US Stock MarketDetailed Quotes

ARGX argenx SE

Watchlist
  • 525.000
  • +0.100+0.02%
Close Aug 16 16:00 ET
  • 525.000
  • 0.0000.00%
Post 16:52 ET
31.39BMarket Cap-150000P/E (TTM)

argenx SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
55.35%3.1B
45.03%3.18B
45.03%3.18B
-23.12%2B
-6.17%2.19B
-6.17%2.19B
-4.89%2.6B
17.04%2.34B
17.04%2.34B
25.63%2.73B
-Cash and cash equivalents
29.51%1.44B
155.87%2.05B
155.87%2.05B
-18.78%1.11B
-40.00%800.74M
-40.00%800.74M
-13.57%1.37B
9.69%1.33B
9.69%1.33B
17.07%1.58B
-Short-term investments
87.74%1.66B
-18.74%1.13B
-18.74%1.13B
-27.94%886.4M
38.90%1.39B
38.90%1.39B
7.05%1.23B
28.53%1B
28.53%1B
39.70%1.15B
Receivables
84.87%655.56M
80.06%499.27M
80.06%499.27M
211.25%354.61M
625.45%277.28M
625.45%277.28M
845.39%113.93M
413.65%38.22M
413.65%38.22M
19.88%12.05M
-Accounts receivable
69.60%515.96M
73.28%417.99M
73.28%417.99M
170.69%304.23M
759.75%241.23M
759.75%241.23M
832.64%112.39M
9,676.31%28.06M
9,676.31%28.06M
25.16%12.05M
-Accrued interest receivable
71.22%33.3M
1.61%13.13M
1.61%13.13M
--19.45M
874.94%12.92M
874.94%12.92M
----
33.43%1.33M
33.43%1.33M
----
-Taxes receivable
--46.11M
209.88%63.61M
209.88%63.61M
----
157.41%20.53M
157.41%20.53M
----
--7.97M
--7.97M
----
-Other receivables
94.60%60.2M
74.64%4.55M
74.64%4.55M
1,912.62%30.93M
201.27%2.6M
201.27%2.6M
--1.54M
-85.98%864K
-85.98%864K
----
Inventory
62.33%326.46M
36.00%310.55M
36.00%310.55M
48.19%201.11M
109.35%228.35M
109.35%228.35M
129.18%135.71M
332.93%109.08M
332.93%109.08M
957.92%59.22M
Prepaid assets
29.24%179.42M
76.36%134.07M
76.36%134.07M
68.66%138.83M
28.97%76.02M
28.97%76.02M
31.91%82.31M
111.18%58.95M
111.18%58.95M
410.68%62.4M
Other current assets
----
----
----
----
---1K
---1K
----
----
----
--1K
Total current assets
58.42%4.26B
48.65%4.12B
48.65%4.12B
-8.12%2.69B
9.09%2.77B
9.09%2.77B
2.26%2.93B
23.63%2.54B
23.63%2.54B
30.12%2.86B
Non current assets
Net PPE
151.64%36.93M
39.67%22.68M
39.67%22.68M
3.03%14.68M
2.47%16.24M
2.47%16.24M
25.01%14.24M
36.79%15.84M
36.79%15.84M
15.11%11.39M
-Gross PPE
----
32.29%45.35M
32.29%45.35M
----
15.03%34.28M
15.03%34.28M
----
44.30%29.8M
44.30%29.8M
----
-Accumulated depreciation
----
-25.64%-22.68M
-25.64%-22.68M
----
-29.29%-18.05M
-29.29%-18.05M
----
-53.89%-13.96M
-53.89%-13.96M
----
Goodwill and other intangible assets
-25.33%141.77M
-28.40%125.23M
-28.40%125.23M
10.84%189.86M
1.87%174.9M
1.87%174.9M
-2.21%171.29M
2.59%171.68M
2.59%171.68M
280.40%175.17M
-Other intangible assets
----
-28.40%125.23M
-28.40%125.23M
----
1.87%174.9M
1.87%174.9M
--171.29M
2.59%171.68M
2.59%171.68M
----
Investments and advances
-22.65%38.61M
16.49%47.16M
16.49%47.16M
20.51%49.91M
-23.86%40.48M
-23.86%40.48M
