bf/NYSE:MRK_icon.jpeg

COM:MERCK

Merck & Co., Inc. (MSD outside of the U.S. and Canada)

  • Stock

USD

Last Close

99.86

22/11 21:00

Market Cap

322.43B

Beta: -

Volume Today

14.03M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
4.52B
-
11.93B
164.20%
4.46B
62.64%
3.94B
11.62%
2.42B
38.65%
6.19B
156.12%
9.78B
57.87%
7.08B
27.56%
12.36B
74.50%
14.53B
17.54%
365M
97.49%
depreciation and amortization
6.99B
-
6.69B
4.25%
6.38B
4.72%
5.44B
14.65%
4.64B
14.78%
4.52B
2.54%
3.65B
19.19%
3.63B
0.74%
3.21B
11.34%
3.91B
21.62%
3.87B
0.95%
deferred income tax
-330M
-
-2.60B
687.88%
-764M
70.62%
-1.52B
99.08%
-2.62B
72.32%
-509M
80.58%
-556M
9.23%
-668M
20.14%
187M
127.99%
-1.57B
938.50%
-1.90B
21.11%
stock based compensation
276M
-
278M
0.72%
299M
7.55%
300M
0.33%
312M
4%
348M
11.54%
417M
19.83%
475M
13.91%
479M
0.84%
541M
12.94%
645M
19.22%
change in working capital
-794M
-
1.82B
329.72%
-268M
114.69%
-2.60B
870.52%
-5.02B
93.04%
-1.55B
69.07%
-2.07B
33.10%
-4.59B
122.06%
-3.84B
16.36%
-2.78B
27.53%
-2.21B
20.74%
accounts receivables
436M
-
-554M
227.06%
-480M
13.36%
-619M
28.96%
297M
147.98%
-418M
240.74%
294M
170.33%
-1.00B
440.82%
-2.03B
102.89%
-644M
68.32%
-1.15B
78.26%
inventory
-365M
-
79M
121.64%
805M
918.99%
206M
74.41%
-145M
170.39%
-911M
528.28%
-508M
44.24%
-855M
68.31%
-674M
21.17%
-161M
76.11%
-816M
406.83%
accounts payables
522M
-
593M
13.60%
-37M
106.24%
278M
851.35%
254M
8.63%
230M
9.45%
399M
73.48%
724M
81.45%
405M
44.06%
-289M
171.36%
-380M
31.49%
other working capital
-1.39B
-
1.71B
223.00%
-556M
132.59%
-2.47B
343.53%
-5.43B
120.07%
-454M
91.63%
-2.25B
396.04%
-3.46B
53.51%
-1.54B
55.54%
-1.69B
9.82%
139M
108.23%
other non cash items
997M
-
-10.27B
1,129.79%
2.32B
122.60%
4.82B
107.59%
6.72B
39.58%
1.92B
71.38%
2.22B
15.23%
4.33B
95.26%
1.71B
60.50%
4.47B
161.35%
12.23B
173.62%
net cash provided by operating activities
11.65B
-
7.86B
32.56%
12.42B
58.03%
10.38B
16.46%
6.45B
37.87%
10.92B
69.41%
13.44B
23.05%
10.25B
23.71%
14.11B
37.61%
19.09B
35.34%
13.01B
31.89%
investments in property plant and equipment
-1.55B
-
-2.32B
49.68%
-1.28B
44.63%
-1.61B
25.80%
-1.89B
16.98%
-2.62B
38.51%
-3.47B
32.81%
-4.68B
34.87%
-4.45B
5.04%
-4.39B
1.35%
-3.86B
11.96%
acquisitions net
-200M
-
11.24B
5,719.50%
-7.43B
166.09%
-780M
89.50%
-396M
49.23%
-431M
8.84%
-4.95B
1,049.42%
-6.61B
33.35%
-12.91B
95.38%
-121M
99.06%
-12.03B
9,843.80%
purchases of investments
-17.99B
-
-24.94B
38.65%
-16.68B
33.13%
-15.65B
6.17%
-10.74B
31.38%
-7.99B
25.56%
-3.20B
59.94%
-1.09B
65.80%
-1M
99.91%
-1.20B
120,300%
-955M
20.68%
sales maturities of investments
16.30B
-
15.53B
4.69%
20.41B
31.42%
14.35B
29.69%
15.66B
9.13%
