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Financial Statements — VRTX

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents6.145.494.944.974.675.244.589.1611.1110.159.299.178.707.606.286.066.30
Short-term Investments1.711.751.351.411.531.291.221.010.821.091.120.600.550.640.690.640.62
Accounts Receivable2.132.001.951.891.811.751.661.791.541.561.551.391.331.291.100.930.98
Inventory1.771.771.631.501.361.080.910.810.690.600.540.390.370.340.330.320.30
Total Current Assets12.5411.7310.5710.4310.019.808.9413.2914.7013.8712.9712.2711.5010.368.858.468.54
Property, Plant & Equipment1.671.611.431.341.301.121.201.171.121.121.111.121.101.111.041.020.99
Goodwill1.091.091.091.091.091.091.091.091.091.091.091.081.001.001.001.001.00
Intangible Assets0.410.420.430.440.440.830.840.830.600.600.600.600.390.400.400.400.40
Total Non-current Assets*14.8814.7514.2913.6112.8712.4411.1910.637.036.486.014.444.083.893.773.763.58
Total Assets27.4226.4824.8624.0422.8822.2420.1323.9221.7320.3518.9716.7115.5814.2612.6212.2212.12
Accounts Payable0.430.490.420.440.450.400.330.350.380.360.320.130.200.170.130.130.13
Total Current Liabilities3.943.884.484.143.783.973.553.803.603.353.032.612.562.181.911.841.94
Total Non-current Liabilities*3.243.243.072.722.602.641.811.571.611.531.521.071.091.171.171.191.19
Total Liabilities7.187.127.546.866.386.615.365.375.214.884.543.683.653.353.093.033.13
Retained Earnings15.6914.5912.3711.2910.258.697.6511.249.178.147.225.704.773.962.431.581.51
Total Stockholder Equity20.2519.3617.3217.1816.5015.6314.7718.5516.5115.4714.4313.0311.9310.919.539.208.98
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* Derived from reported values

Income Statement

(in billions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue3.332.993.193.082.962.772.912.772.652.692.522.482.492.372.302.332.202.102.071.98
Cost of Revenue0.490.390.470.410.410.360.420.390.370.340.370.320.310.270.280.290.260.250.250.24
Gross Profit2.842.592.722.662.562.412.492.382.272.352.152.162.182.112.022.041.931.851.831.75
Research & Development----------------------------------0.600.690.49
Selling, General & Admin0.580.490.490.450.420.400.380.370.370.340.370.260.260.240.270.250.220.220.260.20
Total Operating Expenses1.601.461.521.481.411.781.461.265.791.211.161.131.161.330.990.920.830.810.950.69
Operating Income1.251.141.211.191.150.631.031.12(3.51)1.140.991.041.030.781.031.131.111.040.881.05
Pretax Income1.391.251.331.301.280.731.141.22(3.39)1.281.151.181.160.891.081.181.020.950.871.08
Tax Provision0.290.220.140.220.250.080.220.180.200.180.180.140.250.190.260.250.210.190.100.23
Net Income1.101.031.191.081.030.650.911.05(3.59)1.100.971.040.920.700.820.930.810.760.770.85
Basic EPS4.344.064.684.244.022.523.534.05(13.92)4.263.774.013.552.723.183.633.172.993.013.30
Diluted EPS4.314.024.644.203.992.493.624.01(13.92)4.213.713.973.522.693.143.593.132.962.983.28
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Cash Flow Statement

(in billions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow1.131.430.501.241.070.820.581.37(3.75)1.310.231.271.130.901.080.961.140.960.990.93
Capital Expenditures0.110.130.150.100.150.040.090.070.070.070.060.040.060.040.030.050.050.060.060.05
Free Cash Flow*1.011.290.351.140.930.780.491.30(3.82)1.240.181.231.070.861.040.901.090.890.930.87
Investing Cash Flow(0.05)(0.43)(0.29)(0.12)(0.48)(0.06)(0.82)(0.35)(0.46)(2.14)(0.89)(0.12)(0.30)(1.83)0.18(0.38)(0.06)(0.05)(0.13)(0.05)
Financing Cash Flow(0.43)(0.54)(0.08)(1.15)(0.35)(0.68)(0.39)(0.39)(0.36)(0.36)(0.12)(0.16)0.02(0.29)0.04(0.06)0.05(0.10)(0.34)(0.66)
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* Derived from reported values