US Stock MarketDetailed Quotes

GILD Gilead Sciences

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  • 106.340
  • +3.170+3.07%
Close Apr 28 16:00 ET
  • 106.500
  • +0.160+0.15%
Post 16:30 ET
132.39BMarket Cap22.34P/E (TTM)

Gilead Sciences Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
35.27%10.83B
37.33%2.98B
145.39%4.31B
-43.35%1.32B
27.16%2.22B
-11.76%8.01B
-15.58%2.17B
-38.67%1.76B
29.69%2.34B
Net income from continuing operations
----
-91.45%480M
25.83%1.78B
-42.31%1.25B
55.34%1.61B
-523.35%-4.17B
22.93%5.61B
-13.23%1.42B
21.61%2.17B
-8.46%1.04B
Operating gains losses
----
64.07%274M
166.67%126M
-252.07%-257M
666.67%391M
-94.53%14M
-74.58%167M
-409.84%-189M
-14.21%169M
-122.77%-69M
Depreciation and amortization
----
2.75%2.77B
0.73%693M
0.88%690M
1.91%694M
7.81%690M
28.06%2.69B
30.30%688M
30.29%684M
29.71%681M
Deferred tax
----
-91.68%-1.84B
-2.43%-379M
-747.06%-576M
24.89%-166M
-138.61%-723M
38.02%-962M
-9.47%-370M
74.81%-68M
24.57%-221M
Other non cash items
----
153.08%5.02B
-94.86%47M
307.59%591M
-66.23%128M
682.69%4.25B
14.97%1.98B
133.42%915M
-74.74%145M
-33.27%379M
Change In working capital
----
61.79%-880M
188.95%483M
141.45%642M
-567.07%-1.55B
15.31%-459M
-30.63%-2.3B
-564.10%-543M
-1,223.93%-1.55B
155.07%331M
-Change in receivables
----
-11.46%139M
-67.27%72M
126.47%162M
66.28%-29M
-110.39%-66M
138.67%157M
178.29%220M
-64.52%-612M
80.97%-86M
-Change in inventory
----
49.41%-426M
26.38%-226M
-3.66%-85M
69.03%-70M
80.18%-45M
-171.61%-842M
-11.23%-307M
13.68%-82M
-2,925.00%-226M
-Change in prepaid assets
----
-764.10%-259M
-356.25%-146M
-1,240.00%-57M
-147.50%-19M
-242.31%-37M
129.10%39M
50.77%-32M
-58.33%5M
248.15%40M
-Change in payables and accrued expense
----
258.56%398M
-9.85%247M
2,333.33%511M
-140.73%-257M
87.36%-103M
120.22%111M
-55.81%274M
-90.87%21M
80.80%631M
-Change in other working capital
----
58.60%-732M
176.79%536M
112.60%111M
-4,082.14%-1.17B
-29.19%-208M
-385.71%-1.77B
-686.55%-698M
-915.74%-881M
94.15%-28M
Cash from discontinued investing activities
Operating cash flow
-20.82%1.76B
35.25%10.83B
37.16%2.98B
145.53%4.31B
-43.33%1.33B
27.24%2.22B
-11.75%8.01B
-15.50%2.17B
-38.70%1.76B
29.74%2.34B
Investing cash flow
Cash flow from continuing investing activities
-52.21%-3.45B
68.96%-226M
-209.61%-709M
36.02%-309M
-166.95%-2.21B
8.11%-2.27B
-94.13%-728M
67.88%-229M
-56.82%-483M
Capital expenditure reported
----
10.60%-523M
31.63%-147M
-15.57%-141M
6.47%-130M
3.67%-105M
19.64%-585M
-18.78%-215M
22.29%-122M
2.80%-139M
Net business purchase and sale
----
-320.14%-4.84B
73.12%-75M
-621.52%-570M
37.45%-152M
-633.76%-4.04B
35.89%-1.15B
-27.98%-279M
82.37%-79M
25.00%-243M
Net investment purchase and sale
----
451.52%1.86B
83.26%-39M
73.53%-9M
66.00%-34M
1,303.73%1.94B
-980.00%-528M
-1,159.09%-233M
67.92%-34M
-162.50%-100M
Net other investing changes
----
--58M
--36M
--10M
1,000.00%9M
160.00%3M
----
----
----
---1M
Cash from discontinued investing activities
Investing cash flow
81.20%-415M
-52.27%-3.45B
69.05%-225M
-210.04%-710M
36.44%-307M
