638 EUR
10.6
1.69%
Last update Dec 17, 2:43 PM CET
Market closed
Day range
632.59998
638
Previous close
627.40002
Open
632.59998
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Regeneron Pharmaceuticals Inc.
638.00
10.60
1.69%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2024 2023 2022 2021
Operating activities 4.2B 4.4B 5.1B 7.7B
Net income 3.8B 4.0B 4.3B 8.1B
Depreciation 411.7M 421M 341.4M 286.2M
Deferred taxes -645.6M -837.8M -746.4M -147.1M
StockBased compensation 837.8M 885M 725M 601.7M
Other non cash items 30.8M -100K 563M 568.7M
Accounts receivable -472.3M -338.8M 707.8M -1.9B
Accounts payable 626.7M 598.6M -138.4M 866.1M
Other assets liabilities -334.1M -233.8M -664.1M -614.5M
Investing activities -1.4B -2.3B -2.4B -4.8B
Capital expenditures 17.1M 0 0
Net intangibles -107.2M -207.8M -1.0B 0
Net acquisitions -14.1M -54.9M -230.3M 0
Purchase of investments -14.2B -11.6B -7.5B -7.0B
Sale of investments 12.8B 9.4B 5.6B 2.2B
Other investing activity -230.3M
Financing activities -1.9B -1.8B -1.0B -1.0B
Long term debt issuance 0 0
Long term debt payments 0 0
Short term debt issuance
Common stock issuance 1.2B 1.1B 1.5B 1.7B
Common stock repurchase -3.1B -2.9B -2.5B -2.7B
Common dividends
Other financing charges -28.5M
End cash position 2.1B 2.7B 3.1B 2.9B
Income tax paid 633.4M 870.3M 1.5B 1.2B
Interest paid 44.8M 73.1M 53.7M 55.8M
Free cash flow 3.0B 3.7B 3.4B 6.5B
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