13.27%256M
147.89%523M
-28.78%297M
284.76%582M
83.45%1.03B
39.51%226M
-Change in other current assets
-457.14%-250M
35.97%-89M
-318.60%-564M
-352.17%-232M
-721.88%-263M
-70.95%70M
-223.26%-139M
208.86%258M
-32.35%92M
72.17%-32M
-Change in other current liabilities
152.27%23M
28.21%-56M
960.00%731M
172.45%397M
8.83%456M
-110.00%-44M
80.30%-78M
-77.08%-85M
-105.24%-548M
323.23%419M
-Change in other working capital
----
-116.77%-1.37B
----
----
----
----
---632M
----
----
----
Cash from discontinued investing activities
Operating cash flow
-40.16%2.46B
-35.24%689M
-12.86%8.47B
-79.69%538M
-7.32%2.76B
112.90%4.11B
-50.83%1.06B
4.97%9.72B
-5.66%2.65B
23.16%2.98B
Investing cash flow
Cash flow from continuing investing activities
-2.84%-217M
-115.98%-217M
-333.55%-26.2B
-679.99%-27.09B
1.87%-262M
90.38%-211M
1,323.42%1.36B
-924.56%-6.04B
-1,410.00%-3.47B
-465.75%-267M
Net PPE purchase and sale
12.18%-238M
33.14%-230M
-18.80%-1.11B
26.76%-249M
-55.00%-248M
-10.16%-271M
-81.05%-344M
-6.36%-936M
-18.47%-340M
33.88%-160M
Net business purchase and sale
----
----
-603.02%-26.99B
----
----
----
----
-51.80%-3.84B
----
----
Net investment purchase and sale
--0
--0
222.13%1.67B
-100.37%-2M
-107.69%-1M
100.05%1M
5,131.25%1.67B
-131.59%-1.37B
-39.56%547M
-97.38%13M
Net other investing changes
-64.41%21M
-53.57%13M
125.00%225M
-5.03%151M
89.17%-13M
321.43%59M
-40.43%28M
152.08%100M
278.57%159M
28.99%-120M
Cash from discontinued investing activities
Investing cash flow
-2.84%-217M
-115.98%-217M
-333.55%-26.2B
-679.99%-27.09B
1.87%-262M
90.38%-211M
1,323.42%1.36B
-924.56%-6.04B
-1,410.00%-3.47B
-465.75%-267M
Financing cash flow
Cash flow from continuing financing activities
-118.93%-2.65B
-107.94%-1.71B
621.38%21.05B
362.54%2.75B
-226.26%-2.01B
-13.94%-1.21B
712.09%21.51B
51.19%-4.04B
84.00%-1.05B
-44.24%1.59B
Net issuance payments of debt
-7,677.78%-1.4B
--0
280.45%26.32B
21,131.58%4B
-125.10%-749M
-1,000.00%-18M
484.36%23.09B
770.31%6.92B
99.54%-19M
-39.67%2.98B
Net common stock issuance
----
----
--0
--0
----
----
----
-27.84%-6.36B
--0
--0
Cash dividends paid
-6.15%-1.21B
-6.24%-1.21B
-8.58%-4.56B
-9.62%-1.14B
-9.83%-1.14B
-9.73%-1.14B
-5.28%-1.14B
-4.56%-4.2B
-5.05%-1.04B
-3.90%-1.04B
Net other financing activities
24.53%-40M
-11.61%-500M
-79.75%-719M
-1,120.00%-102M
67.60%-116M
-103.85%-53M
-1,623.08%-448M
-412.82%-400M
-61.54%10M
-1,784.21%-358M
Cash from discontinued financing activities
Financing cash flow
-118.93%-2.65B
-107.94%-1.71B
621.38%21.05B
362.54%2.75B
-226.26%-2.01B
-13.94%-1.21B
712.09%21.51B
51.19%-4.04B
84.00%-1.05B
-44.24%1.59B
Net cash flow
Beginning cash position
-69.24%9.71B
43.45%10.94B
-4.51%7.63B
265.62%34.74B
558.24%34.25B
383.46%31.56B
-4.51%7.63B
27.50%7.99B
-20.61%9.5B
-21.52%5.2B
Current changes in cash
-115.14%-407M
-105.16%-1.24B
1,020.83%3.32B
-1,170.53%-23.8B
-88.53%493M
302.87%2.69B
1,737.99%23.93B
-120.89%-360M
52.94%-1.87B
-19.48%4.3B
End cash Position
-72.84%9.3B
-69.24%9.71B
43.45%10.94B
43.45%10.94B
265.62%34.74B
558.24%34.25B
383.46%31.56B
-4.51%7.63B
-4.51%7.63B
-20.61%9.5B
Free cash flow
-42.13%2.22B
-36.25%459M
-16.23%7.36B
-87.48%289M
-10.86%2.51B
127.91%3.84B
-63.53%720M
4.82%8.79B
-8.41%2.31B
29.50%2.82B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -40.16%2.46B-35.24%689M-12.86%8.47B-79.69%538M-7.32%2.76B112.90%4.11B-50.83%1.06B4.97%9.72B-5.66%2.65B23.16%2.98B
Net income from continuing operations -45.90%746M-103.98%-113M2.52%6.72B-52.54%767M-19.27%1.73B4.71%1.38B92.48%2.84B11.18%6.55B-14.90%1.62B13.75%2.14B
Operating gains losses -43.54%389M126.22%488M-198.04%-1.55B-220.10%-233M-1,341.67%-149M-20.16%689M-460.66%-1.86B4,703.03%1.59B300.00%194M-92.77%12M
Depreciation and amortization 56.25%1.4B55.44%1.4B19.14%4.07B51.48%1.38B6.93%895M8.21%896M7.02%900M0.56%3.42B6.92%911M-1.53%837M
