US Stock MarketDetailed Quotes

GILD Gilead Sciences

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  • 73.500
  • -2.090-2.76%
Trading Aug 9 12:53 ET
91.51BMarket Cap89.63P/E (TTM)

Gilead Sciences 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
Assets
Current assets
Cash, cash equivalents and short term investments
-58.42%2.77B
-19.65%4.72B
13.77%7.26B
13.77%7.26B
21.27%6.86B
17.73%6.67B
10.27%5.87B
-2.07%6.39B
-2.07%6.39B
-1.36%5.66B
-Cash and cash equivalents
-51.40%2.77B
-4.42%4.72B
12.44%6.09B
12.44%6.09B
21.41%5.71B
20.36%5.7B
14.90%4.94B
1.39%5.41B
1.39%5.41B
7.73%4.7B
-Short-term investments
--0
--0
21.17%1.18B
21.17%1.18B
20.60%1.16B
4.22%963M
-9.04%936M
-17.68%973M
-17.68%973M
-30.16%961M
Receivables
10.26%4.66B
12.18%4.67B
-2.45%4.66B
-2.45%4.66B
10.01%4.79B
2.70%4.23B
9.90%4.16B
6.32%4.78B
6.32%4.78B
-4.64%4.35B
-Accounts receivable
10.26%4.66B
12.18%4.67B
-2.45%4.66B
-2.45%4.66B
10.01%4.79B
2.70%4.23B
9.90%4.16B
6.32%4.78B
6.32%4.78B
-4.64%4.35B
Inventory
24.07%2.03B
17.58%1.85B
18.58%1.79B
18.58%1.79B
13.67%1.66B
9.30%1.63B
6.34%1.58B
-6.86%1.51B
-6.86%1.51B
-12.71%1.46B
Other current assets
62.46%2.86B
51.73%2.8B
33.82%2.37B
33.82%2.37B
28.21%2.66B
-7.47%1.76B
-9.29%1.85B
-17.14%1.77B
-17.14%1.77B
3.28%2.08B
Total current assets
-13.79%12.32B
4.35%14.04B
11.37%16.09B
11.37%16.09B
17.90%15.98B
8.44%14.29B
6.55%13.46B
-2.23%14.44B
-2.23%14.44B
-3.12%13.55B
Non current assets
Net PPE
-3.50%5.35B
-2.88%5.32B
-2.89%5.32B
-2.89%5.32B
4.17%5.57B
4.55%5.54B
4.30%5.48B
6.91%5.48B
6.91%5.48B
6.19%5.35B
-Gross PPE
----
----
1.37%7.77B
1.37%7.77B
----
----
----
9.22%7.66B
9.22%7.66B
----
-Accumulated depreciation
----
----
-12.03%-2.45B
-12.03%-2.45B
----
----
----
-15.48%-2.19B
-15.48%-2.19B
----
Goodwill and other intangible assets
-13.63%31.15B
-13.42%31.74B
-6.56%34.77B
-6.56%34.77B
-6.06%35.47B
-5.59%36.06B
-5.13%36.66B
-10.96%37.21B
-10.96%37.21B
-10.60%37.75B
-Goodwill
0.00%8.31B
0.00%8.31B
0.00%8.31B
0.00%8.31B
0.00%8.31B
0.00%8.31B
0.00%8.31B
-0.22%8.31B
-0.22%8.31B
-0.22%8.31B
-Other intangible assets
-17.72%22.83B
-17.36%23.43B
-8.44%26.45B
-8.44%26.45B
-7.78%27.15B
-7.14%27.75B
-6.53%28.35B
-13.64%28.89B
-13.64%28.89B
-13.16%29.44B
Investments and advances
--0
--0
-6.59%1.16B
-6.59%1.16B
-9.83%1.16B
-0.22%1.33B
-7.01%1.33B
-4.89%1.25B
-4.89%1.25B
16.65%1.28B
Other non current assets
-6.71%4.77B
4.77%5.19B
-0.17%4.79B
-0.17%4.79B
-9.05%4.2B
5.21%5.11B
-3.39%4.95B
-3.28%4.8B
-3.28%4.8B
-2.55%4.62B
Total non current assets
-14.13%41.26B
-12.74%42.25B
-5.51%46.04B
-5.51%46.04B
-5.33%46.39B
-3.31%48.05B
-4.02%48.42B
-8.37%48.73B
-8.37%48.73B
-7.73%49B
Total assets
-14.05%53.58B
-9.02%56.29B
-1.66%62.13B
-1.66%62.13B
-0.29%62.37B
-0.85%62.34B
-1.91%61.88B
-7.04%63.17B
-7.04%63.17B
-6.77%62.56B
Liabilities
Current liabilities
Payables
-36.73%1.8B
3.12%1.82B
-5.69%1.76B
-5.69%1.76B
76.25%2.67B
94.14%2.85B
68.10%1.77B
