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Halozyme Therapeutics Incorporated

Halozyme Therapeutics Incorporated (HALO)

48.695
0.635
( 1.32% )
Updated: 15:12:55

Income Statement

Balance Sheet

Cash Flow

Quarter End Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 1.84B1.7B1.81B1.89B1.73B1.84B1.97B2.12B
Total Current Assets 739.01M615.02M765.75M879.01M746.42M873.58M987.8M1.13B
Cash and Equivalents 234.2M96.38M221.17M274.23M118.37M164.63M187.86M154.32M
Total Non-Current Assets 1.18B1.16B1.12B1.09B1.06B1.05B1.06B1.07B
Total Liabilities 1.67B1.63B1.66B1.64B1.65B1.66B1.68B1.67B
Total Current Liabilities 130.79M91.92M116.39M115.19M112.49M131.64M133.36M108.82M
Total Non-Current Liabilities 3.03B3.04B3.04B3.03B3.04B3.03B3.05B3.06B
Common Equity 135k132k132k132k127k127k127k127k
Retained Earnings 143.22M65.69M140.45M222.29M90.55M167.37M260.62M397.63M
Year End December 30 2023 20162017201820192020202120222023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 261.52M519.95M440.25M565.87M579.92M1.1B1.84B1.73B
Total Current Assets 256.53M510.37M427.85M543.44M554.76M926.29M739.01M746.42M
Cash and Equivalents 66.76M168.74M57.94M120.18M147.7M118.72M234.2M118.37M
Total Non-Current Assets -32.48M208.37M248.89M91.77M151.05M196.95M169.8M83.81M
Total Liabilities 294M311.58M191.36M474.11M428.88M907.48M1.67B1.65B
Total Current Liabilities 54.59M131.33M149.36M85.64M421.39M117.15M130.79M112.49M
Total Non-Current Liabilities 438.64M305.39M76.87M771.52M7.49M1.58B3.03B3.04B
Total Equity -32.48M208.37M248.89M91.77M151.05M196.95M169.8M83.81M
Common Equity 130k143k145k137k135k138k135k127k
Retained Earnings -585.34M-522.37M-531.44M-603.68M-474.59M-58.91M143.22M90.55M

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