Deferred tax -148.70%-383M-718.37%-401M-6.26%-1.27B-77.49%-623M-34.23%-447M41.44%-154M80.48%-49M-164.46%-1.2B-85.71%-351M-162.20%-333M
Other non cash items -56.92%28M-58.33%-95M285.81%563M32.86%-286M9,277.78%844M-23.53%65M-306.90%-60M-124.38%-303M-33.54%-426M106.04%9M
Change In working capital -89.06%122M8.22%-692M33.97%-484M-395.39%-898M-82.90%53M223.89%1.12B-68.68%-754M38.61%-733M-5.30%304M250.49%310M
-Change in receivables -83.33%-176M437.50%486M-36.06%-1.02B-140.56%-433M-451.61%-342M68.93%-96M26.15%-144M-73.89%-746M-12.50%-180M79.61%-62M
-Change in inventory 2,306.67%722M1,489.66%806M166.17%491M729.67%573M77.59%-54M116.67%30M74.78%-58M-349.70%-742M-282.00%-91M-402.08%-241M
-Change in payables and accrued expense -399.62%-1.57B-257.91%-469M-121.82%-127M-216.68%-1.2B13.27%256M147.89%523M-28.78%297M284.76%582M83.45%1.03B39.51%226M
-Change in other current assets -457.14%-250M35.97%-89M-318.60%-564M-352.17%-232M-721.88%-263M-70.95%70M-223.26%-139M208.86%258M-32.35%92M72.17%-32M
-Change in other current liabilities 152.27%23M28.21%-56M960.00%731M172.45%397M8.83%456M-110.00%-44M80.30%-78M-77.08%-85M-105.24%-548M323.23%419M
-Change in other working capital -----116.77%-1.37B-------------------632M------------
Cash from discontinued investing activities
Operating cash flow -40.16%2.46B-35.24%689M-12.86%8.47B-79.69%538M-7.32%2.76B112.90%4.11B-50.83%1.06B4.97%9.72B-5.66%2.65B23.16%2.98B
Investing cash flow
Cash flow from continuing investing activities -2.84%-217M-115.98%-217M-333.55%-26.2B-679.99%-27.09B1.87%-262M90.38%-211M1,323.42%1.36B-924.56%-6.04B-1,410.00%-3.47B-465.75%-267M
Net PPE purchase and sale 12.18%-238M33.14%-230M-18.80%-1.11B26.76%-249M-55.00%-248M-10.16%-271M-81.05%-344M-6.36%-936M-18.47%-340M33.88%-160M
Net business purchase and sale ---------603.02%-26.99B-----------------51.80%-3.84B--------
Net investment purchase and sale --0--0222.13%1.67B-100.37%-2M-107.69%-1M100.05%1M5,131.25%1.67B-131.59%-1.37B-39.56%547M-97.38%13M
Net other investing changes -64.41%21M-53.57%13M125.00%225M-5.03%151M89.17%-13M321.43%59M-40.43%28M152.08%100M278.57%159M28.99%-120M
Cash from discontinued investing activities
Investing cash flow -2.84%-217M-115.98%-217M-333.55%-26.2B-679.99%-27.09B1.87%-262M90.38%-211M1,323.42%1.36B-924.56%-6.04B-1,410.00%-3.47B-465.75%-267M
Financing cash flow
Cash flow from continuing financing activities -118.93%-2.65B-107.94%-1.71B621.38%21.05B362.54%2.75B-226.26%-2.01B-13.94%-1.21B712.09%21.51B51.19%-4.04B84.00%-1.05B-44.24%1.59B
Net issuance payments of debt -7,677.78%-1.4B--0280.45%26.32B21,131.58%4B-125.10%-749M-1,000.00%-18M484.36%23.09B770.31%6.92B99.54%-19M-39.67%2.98B
Net common stock issuance ----------0--0-------------27.84%-6.36B--0--0
Cash dividends paid -6.15%-1.21B-6.24%-1.21B-8.58%-4.56B-9.62%-1.14B-9.83%-1.14B-9.73%-1.14B-5.28%-1.14B-4.56%-4.2B-5.05%-1.04B-3.90%-1.04B
Net other financing activities 24.53%-40M-11.61%-500M-79.75%-719M-1,120.00%-102M67.60%-116M-103.85%-53M-1,623.08%-448M-412.82%-400M-61.54%10M-1,784.21%-358M
Cash from discontinued financing activities
Financing cash flow -118.93%-2.65B-107.94%-1.71B621.38%21.05B362.54%2.75B-226.26%-2.01B-13.94%-1.21B712.09%21.51B51.19%-4.04B84.00%-1.05B-44.24%1.59B
Net cash flow
Beginning cash position -69.24%9.71B43.45%10.94B-4.51%7.63B265.62%34.74B558.24%34.25B383.46%31.56B-4.51%7.63B27.50%7.99B-20.61%9.5B-21.52%5.2B
Current changes in cash -115.14%-407M-105.16%-1.24B1,020.83%3.32B-1,170.53%-23.8B-88.53%493M302.87%2.69B1,737.99%23.93B-120.89%-360M52.94%-1.87B-19.48%4.3B
End cash Position -72.84%9.3B-69.24%9.71B43.45%10.94B43.45%10.94B265.62%34.74B558.24%34.25B383.46%31.56B-4.51%7.63B-4.51%7.63B-20.61%9.5B
Free cash flow -42.13%2.22B-36.25%459M-16.23%7.36B-87.48%289M-10.86%2.51B127.91%3.84B-63.53%720M4.82%8.79B-8.41%2.31B29.50%2.82B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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