-64.91%41.42M
743.02%53.17M
743.02%53.17M
2,946.99%118.02M
Non current accounts receivable
52.12%91.24M
61.53%76.71M
61.53%76.71M
61.92%59.98M
45.19%47.49M
45.19%47.49M
42.03%37.04M
58.57%32.71M
58.57%32.71M
109.86%26.08M
Non current deferred assets
25.84%174.63M
22.71%97.21M
22.71%97.21M
155.71%138.77M
146.10%79.22M
146.10%79.22M
233.87%54.27M
114.06%32.19M
114.06%32.19M
--16.25M
Non current prepaid assets
0.00%47.33M
--47.33M
--47.33M
--47.33M
--0
--0
----
--0
--0
----
Other non current assets
28.92%2.27M
39.21%2.42M
39.21%2.42M
4.70%1.76M
1.64%1.74M
1.64%1.74M
16.98%1.68M
13.25%1.71M
13.25%1.71M
102.17%1.44M
Total non current assets
6.07%532.77M
16.29%418.72M
16.29%418.72M
56.99%502.28M
17.17%360.06M
17.17%360.06M
-8.16%319.95M
38.17%307.3M
38.17%307.3M
377.47%348.36M
Total assets
50.18%4.8B
44.93%4.54B
44.93%4.54B
-1.71%3.19B
9.96%3.13B
9.96%3.13B
1.13%3.25B
25.04%2.85B
25.04%2.85B
41.26%3.21B
Liabilities
Current liabilities
Payables
47.56%302.83M
37.13%267.46M
37.13%267.46M
15.86%205.22M
-8.85%195.04M
-8.85%195.04M
-26.38%177.14M
1.99%213.99M
1.99%213.99M
66.76%240.59M
-accounts payable
43.72%280.63M
30.12%245.56M
30.12%245.56M
16.76%195.27M
-9.64%188.72M
-9.64%188.72M
-30.16%167.24M
1.22%208.85M
1.22%208.85M
66.52%239.44M
-Total tax payable
202.67%13.95M
36.25%4.33M
36.25%4.33M
34.93%4.61M
-26.28%3.18M
-26.28%3.18M
195.93%3.42M
23.39%4.32M
23.39%4.32M
138.07%1.15M
-Other payable
54.33%8.25M
459.01%17.56M
459.01%17.56M
-17.55%5.35M
279.47%3.14M
279.47%3.14M
--6.49M
--828K
--828K
----
Current accrued expenses
115.15%84.24M
186.42%55.79M
186.42%55.79M
349.26%39.15M
--19.48M
--19.48M
--8.72M
--0
--0
----
Current debt and capital lease obligation
83.02%5.85M
35.97%4.65M
35.97%4.65M
-8.42%3.2M
-2.62%3.42M
-2.62%3.42M
1.22%3.49M
0.95%3.51M
0.95%3.51M
35.97%3.45M
-Current capital lease obligation
83.02%5.85M
35.97%4.65M
35.97%4.65M
-8.42%3.2M
-2.62%3.42M
-2.62%3.42M
1.22%3.49M
0.95%3.51M
0.95%3.51M
35.97%3.45M
Other current liabilities
----
----
----
----
--1K
--1K
----
----
----
----
Current liabilities
57.22%499.63M
39.94%422.99M
39.94%422.99M
20.10%317.79M
0.34%302.28M
0.34%302.28M
8.42%264.6M
-8.30%301.24M
-8.30%301.24M
9.68%244.04M
Non current liabilities
Long term debt and capital lease obligation
249.42%28.11M
70.43%15.35M
70.43%15.35M
29.57%8.04M
13.24%9.01M
13.24%9.01M
40.10%6.21M
28.72%7.96M
28.72%7.96M
-15.62%4.43M
-Long term capital lease obligation
249.42%28.11M
70.43%15.35M
70.43%15.35M
29.57%8.04M
13.24%9.01M
13.24%9.01M
40.10%6.21M
28.72%7.96M
28.72%7.96M
-15.62%4.43M
Non current deferred liabilities
-43.85%4.99M
-38.67%5.16M
-38.67%5.16M
16.06%8.89M
30.57%8.41M
30.57%8.41M
-38.14%7.66M
-97.62%6.44M
-97.62%6.44M
-94.59%12.39M
Employee benefits