-167.19%-2.21B
8.15%-2.27B
-93.87%-727M
67.88%-229M
-56.82%-483M
Financing cash flow
Cash flow from continuing financing activities
33.03%-3.43B
305.45%2.26B
9.22%-1.38B
-168.55%-2.95B
3.34%-1.36B
20.76%-5.13B
29.21%-1.1B
28.28%-1.52B
-9.67%-1.1B
Net issuance payments of debt
----
653.33%1.49B
345,600.00%3.46B
58.67%-112M
----
----
82.00%-270M
--1M
72.90%-271M
----
Net common stock issuance
----
5.21%-728M
-42.74%-177M
6.91%-202M
23.39%-95M
16.17%-254M
29.35%-768M
79.87%-124M
-50.69%-217M
-79.71%-124M
Cash dividends paid
----
-2.86%-3.92B
-3.18%-973M
-3.15%-983M
-2.97%-972M
-2.17%-990M
-2.70%-3.81B
-3.06%-943M
-2.58%-953M
-2.61%-944M
Net other financing activities
----
-1.08%-281M
-42.42%-47M
-5.13%-82M
-6.06%-35M
12.69%-117M
-60.69%-278M
-43.48%-33M
-73.33%-78M
-135.71%-33M
Cash from discontinued financing activities
Financing cash flow
-151.73%-3.43B
33.01%-3.43B
305.64%2.26B
9.22%-1.38B
-168.21%-2.95B
3.20%-1.36B
20.78%-5.13B
29.28%-1.1B
28.28%-1.52B
-9.77%-1.1B
Net cash flow
Beginning cash position
64.19%9.99B
12.44%6.09B
-11.71%5.04B
-51.40%2.77B
-4.42%4.72B
12.44%6.09B
1.39%5.41B
21.41%5.71B
20.36%5.7B
14.90%4.94B
Current changes in cash
-54.48%-2.08B
540.58%3.95B
1,360.35%5.01B
31,628.57%2.22B
-356.29%-1.94B
-175.87%-1.35B
349.64%616M
-46.24%343M
-78.13%7M
53.77%755M
Effect of exchange rate changes
205.56%19M
-170.18%-40M
-248.65%-55M
833.33%44M
-184.62%-11M
-238.46%-18M
190.48%57M
-50.67%37M
91.67%-6M
127.08%13M
End cash Position
67.99%7.93B
64.19%9.99B
64.19%9.99B
-11.71%5.04B
-51.40%2.77B
-4.42%4.72B
12.44%6.09B
12.44%6.09B
21.41%5.71B
20.36%5.7B
Free cash flow
-16.89%1.76B
38.86%10.31B
44.73%2.83B
155.24%4.17B
-45.66%1.2B
29.30%2.11B
-11.06%7.42B
-18.11%1.95B
-39.65%1.63B
32.55%2.2B
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 35.27%10.83B37.33%2.98B145.39%4.31B-43.35%1.32B27.16%2.22B-11.76%8.01B-15.58%2.17B-38.67%1.76B29.69%2.34B
Net income from continuing operations -----91.45%480M25.83%1.78B-42.31%1.25B55.34%1.61B-523.35%-4.17B22.93%5.61B-13.23%1.42B21.61%2.17B-8.46%1.04B
Operating gains losses ----64.07%274M166.67%126M-252.07%-257M666.67%391M-94.53%14M-74.58%167M-409.84%-189M-14.21%169M-122.77%-69M
Depreciation and amortization ----2.75%2.77B0.73%693M0.88%690M1.91%694M7.81%690M28.06%2.69B30.30%688M30.29%684M29.71%681M
Deferred tax -----91.68%-1.84B-2.43%-379M-747.06%-576M24.89%-166M-138.61%-723M38.02%-962M-9.47%-370M74.81%-68M24.57%-221M
Other non cash items ----153.08%5.02B-94.86%47M307.59%591M-66.23%128M682.69%4.25B14.97%1.98B133.42%915M-74.74%145M-33.27%379M
Change In working capital ----61.79%-880M188.95%483M141.45%642M-567.07%-1.55B15.31%-459M-30.63%-2.3B-564.10%-543M-1,223.93%-1.55B155.07%331M
-Change in receivables -----11.46%139M-67.27%72M126.47%162M66.28%-29M-110.39%-66M138.67%157M178.29%220M-64.52%-612M80.97%-86M
-Change in inventory ----49.41%-426M26.38%-226M-3.66%-85M69.03%-70M80.18%-45M-171.61%-842M-11.23%-307M13.68%-82M-2,925.00%-226M
-Change in prepaid assets -----764.10%-259M-356.25%-146M-1,240.00%-57M-147.50%-19M-242.31%-37M129.10%39M50.77%-32M-58.33%5M248.15%40M