15.25B
2.63%
8.62B
43.47%
2.81B
67.39%
1.03B
63.51%
721M
29.73%
1.66B
129.96%
other investing activites
293M
-
115M
60.75%
221M
92.17%
482M
118.10%
38M
92.12%
102M
168.42%
378M
270.59%
130M
65.61%
-225M
273.08%
32M
114.22%
1.11B
3,365.63%
net cash used for investing activites
-3.15B
-
-374M
88.12%
-4.76B
1,172.19%
-3.21B
32.53%
2.68B
183.46%
4.31B
61.03%
-2.63B
160.94%
-9.44B
259.19%
-16.55B
75.32%
-4.96B
70.04%
-14.08B
183.93%
debt repayment
-1.77B
-
-6.62B
272.79%
-2.91B
56.08%
-2.39B
17.89%
-1.10B
53.77%
-4.29B
288.67%
-1.25B
70.89%
-1.96B
56.81%
-2.32B
18.50%
-2.25B
2.93%
-4.18B
85.87%
common stock issued
7.52B
-
4.25B
43.52%
6.88B
62.11%
2.02B
70.68%
473M
76.56%
5.71B
1,108.25%
361M
93.68%
7.06B
1,854.85%
3.65B
48.31%
384M
89.47%
125M
67.45%
common stock repurchased
-6.52B
-
-7.70B
18.22%
-4.19B
45.66%
-3.43B
17.96%
-4.01B
16.89%
-9.09B
126.48%
-4.78B
47.42%
-1.28B
73.20%
-840M
34.43%
-384M
54.29%
-1.35B
250.52%
dividends paid
-5.28B
-
-5.25B
0.57%
-5.12B
2.48%
-5.12B
0.14%
-5.17B
0.84%
-5.17B
0.10%
-5.70B
10.11%
-6.21B
9.13%
-6.61B
6.36%
-7.01B
6.08%
-7.45B
6.18%
other financing activites
60M
-
208M
246.67%
56M
73.08%
-118M
310.71%
-195M
65.25%
-325M
66.67%
2.50B
869.54%
-436M
117.43%
8.71B
2,098.62%
144M
98.35%
8.04B
5,483.33%
net cash used provided by financing activities
-5.99B
-
-15.11B
152.30%
-5.27B
65.13%
-9.04B
71.61%
-10.01B
10.64%
-13.16B
31.52%
-8.86B
32.67%
-2.83B
68.04%
2.59B
191.56%
-9.12B
451.68%
-4.81B
47.25%
effect of forex changes on cash
-346M
-
-553M
59.83%
-1.31B
136.89%
-131M
90%
457M
448.85%
-205M
144.86%
17M
108.29%
253M
1,388.24%
-133M
152.57%
-410M
208.27%
23M
105.61%
net change in cash
2.17B
-
-8.18B
476.96%
1.08B
113.24%
-2.01B
285.50%
-423M
78.94%
1.87B
542.32%
1.97B
5.13%
-1.77B
189.93%
14M
100.79%
4.61B
32,800%
-5.86B
227.31%
cash at beginning of period
13.45B
-
15.62B
16.13%
7.44B
52.37%
8.52B
14.55%
6.51B
23.57%
6.10B
6.43%
7.97B
30.69%
9.93B
24.69%
8.15B
17.93%
8.17B
0.17%
12.77B
56.40%
cash at end of period
15.62B
-
7.44B
52.37%
8.52B
14.55%
6.51B
23.57%
6.09B
6.49%
7.97B
30.78%
9.93B
24.69%
8.16B
17.81%
8.17B
0.02%
12.77B
56.40%
6.91B
45.91%
operating cash flow
11.65B
-
7.86B
32.56%
12.42B
58.03%
10.38B
16.46%
6.45B
37.87%
10.92B
69.41%
13.44B
23.05%
10.25B
23.71%
14.11B
37.61%
19.09B
35.34%
13.01B
31.89%
capital expenditure
-1.55B
-
-2.32B
49.68%
-1.28B
44.63%
-1.61B
25.80%
-1.89B
16.98%
-2.62B
38.51%
-3.47B
32.81%
-4.68B
34.87%
-4.45B
5.04%
-4.39B
1.35%
-3.86B
11.96%
free cash flow
10.11B
-
5.54B
45.15%
11.14B
100.94%
8.76B
21.33%
4.56B
47.97%
8.31B
82.21%
9.97B
19.98%
5.57B
44.13%
9.66B
73.48%
14.71B
52.23%
9.14B
37.83%

All numbers in USD (except ratios and percentages)