Development
D
Bristol-Myers Squibb Company BMY
$48.44 $0.631.32% NYSE
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P/E (TTM)
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EPS (TTM)

12/31/2023 09/30/2023 06/30/2023 03/31/2023 12/31/2022
Total Cash And Short-Term Investments 59.79% -11.97% -5.82% 0.17% 2.50%
Total Receivables -2.45% 3.90% 12.34% -3.82% 5.26%
Inventory 9.28% 3.05% -9.25% 11.37% 12.78%
Prepaid Expenses -- -- -- -- --
Finance Division Loans and Leases Current -- -- -- -- --
Total Finance Division Other Current Assets -- -- -- -- --
Other Current Assets -16.09% -2.97% 6.31% 3.61% -28.96%
Total Current Assets 14.98% -1.57% 3.65% -0.69% 1.78%

Total Current Assets 14.98% -1.57% 3.65% -0.69% 1.78%
Net Property, Plant & Equipment 2.40% 2.87% 0.32% 1.74% 8.05%
Long-term Investments 0.10% -0.08% 0.00% 0.06% 0.18%
Goodwill 0.10% -0.08% 0.00% 0.06% 0.18%
Total Other Intangibles -6.49% -7.52% -6.75% -6.39% -6.08%
Finance Div Loans & Leases LT -- -- -- -- --
Total Finance Div Other LT Assets -- -- -- -- --
Total Other Assets 32.73% 14.27% 16.64% -0.80% -10.98%
Total Assets 4.27% -2.38% -0.84% -2.62% -1.40%

Total Accounts Payable 15.85% -8.34% -3.91% 5.07% 17.15%
Total Accrued Expenses 2.59% 17.72% 8.61% -17.78% 4.06%
Short-term Debt -58.59% -1.98% 21.69% 35.69% 60.26%
Current Portion of Long-Term Debt/Capital Leases -- -- -- -- --
Finance Division Debt Current -39.58% 94.54% 6.47% -39.87% 94.83%
Total Finance Division Other Current Liabilities 9.63% -10.13% 4.40% 8.02% 0.36%
Total Other Current Liabilities 9.63% -10.13% 4.40% 8.02% 0.36%
Total Current Liabilities -5.11% 16.44% 5.58% -12.81% 15.64%

Total Current Liabilities -5.11% 16.44% 5.58% -12.81% 15.64%
Long-Term Debt 14.03% -7.17% -1.44% 0.07% -5.05%
Short-term Debt -58.59% -1.98% 21.69% 35.69% 60.26%
Capital Leases 1.12% 12.74% -2.04% 8.64% 49.23%
Finance Division Debt Non Current -- -- -- -- --
Total Finance Division Other Non Current Liabilities -- -- -- -- --
Total Other Liabilities 2.76% -4.82% -21.73% -8.60% -14.63%
Total Liabilities 5.58% 1.21% -1.50% -5.03% 0.37%

Common Stock & APIC 1.85% -0.99% 0.35% -0.05% 0.46%
Retained Earnings 1.94% 2.80% 3.32% 4.18% 3.36%
Treasury Stock & Other -2.14% -8.02% -2.22% -0.69% -7.11%
Total Common Equity 1.49% -9.30% 0.47% 2.46% -4.93%

Preferred Stock Redeemable -- -- -- -- --
Preferred Stock Non Redeemable -- -- -- -- --
Preferred Stock Convertible -- -- -- -- --
Preferred Stock, Others -- -- -- -- --
Total Preferred Equity -- -- -- -- --

Total Common Equity 1.49% -9.30% 0.47% 2.46% -4.93%
Total Preferred Equity -- -- -- -- --
Total Minority Interest -14.06% 12.28% -8.06% 8.77% -9.52%
Total Equity 1.46% -9.27% 0.45% 2.47% -4.94%