49.84%1.86B
49.84%1.86B
46.90%1.52B
-accounts payable
-13.67%537M
-0.80%622M
-39.23%550M
-39.23%550M
-4.56%586M
10.09%622M
7.55%627M
28.37%905M
28.37%905M
4.96%614M
-Total tax payable
-43.17%1.27B
5.27%1.2B
25.96%1.21B
25.96%1.21B
131.26%2.09B
146.78%2.23B
143.68%1.14B
77.92%959M
77.92%959M
101.79%902M
Current accrued expenses
12.28%3.92B
-19.99%4.26B
9.28%3.8B
9.28%3.8B
-32.39%3.71B
-39.00%3.49B
-3.50%5.33B
-53.14%3.48B
-53.14%3.48B
0.22%5.49B
Current provisions
-5.71%413M
-15.32%376M
-8.29%387M
-8.29%387M
2.81%403M
14.96%438M
10.17%444M
-15.43%422M
-15.43%422M
-26.04%392M
Current debt and capital lease obligation
-55.16%1.81B
60.62%3.67B
-20.90%1.8B
-20.90%1.8B
-21.01%1.79B
295.40%4.04B
122.73%2.28B
49.93%2.27B
49.93%2.27B
-9.60%2.27B
-Current debt
-55.16%1.81B
60.62%3.67B
-20.90%1.8B
-20.90%1.8B
-21.01%1.79B
295.40%4.04B
122.73%2.28B
49.93%2.27B
49.93%2.27B
-9.60%2.27B
Other current liabilities
-16.91%1.98B
--2.14B
6.97%2.33B
6.97%2.33B
--2.4B
--2.38B
----
--2.18B
--2.18B
----
Current liabilities
-22.80%10.78B
23.64%13.02B
0.37%11.28B
0.37%11.28B
14.60%11.95B
51.45%13.96B
23.01%10.53B
-3.20%11.24B
-3.20%11.24B
1.74%10.42B
Non current liabilities
Long term debt and capital lease obligation
1.56%21.54B
-6.22%21.53B
1.01%23.19B
1.01%23.19B
1.03%23.19B
-15.82%21.21B
-8.84%22.96B
-8.82%22.96B
-8.82%22.96B
-8.83%22.95B
-Long term debt
1.56%21.54B
-6.22%21.53B
1.01%23.19B
1.01%23.19B
1.03%23.19B
-15.82%21.21B
-8.84%22.96B
-8.82%22.96B
-8.82%22.96B
-8.83%22.95B
Non current deferred liabilities
-56.93%907M
-61.14%933M
-40.59%1.59B
-40.59%1.59B
-34.65%1.98B
-37.40%2.11B
-34.88%2.4B
-38.64%2.67B
-38.64%2.67B
-34.04%3.04B
Other non current liabilities
4.58%1.42B
9.08%1.39B
8.66%1.28B
8.66%1.28B
-16.27%926M
37.15%1.36B
35.38%1.28B
20.70%1.18B
20.70%1.18B
14.97%1.11B
Total non current liabilities
-9.82%24.6B
-15.09%25.82B
-8.55%28.1B
-8.55%28.1B
-9.30%28.19B
-18.41%27.28B
-12.13%30.41B
-12.91%30.72B
-12.91%30.72B
-12.17%31.08B
Total liabilities
-14.21%35.38B
-5.13%38.84B
-6.16%39.38B
-6.16%39.38B
-3.30%40.13B
-3.31%41.24B
-5.16%40.94B
-10.51%41.96B
-10.51%41.96B
-9.05%41.5B
Shareholders'equity
Share capital
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-common stock
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-26.25%11.17B
-30.00%10.66B
3.93%16.3B
3.93%16.3B
1.56%16B
0.14%15.14B
1.58%15.22B
-3.90%15.69B
-3.90%15.69B
-6.79%15.76B
Paid-in capital
16.88%7.02B
17.61%6.81B
17.12%6.5B
17.12%6.5B
20.15%6.28B
19.42%6.01B
19.03%5.79B
19.07%5.55B
19.07%5.55B
16.34%5.23B
Gains losses not affecting retained earnings
830.00%93M
445.00%69M
1,300.00%28M
1,300.00%28M
-68.37%31M
-88.51%10M
-127.40%-20M
-97.59%2M
-97.59%2M
32.43%98M
Total stockholders'equity
-13.59%18.28B
-16.47%17.54B
7.50%22.83B
7.50%22.83B
5.84%22.31B
4.55%21.16B
5.37%21B
0.81%21.24B
0.81%21.24B
-1.81%21.08B
Noncontrolling interests
-31.25%-84M
-44.83%-84M
-170.97%-84M