56.38%1.58M
66.55%1.45M
66.55%1.45M
85.16%1.01M
108.63%870K
108.63%870K
140.53%546K
167.31%417K
167.31%417K
215.37%227K
Total non current liabilities
93.23%34.68M
20.09%21.96M
20.09%21.96M
24.50%17.95M
23.46%18.29M
23.46%18.29M
-15.42%14.42M
-94.65%14.81M
-94.65%14.81M
-92.72%17.05M
Total liabilities
59.14%534.31M
38.80%444.95M
38.80%444.95M
20.33%335.74M
1.43%320.56M
1.43%320.56M
6.87%279.02M
-47.79%316.05M
-47.79%316.05M
-42.82%261.09M
Shareholders'equity
Share capital
6.27%7.12M
6.30%7.06M
6.30%7.06M
1.44%6.7M
6.53%6.64M
6.53%6.64M
6.47%6.6M
8.51%6.23M
8.51%6.23M
17.06%6.2M
-common stock
6.27%7.12M
6.30%7.06M
6.30%7.06M
1.44%6.7M
6.53%6.64M
6.53%6.64M
6.47%6.6M
8.51%6.23M
8.51%6.23M
17.06%6.2M
Retained earnings
-9.15%-2.44B
-13.98%-2.4B
-13.98%-2.4B
-21.62%-2.23B
-50.68%-2.11B
-50.68%-2.11B
-97.70%-1.84B
-41.16%-1.4B
-41.16%-1.4B
-53.44%-928.76M
Paid-in capital
31.39%5.75B
31.13%5.65B
31.13%5.65B
2.38%4.37B
24.46%4.31B
24.46%4.31B
24.10%4.27B
48.04%3.46B
48.04%3.46B
49.79%3.44B
Gains losses not affecting retained earnings
33.09%945.06M
0.49%72.07M
0.49%72.07M
34.66%710.09M
-22.37%71.72M
-22.37%71.72M
22.13%527.31M
-71.24%92.39M
-71.24%92.39M
261.16%431.75M
Other equity interest
----
44.18%771.73M
44.18%771.73M
----
43.49%535.25M
43.49%535.25M
----
--373.02M
--373.02M
----
Total stockholders'equity
49.13%4.26B
45.63%4.1B
45.63%4.1B
-3.78%2.86B
11.03%2.81B
11.03%2.81B
0.62%2.97B
51.38%2.53B
51.38%2.53B
62.37%2.95B
Total equity
49.13%4.26B
45.63%4.1B
45.63%4.1B
-3.78%2.86B
11.03%2.81B
11.03%2.81B
0.62%2.97B
51.38%2.53B
51.38%2.53B
62.37%2.95B
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
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 55.35%3.1B45.03%3.18B45.03%3.18B-23.12%2B-6.17%2.19B-6.17%2.19B-4.89%2.6B17.04%2.34B17.04%2.34B25.63%2.73B
-Cash and cash equivalents 29.51%1.44B155.87%2.05B155.87%2.05B-18.78%1.11B-40.00%800.74M-40.00%800.74M-13.57%1.37B9.69%1.33B9.69%1.33B17.07%1.58B
-Short-term investments 87.74%1.66B-18.74%1.13B-18.74%1.13B-27.94%886.4M38.90%1.39B38.90%1.39B7.05%1.23B28.53%1B28.53%1B39.70%1.15B
Receivables 84.87%655.56M80.06%499.27M80.06%499.27M211.25%354.61M625.45%277.28M625.45%277.28M845.39%113.93M413.65%38.22M413.65%38.22M19.88%12.05M
-Accounts receivable 69.60%515.96M73.28%417.99M73.28%417.99M170.69%304.23M759.75%241.23M759.75%241.23M832.64%112.39M9,676.31%28.06M9,676.31%28.06M25.16%12.05M
-Accrued interest receivable 71.22%33.3M1.61%13.13M1.61%13.13M--19.45M874.94%12.92M874.94%12.92M----33.43%1.33M33.43%1.33M----
-Taxes receivable --46.11M209.88%63.61M209.88%63.61M----157.41%20.53M157.41%20.53M------7.97M--7.97M----
-Other receivables 94.60%60.2M74.64%4.55M74.64%4.55M1,912.62%30.93M201.27%2.6M201.27%2.6M--1.54M-85.98%864K-85.98%864K----
