CVS Health Corporation (NEO: CVS)
Canada flag Canada · Delayed Price · Currency is CAD
15.08
-0.79 (-4.98%)
Oct 18, 2024, 3:59 PM EDT

CVS Health Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Jun '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Cash & Equivalents
12,5078,19612,9459,4087,8545,683
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Short-Term Investments
3,7553,2592,7783,1173,0002,373
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Cash & Short-Term Investments
16,26211,45515,72312,52510,8548,056
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Cash Growth
-3.70%-27.14%25.53%15.40%34.73%22.41%
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Accounts Receivable
14,22315,62227,27621,04219,54417,236
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Other Receivables
18,16219,605-3,3892,1982,381
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Receivables
32,38535,22727,27624,43121,74219,617
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Inventory
16,06818,02519,09017,76018,49617,516
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Restricted Cash
54901443,0652,913-
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Other Current Assets
5,1833,0613,4002,2272,3645,113
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Total Current Assets
69,95267,85865,63360,00856,36950,302
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Property, Plant & Equipment
29,93330,43530,74532,01833,33532,904
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Long-Term Investments
25,02823,01921,09623,02520,81217,314
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Goodwill
91,27291,27278,15079,12179,55279,749
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Other Intangible Assets
28,31129,23424,80329,02631,14233,121
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Other Long-Term Assets
7,9857,9107,8489,8019,5059,059
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Total Assets
252,481249,728228,275232,999230,715222,449
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Accounts Payable
14,41614,89714,83812,54411,13810,492
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Accrued Expenses
34,92033,93928,81626,39121,18118,855
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Short-Term Debt
-200----
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Current Portion of Long-Term Debt
3,7312,7061,7194,1555,4073,754
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Current Portion of Leases
1,9111,8071,7371,6961,6711,623
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Current Unearned Revenue
12814971877173
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Other Current Liabilities
26,28025,49122,24022,93422,54918,506
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Total Current Liabilities
81,38679,18969,42167,80762,01753,303
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Long-Term Debt
61,26457,31349,07050,72158,15763,918
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Long-Term Leases
16,91617,35918,20619,42719,80719,707
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Long-Term Deferred Tax Liabilities
4,0524,3114,0166,2706,7947,294
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Other Long-Term Liabilities
13,75214,73115,59613,14313,95413,744
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Total Liabilities
177,370173,092156,506157,618161,014158,279
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Common Stock
181818171717
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Additional Paid-In Capital
49,35348,97448,17547,36046,49645,955
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Retained Earnings
62,79761,60456,39854,90649,64045,108
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Treasury Stock
-36,890-33,809-31,829-28,144-28,149-28,206
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Comprensive Income & Other
-348-326-1,2939361,385990
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Total Common Equity
74,93076,46171,46975,07569,38963,864
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Minority Interest
181175300306312306
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Shareholders' Equity
75,11176,63671,76975,38169,70164,170
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Total Liabilities & Equity
252,481249,728228,275232,999230,715222,449
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Total Debt
83,82279,38570,73275,99985,04289,002
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Net Cash (Debt)
-67,560-67,930-55,009-63,474-74,188-80,946
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Net Cash Per Share
-52.91-52.66-41.58-47.76-56.46-62.03
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Filing Date Shares Outstanding
1,2581,2581,2841,3131,3111,304
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Total Common Shares Outstanding
1,2561,2881,3001,3221,3101,302
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Working Capital
-11,434-11,331-3,788-7,799-5,648-3,001
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Book Value Per Share
59.6659.3654.9856.7952.9749.05
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Tangible Book Value
-44,653-44,045-31,484-33,072-41,305-49,006
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Tangible Book Value Per Share
-35.55-34.20-24.22-25.02-31.53-37.64
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Land
-1,958-2,0382,1341,981
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Buildings
-4,571-4,2253,9503,541
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Machinery
-11,024-13,61913,12512,401
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Leasehold Improvements
-6,511-6,2426,0775,611
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Source: S&P Capital IQ. Standard template. Financial Sources.