-170.97%-84M
-200.00%-72M
-204.76%-64M
-383.33%-58M
-520.00%-31M
-520.00%-31M
-2,500.00%-24M
Total equity
-13.73%18.2B
-16.64%17.46B
7.26%22.75B
7.26%22.75B
5.62%22.24B
4.34%21.09B
5.14%20.94B
0.69%21.21B
0.69%21.21B
-1.93%21.06B
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
Assets
Current assets
Cash, cash equivalents and short term investments -58.42%2.77B-19.65%4.72B13.77%7.26B13.77%7.26B21.27%6.86B17.73%6.67B10.27%5.87B-2.07%6.39B-2.07%6.39B-1.36%5.66B
-Cash and cash equivalents -51.40%2.77B-4.42%4.72B12.44%6.09B12.44%6.09B21.41%5.71B20.36%5.7B14.90%4.94B1.39%5.41B1.39%5.41B7.73%4.7B
-Short-term investments --0--021.17%1.18B21.17%1.18B20.60%1.16B4.22%963M-9.04%936M-17.68%973M-17.68%973M-30.16%961M
Receivables 10.26%4.66B12.18%4.67B-2.45%4.66B-2.45%4.66B10.01%4.79B2.70%4.23B9.90%4.16B6.32%4.78B6.32%4.78B-4.64%4.35B
-Accounts receivable 10.26%4.66B12.18%4.67B-2.45%4.66B-2.45%4.66B10.01%4.79B2.70%4.23B9.90%4.16B6.32%4.78B6.32%4.78B-4.64%4.35B
Inventory 24.07%2.03B17.58%1.85B18.58%1.79B18.58%1.79B13.67%1.66B9.30%1.63B6.34%1.58B-6.86%1.51B-6.86%1.51B-12.71%1.46B
Other current assets 62.46%2.86B51.73%2.8B33.82%2.37B33.82%2.37B28.21%2.66B-7.47%1.76B-9.29%1.85B-17.14%1.77B-17.14%1.77B3.28%2.08B
Total current assets -13.79%12.32B4.35%14.04B11.37%16.09B11.37%16.09B17.90%15.98B8.44%14.29B6.55%13.46B-2.23%14.44B-2.23%14.44B-3.12%13.55B
Non current assets
Net PPE -3.50%5.35B-2.88%5.32B-2.89%5.32B-2.89%5.32B4.17%5.57B4.55%5.54B4.30%5.48B6.91%5.48B6.91%5.48B6.19%5.35B
-Gross PPE --------1.37%7.77B1.37%7.77B------------9.22%7.66B9.22%7.66B----
-Accumulated depreciation ---------12.03%-2.45B-12.03%-2.45B-------------15.48%-2.19B-15.48%-2.19B----
Goodwill and other intangible assets -13.63%31.15B-13.42%31.74B-6.56%34.77B-6.56%34.77B-6.06%35.47B-5.59%36.06B-5.13%36.66B-10.96%37.21B-10.96%37.21B-10.60%37.75B
-Goodwill 0.00%8.31B0.00%8.31B0.00%8.31B0.00%8.31B0.00%8.31B0.00%8.31B0.00%8.31B-0.22%8.31B-0.22%8.31B-0.22%8.31B
-Other intangible assets -17.72%22.83B-17.36%23.43B-8.44%26.45B-8.44%26.45B-7.78%27.15B-7.14%27.75B-6.53%28.35B-13.64%28.89B-13.64%28.89B-13.16%29.44B
Investments and advances --0--0-6.59%1.16B-6.59%1.16B-9.83%1.16B-0.22%1.33B-7.01%1.33B-4.89%1.25B-4.89%1.25B16.65%1.28B
Other non current assets -6.71%4.77B4.77%5.19B-0.17%4.79B-0.17%4.79B-9.05%4.2B5.21%5.11B-3.39%4.95B-3.28%4.8B-3.28%4.8B-2.55%4.62B
Total non current assets -14.13%41.26B-12.74%42.25B-5.51%46.04B-5.51%46.04B-5.33%46.39B-3.31%48.05B-4.02%48.42B-8.37%48.73B-8.37%48.73B-7.73%49B
Total assets -14.05%53.58B-9.02%56.29B-1.66%62.13B-1.66%62.13B-0.29%62.37B-0.85%62.34B-1.91%61.88B-7.04%63.17B-7.04%63.17B-6.77%62.56B
Liabilities
Current liabilities
Payables -36.73%1.8B3.12%1.82B-5.69%1.76B-5.69%1.76B76.25%2.67B94.14%2.85B68.10%1.77B49.84%1.86B49.84%1.86B46.90%1.52B
-accounts payable -13.67%537M-0.80%622M-39.23%550M-39.23%550M-4.56%586M10.09%622M7.55%627M28.37%905M28.37%905M4.96%614M