Inventory 62.33%326.46M36.00%310.55M36.00%310.55M48.19%201.11M109.35%228.35M109.35%228.35M129.18%135.71M332.93%109.08M332.93%109.08M957.92%59.22M
Prepaid assets 29.24%179.42M76.36%134.07M76.36%134.07M68.66%138.83M28.97%76.02M28.97%76.02M31.91%82.31M111.18%58.95M111.18%58.95M410.68%62.4M
Other current assets -------------------1K---1K--------------1K
Total current assets 58.42%4.26B48.65%4.12B48.65%4.12B-8.12%2.69B9.09%2.77B9.09%2.77B2.26%2.93B23.63%2.54B23.63%2.54B30.12%2.86B
Non current assets
Net PPE 151.64%36.93M39.67%22.68M39.67%22.68M3.03%14.68M2.47%16.24M2.47%16.24M25.01%14.24M36.79%15.84M36.79%15.84M15.11%11.39M
-Gross PPE ----32.29%45.35M32.29%45.35M----15.03%34.28M15.03%34.28M----44.30%29.8M44.30%29.8M----
-Accumulated depreciation -----25.64%-22.68M-25.64%-22.68M-----29.29%-18.05M-29.29%-18.05M-----53.89%-13.96M-53.89%-13.96M----
Goodwill and other intangible assets -25.33%141.77M-28.40%125.23M-28.40%125.23M10.84%189.86M1.87%174.9M1.87%174.9M-2.21%171.29M2.59%171.68M2.59%171.68M280.40%175.17M
-Other intangible assets -----28.40%125.23M-28.40%125.23M----1.87%174.9M1.87%174.9M--171.29M2.59%171.68M2.59%171.68M----
Investments and advances -22.65%38.61M16.49%47.16M16.49%47.16M20.51%49.91M-23.86%40.48M-23.86%40.48M-64.91%41.42M743.02%53.17M743.02%53.17M2,946.99%118.02M
Non current accounts receivable 52.12%91.24M61.53%76.71M61.53%76.71M61.92%59.98M45.19%47.49M45.19%47.49M42.03%37.04M58.57%32.71M58.57%32.71M109.86%26.08M
Non current deferred assets 25.84%174.63M22.71%97.21M22.71%97.21M155.71%138.77M146.10%79.22M146.10%79.22M233.87%54.27M114.06%32.19M114.06%32.19M--16.25M
Non current prepaid assets 0.00%47.33M--47.33M--47.33M--47.33M--0--0------0--0----
Other non current assets 28.92%2.27M39.21%2.42M39.21%2.42M4.70%1.76M1.64%1.74M1.64%1.74M16.98%1.68M13.25%1.71M13.25%1.71M102.17%1.44M
Total non current assets 6.07%532.77M16.29%418.72M16.29%418.72M56.99%502.28M17.17%360.06M17.17%360.06M-8.16%319.95M38.17%307.3M38.17%307.3M377.47%348.36M
Total assets 50.18%4.8B44.93%4.54B44.93%4.54B-1.71%3.19B9.96%3.13B9.96%3.13B1.13%3.25B25.04%2.85B25.04%2.85B41.26%3.21B
Liabilities
Current liabilities
Payables 47.56%302.83M37.13%267.46M37.13%267.46M15.86%205.22M-8.85%195.04M-8.85%195.04M-26.38%177.14M1.99%213.99M1.99%213.99M66.76%240.59M
-accounts payable 43.72%280.63M30.12%245.56M30.12%245.56M16.76%195.27M-9.64%188.72M-9.64%188.72M-30.16%167.24M1.22%208.85M1.22%208.85M66.52%239.44M
-Total tax payable 202.67%13.95M36.25%4.33M36.25%4.33M34.93%4.61M-26.28%3.18M-26.28%3.18M195.93%3.42M23.39%4.32M23.39%4.32M138.07%1.15M
-Other payable 54.33%8.25M459.01%17.56M459.01%17.56M-17.55%5.35M279.47%3.14M279.47%3.14M--6.49M--828K--828K----
