Bristol-Myers Squibb Company (BMV:BMY)
Mexico flag Mexico · Delayed Price · Currency is MXN
827.00
+3.50 (0.43%)
At close: Oct 9, 2025

BMV:BMY Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202005 - 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2005 - 2019
Cash & Equivalents
12,59910,34611,4649,12313,97914,546
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Short-Term Investments
1,0045138161302,9871,285
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Cash & Short-Term Investments
13,60310,85912,2809,25316,96615,831
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Cash Growth
104.46%-11.57%32.71%-45.46%7.17%2.84%
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Accounts Receivable
11,41510,74710,9219,8869,3698,501
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Inventory
2,7372,5572,6622,3392,0952,074
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Other Current Assets
5,4665,6175,9075,7954,8323,786
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Total Current Assets
33,22229,78031,77027,27333,26230,192
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Net Property, Plant & Equipment
7,3737,1366,6466,2556,0495,886
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Other Intangible Assets
21,37823,30727,07235,85942,52753,243
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Goodwill
21,77621,71921,16921,14920,50220,547
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Long-Term Investments
346320364--433
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Other Long-Term Assets
10,58310,3418,1386,2846,9748,180
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Total Assets
94,67692,60395,15996,820109,314118,481
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Accounts Payable
5,4273,6023,2593,0402,9492,713
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Short-Term Debt
4,7152,0463,1194,2644,9482,340
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Other Current Liabilities
17,38618,12615,88414,58613,97114,027
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Total Current Liabilities
27,52823,77422,26221,89021,86819,080
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Long-Term Debt
44,47047,60336,65335,05639,60548,336
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Other Long-Term Liabilities
5,1894,8386,7598,75611,83513,183
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Total Long-Term Liabilities
49,65952,44143,41243,81251,44061,519
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Total Liabilities
77,18776,21565,67465,70273,30880,599
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Common Stock
292292292292292292
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Treasury Stock
-43,590-43,655-43,766-38,618-31,259-26,237
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Additional Paid-in Capital
46,13446,02445,68445,16544,36144,325
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Accumulated Other Comprehensive Income
-1,554-1,238-1,546-1,281-1,268-1,839
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Retained Earnings
16,15414,91228,76625,50323,82021,281
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Total Common Shareholders' Equity
17,43516,33529,43031,06135,94637,822
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Minority Interest
545355576060
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Shareholders' Equity
17,48916,38829,48531,11836,00637,882
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Total Liabilities & Equity
94,67692,60395,15996,820109,314118,481
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Total Debt
49,18549,64939,77239,32044,55350,676
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Net Cash (Debt)
-35,582-38,790-27,492-30,067-27,587-34,845
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Net Cash Per Share
-17.49-19.14-13.23-14.01-12.29-15.43
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Book Value
17,43516,33529,43031,06135,94637,822
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Book Value Per Share
8.578.0614.1614.4716.0116.75
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Tangible Book Value
-25,719-28,691-18,811-25,947-27,083-35,968
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Tangible Book Value Per Share
-12.64-14.15-9.05-12.09-12.06-15.93
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Updated Jun 30, 2025. Data Source: Fiscal.ai. Standard template. Financial Sources.