-Total tax payable -43.17%1.27B5.27%1.2B25.96%1.21B25.96%1.21B131.26%2.09B146.78%2.23B143.68%1.14B77.92%959M77.92%959M101.79%902M
Current accrued expenses 12.28%3.92B-19.99%4.26B9.28%3.8B9.28%3.8B-32.39%3.71B-39.00%3.49B-3.50%5.33B-53.14%3.48B-53.14%3.48B0.22%5.49B
Current provisions -5.71%413M-15.32%376M-8.29%387M-8.29%387M2.81%403M14.96%438M10.17%444M-15.43%422M-15.43%422M-26.04%392M
Current debt and capital lease obligation -55.16%1.81B60.62%3.67B-20.90%1.8B-20.90%1.8B-21.01%1.79B295.40%4.04B122.73%2.28B49.93%2.27B49.93%2.27B-9.60%2.27B
-Current debt -55.16%1.81B60.62%3.67B-20.90%1.8B-20.90%1.8B-21.01%1.79B295.40%4.04B122.73%2.28B49.93%2.27B49.93%2.27B-9.60%2.27B
Other current liabilities -16.91%1.98B--2.14B6.97%2.33B6.97%2.33B--2.4B--2.38B------2.18B--2.18B----
Current liabilities -22.80%10.78B23.64%13.02B0.37%11.28B0.37%11.28B14.60%11.95B51.45%13.96B23.01%10.53B-3.20%11.24B-3.20%11.24B1.74%10.42B
Non current liabilities
Long term debt and capital lease obligation 1.56%21.54B-6.22%21.53B1.01%23.19B1.01%23.19B1.03%23.19B-15.82%21.21B-8.84%22.96B-8.82%22.96B-8.82%22.96B-8.83%22.95B
-Long term debt 1.56%21.54B-6.22%21.53B1.01%23.19B1.01%23.19B1.03%23.19B-15.82%21.21B-8.84%22.96B-8.82%22.96B-8.82%22.96B-8.83%22.95B
Non current deferred liabilities -56.93%907M-61.14%933M-40.59%1.59B-40.59%1.59B-34.65%1.98B-37.40%2.11B-34.88%2.4B-38.64%2.67B-38.64%2.67B-34.04%3.04B
Other non current liabilities 4.58%1.42B9.08%1.39B8.66%1.28B8.66%1.28B-16.27%926M37.15%1.36B35.38%1.28B20.70%1.18B20.70%1.18B14.97%1.11B
Total non current liabilities -9.82%24.6B-15.09%25.82B-8.55%28.1B-8.55%28.1B-9.30%28.19B-18.41%27.28B-12.13%30.41B-12.91%30.72B-12.91%30.72B-12.17%31.08B
Total liabilities -14.21%35.38B-5.13%38.84B-6.16%39.38B-6.16%39.38B-3.30%40.13B-3.31%41.24B-5.16%40.94B-10.51%41.96B-10.51%41.96B-9.05%41.5B
Shareholders'equity
Share capital 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
-common stock 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -26.25%11.17B-30.00%10.66B3.93%16.3B3.93%16.3B1.56%16B0.14%15.14B1.58%15.22B-3.90%15.69B-3.90%15.69B-6.79%15.76B
Paid-in capital 16.88%7.02B17.61%6.81B17.12%6.5B17.12%6.5B20.15%6.28B19.42%6.01B19.03%5.79B19.07%5.55B19.07%5.55B16.34%5.23B
Gains losses not affecting retained earnings 830.00%93M445.00%69M1,300.00%28M1,300.00%28M-68.37%31M-88.51%10M-127.40%-20M-97.59%2M-97.59%2M32.43%98M
Total stockholders'equity -13.59%18.28B-16.47%17.54B7.50%22.83B7.50%22.83B5.84%22.31B4.55%21.16B5.37%21B0.81%21.24B0.81%21.24B-1.81%21.08B
Noncontrolling interests -31.25%-84M-44.83%-84M-170.97%-84M-170.97%-84M-200.00%-72M-204.76%-64M-383.33%-58M-520.00%-31M-520.00%-31M-2,500.00%-24M
Total equity -13.73%18.2B-16.64%17.46B7.26%22.75B7.26%22.75B5.62%22.24B4.34%21.09B5.14%20.94B0.69%21.21B0.69%21.21B-1.93%21.06B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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