United Therapeutics Corpo...

NASDAQ: UTHR · Real-Time Price · USD
312.86
0.80 (0.26%)
At close: Aug 15, 2025, 3:59 PM
313.13
0.09%
After-hours: Aug 15, 2025, 05:27 PM EDT

United Therapeutics Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
1.59B 1.9B 1.7B 1.55B 1.36B 1.25B 1.21B 1.11B 1.07B 1.16B 961.2M 966.8M 795.2M 813.3M 894.8M 908.5M 942.2M 832.3M
Short-Term Investments
1.46B 1.42B 1.57B 1.77B 1.62B 1.46B 1.79B 1.77B 1.61B 1.7B 1.88B 1.65B 1.46B 1.45B 1.04B 1.09B 1.03B 899M
Long-Term Investments
1.92B 1.71B 1.48B 1.28B 1.33B 1.49B 1.91B 2.06B 2.02B 1.77B 1.32B 1.44B 1.64B 1.56B 1.65B 1.51B 1.33B 1.43B
Other Long-Term Assets
233.3M 222.4M 222.1M 183.6M 167.9M 169.1M 151.8M 141.7M 135.3M 124.5M 114.3M 114.8M 105.8M 113.3M 108.2M 109M 177M 171.2M
Receivables
379.3M 322M 279.3M 341.8M 290.7M 307.3M 278.9M 258.6M 272.7M 134.5M 220.4M 231.7M 173.4M 170.5M 198.7M 212.8M 173.4M 141.1M
Inventory
169.2M 165.4M 157.9M 146.7M 136.5M 120.2M 111.8M 104.3M 103.3M 102.5M 102M 91M 89.9M 88.2M 93.8M 96.7M 89.9M 92.2M
Other Current Assets
229.7M 131.1M 169.7M 185.4M 220.8M 113.4M 166.2M 220.5M 158.4M 92.6M 219.2M 118.1M 165.8M 60.2M 100.4M 76M 87.1M 49.7M
Total Current Assets
3.83B 3.94B 3.87B 4B 3.62B 3.25B 3.55B 3.46B 3.21B 3.19B 3.38B 3.06B 2.68B 2.59B 2.32B 2.39B 2.32B 2.01B
Property-Plant & Equipment
1.36B 1.3B 1.22B 1.16B 1.09B 1.07B 1.05B 992.2M 938.9M 896.5M 861.5M 840.8M 791.4M 784.4M 780.9M 726.7M 715.7M 713.7M
Goodwill & Intangibles
111.5M 111.7M 111.9M 112.1M 115.2M 115.4M 114.2M 44.4M 44.5M 44.5M 44.5M 44.5M 44.6M 44.6M 44.6M 44.7M 44.7M 44.7M
Total Long-Term Assets
4.08B 3.8B 3.49B 3.12B 3.1B 3.25B 3.62B 3.56B 3.47B 3.15B 2.66B 2.73B 2.86B 2.77B 2.85B 2.66B 2.53B 2.63B
Total Assets
7.91B 7.74B 7.36B 7.12B 6.72B 6.5B 7.17B 7.02B 6.68B 6.35B 6.04B 5.78B 5.54B 5.36B 5.17B 5.05B 4.84B 4.64B
Account Payables
432M 367M 6M 363.9M 325.3M 305.1M 5.6M 333.4M 292M 239.7M 4.1M 220.1M 196.6M 166.4M 3.8M 210.5M 189.8M 165M
Deferred Revenue
n/a n/a n/a n/a n/a -305.1M 327.8M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt
n/a 200M 300M 400M 400M 400M 400M 300M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Liabilities
95.1M 154.5M 93.6M 109.5M 107M 431.4M -287.3M 70.1M 78.3M 84.9M 13M 95.8M 134.9M 126.2M 248M 109.5M 121.6M 137.4M
Total Current Liabilities
527.1M 721.5M 738.1M 873.4M 832.3M 860.6M 804.4M 744.1M 370.3M 324.6M 343.2M 315.9M 331.5M 292.6M 305.4M 320M 311.4M 302.4M
Long-Term Debt
n/a n/a n/a n/a 100M 200M 300M 500M 800M 800M 800M 800M 800M 800M 800M 800M 800M 800M
Other Long-Term Liabilities
207.3M 215.2M 181.9M 148.8M 93.7M 96.5M 77.8M 67.4M 100M 98.2M 104.6M 103.5M 93.4M 90.9M 104.8M 99.2M 94M 93.2M
Total Long-Term Liabilities
207.3M 215.2M 181.9M 148.8M 193.7M 296.5M 377.8M 567.4M 900M 898.2M 904.6M 903.5M 893.4M 890.9M 904.8M 899.2M 894M 893.2M
Total Liabilities
734.4M 936.7M 920M 1.02B 1.03B 1.16B 1.18B 1.31B 1.27B 1.22B 1.25B 1.22B 1.22B 1.18B 1.21B 1.22B 1.21B 1.2B
Total Debt
n/a 200M 300M 400M 500M 600M 700M 800M 800M 800M 800M 800M 800M 800M 800M 800M 800M 800M
Common Stock
800K 800K 800K 700K 700K 700K 700K 700K 700K 700K 700K 700K 700K 700K 700K 700K 700K 700K
Retained Earnings
7.85B 7.54B 7.22B 6.92B 6.61B 6.33B 6.03B 5.81B 5.54B 5.28B 5.04B 4.91B 4.67B 4.55B 4.32B 4.2B 4.04B 3.87B
Comprehensive Income
n/a -1.2M -3.4M 7.4M -14.9M -15.6M -12.8M -43.7M -50.6M -38.8M -55.5M -84.1M -65.5M -54.3M -23M -20.1M -18.6M -16.8M
Shareholders Equity
7.17B 6.81B 6.44B 6.1B 5.7B 5.34B 5.98B 5.71B 5.41B 5.12B 4.8B 4.56B 4.32B 4.18B 3.96B 3.83B 3.64B 3.45B
Total Investments
3.37B 3.13B 3.05B 3.05B 2.95B 2.95B 3.7B 3.83B 3.64B 3.47B 3.19B 3.09B 3.1B 3.01B 2.69B 2.6B 2.35B 2.33B