-Change in payables and accrued expense ----258.56%398M-9.85%247M2,333.33%511M-140.73%-257M87.36%-103M120.22%111M-55.81%274M-90.87%21M80.80%631M
-Change in other working capital ----58.60%-732M176.79%536M112.60%111M-4,082.14%-1.17B-29.19%-208M-385.71%-1.77B-686.55%-698M-915.74%-881M94.15%-28M
Cash from discontinued investing activities
Operating cash flow -20.82%1.76B35.25%10.83B37.16%2.98B145.53%4.31B-43.33%1.33B27.24%2.22B-11.75%8.01B-15.50%2.17B-38.70%1.76B29.74%2.34B
Investing cash flow
Cash flow from continuing investing activities -52.21%-3.45B68.96%-226M-209.61%-709M36.02%-309M-166.95%-2.21B8.11%-2.27B-94.13%-728M67.88%-229M-56.82%-483M
Capital expenditure reported ----10.60%-523M31.63%-147M-15.57%-141M6.47%-130M3.67%-105M19.64%-585M-18.78%-215M22.29%-122M2.80%-139M
Net business purchase and sale -----320.14%-4.84B73.12%-75M-621.52%-570M37.45%-152M-633.76%-4.04B35.89%-1.15B-27.98%-279M82.37%-79M25.00%-243M
Net investment purchase and sale ----451.52%1.86B83.26%-39M73.53%-9M66.00%-34M1,303.73%1.94B-980.00%-528M-1,159.09%-233M67.92%-34M-162.50%-100M
Net other investing changes ------58M--36M--10M1,000.00%9M160.00%3M---------------1M
Cash from discontinued investing activities
Investing cash flow 81.20%-415M-52.27%-3.45B69.05%-225M-210.04%-710M36.44%-307M-167.19%-2.21B8.15%-2.27B-93.87%-727M67.88%-229M-56.82%-483M
Financing cash flow
Cash flow from continuing financing activities 33.03%-3.43B305.45%2.26B9.22%-1.38B-168.55%-2.95B3.34%-1.36B20.76%-5.13B29.21%-1.1B28.28%-1.52B-9.67%-1.1B
Net issuance payments of debt ----653.33%1.49B345,600.00%3.46B58.67%-112M--------82.00%-270M--1M72.90%-271M----
Net common stock issuance ----5.21%-728M-42.74%-177M6.91%-202M23.39%-95M16.17%-254M29.35%-768M79.87%-124M-50.69%-217M-79.71%-124M
Cash dividends paid -----2.86%-3.92B-3.18%-973M-3.15%-983M-2.97%-972M-2.17%-990M-2.70%-3.81B-3.06%-943M-2.58%-953M-2.61%-944M
Net other financing activities -----1.08%-281M-42.42%-47M-5.13%-82M-6.06%-35M12.69%-117M-60.69%-278M-43.48%-33M-73.33%-78M-135.71%-33M
Cash from discontinued financing activities
Financing cash flow -151.73%-3.43B33.01%-3.43B305.64%2.26B9.22%-1.38B-168.21%-2.95B3.20%-1.36B20.78%-5.13B29.28%-1.1B28.28%-1.52B-9.77%-1.1B
Net cash flow
Beginning cash position 64.19%9.99B12.44%6.09B-11.71%5.04B-51.40%2.77B-4.42%4.72B12.44%6.09B1.39%5.41B21.41%5.71B20.36%5.7B14.90%4.94B
Current changes in cash -54.48%-2.08B540.58%3.95B1,360.35%5.01B31,628.57%2.22B-356.29%-1.94B-175.87%-1.35B349.64%616M-46.24%343M-78.13%7M53.77%755M
Effect of exchange rate changes 205.56%19M-170.18%-40M-248.65%-55M833.33%44M-184.62%-11M-238.46%-18M190.48%57M-50.67%37M91.67%-6M127.08%13M
End cash Position 67.99%7.93B64.19%9.99B64.19%9.99B-11.71%5.04B-51.40%2.77B-4.42%4.72B12.44%6.09B12.44%6.09B21.41%5.71B20.36%5.7B
Free cash flow -16.89%1.76B38.86%10.31B44.73%2.83B155.24%4.17B-45.66%1.2B29.30%2.11B-11.06%7.42B-18.11%1.95B-39.65%1.63B32.55%2.2B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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