Current accrued expenses 115.15%84.24M186.42%55.79M186.42%55.79M349.26%39.15M--19.48M--19.48M--8.72M--0--0----
Current debt and capital lease obligation 83.02%5.85M35.97%4.65M35.97%4.65M-8.42%3.2M-2.62%3.42M-2.62%3.42M1.22%3.49M0.95%3.51M0.95%3.51M35.97%3.45M
-Current capital lease obligation 83.02%5.85M35.97%4.65M35.97%4.65M-8.42%3.2M-2.62%3.42M-2.62%3.42M1.22%3.49M0.95%3.51M0.95%3.51M35.97%3.45M
Other current liabilities ------------------1K--1K----------------
Current liabilities 57.22%499.63M39.94%422.99M39.94%422.99M20.10%317.79M0.34%302.28M0.34%302.28M8.42%264.6M-8.30%301.24M-8.30%301.24M9.68%244.04M
Non current liabilities
Long term debt and capital lease obligation 249.42%28.11M70.43%15.35M70.43%15.35M29.57%8.04M13.24%9.01M13.24%9.01M40.10%6.21M28.72%7.96M28.72%7.96M-15.62%4.43M
-Long term capital lease obligation 249.42%28.11M70.43%15.35M70.43%15.35M29.57%8.04M13.24%9.01M13.24%9.01M40.10%6.21M28.72%7.96M28.72%7.96M-15.62%4.43M
Non current deferred liabilities -43.85%4.99M-38.67%5.16M-38.67%5.16M16.06%8.89M30.57%8.41M30.57%8.41M-38.14%7.66M-97.62%6.44M-97.62%6.44M-94.59%12.39M
Employee benefits 56.38%1.58M66.55%1.45M66.55%1.45M85.16%1.01M108.63%870K108.63%870K140.53%546K167.31%417K167.31%417K215.37%227K
Total non current liabilities 93.23%34.68M20.09%21.96M20.09%21.96M24.50%17.95M23.46%18.29M23.46%18.29M-15.42%14.42M-94.65%14.81M-94.65%14.81M-92.72%17.05M
Total liabilities 59.14%534.31M38.80%444.95M38.80%444.95M20.33%335.74M1.43%320.56M1.43%320.56M6.87%279.02M-47.79%316.05M-47.79%316.05M-42.82%261.09M
Shareholders'equity
Share capital 6.27%7.12M6.30%7.06M6.30%7.06M1.44%6.7M6.53%6.64M6.53%6.64M6.47%6.6M8.51%6.23M8.51%6.23M17.06%6.2M
-common stock 6.27%7.12M6.30%7.06M6.30%7.06M1.44%6.7M6.53%6.64M6.53%6.64M6.47%6.6M8.51%6.23M8.51%6.23M17.06%6.2M
Retained earnings -9.15%-2.44B-13.98%-2.4B-13.98%-2.4B-21.62%-2.23B-50.68%-2.11B-50.68%-2.11B-97.70%-1.84B-41.16%-1.4B-41.16%-1.4B-53.44%-928.76M
Paid-in capital 31.39%5.75B31.13%5.65B31.13%5.65B2.38%4.37B24.46%4.31B24.46%4.31B24.10%4.27B48.04%3.46B48.04%3.46B49.79%3.44B
Gains losses not affecting retained earnings 33.09%945.06M0.49%72.07M0.49%72.07M34.66%710.09M-22.37%71.72M-22.37%71.72M22.13%527.31M-71.24%92.39M-71.24%92.39M261.16%431.75M
Other equity interest ----44.18%771.73M44.18%771.73M----43.49%535.25M43.49%535.25M------373.02M--373.02M----
Total stockholders'equity 49.13%4.26B45.63%4.1B45.63%4.1B-3.78%2.86B11.03%2.81B11.03%2.81B0.62%2.97B51.38%2.53B51.38%2.53B62.37%2.95B
Total equity 49.13%4.26B45.63%4.1B45.63%4.1B-3.78%2.86B11.03%2.81B11.03%2.81B0.62%2.97B51.38%2.53B51.38%2.53B62.37%2.95B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----

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