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NVO Novo-Nordisk A/S

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  • 121.350
  • -0.880-0.72%
Trading 02/28 12:12 ET
540.75BMarket Cap44.80P/E (TTM)

Novo-Nordisk A/S Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
Assets
Current assets
Cash, cash equivalents and short term investments
28.23%30.23B
28.23%30.23B
27.01%47.6B
17.31%36.41B
37.85%27.77B
34.82%23.57B
34.82%23.57B
5.89%37.47B
14.04%31.04B
162.80%20.15B
-Cash and cash equivalents
13.74%14.39B
13.74%14.39B
5.90%30.14B
-5.20%21.57B
11.51%14.94B
18.03%12.65B
18.03%12.65B
-3.49%28.47B
-6.07%22.76B
135.69%13.39B
-Short-term investments
45.02%15.84B
45.02%15.84B
93.73%17.45B
79.18%14.83B
90.09%12.84B
61.43%10.92B
61.43%10.92B
52.76%9.01B
177.17%8.28B
240.49%6.75B
Receivables
30.88%75.26B
30.88%75.26B
15.80%61.96B
51.21%70.52B
31.14%57.92B
22.88%57.51B
22.88%57.51B
50.94%53.51B
54.32%46.64B
30.22%44.17B
-Accounts receivable
28.11%64.77B
28.11%64.77B
15.45%52.6B
50.13%61.29B
39.35%50.5B
24.40%50.56B
24.40%50.56B
52.59%45.56B
56.43%40.83B
29.30%36.24B
-Taxes receivable
157.77%2.42B
157.77%2.42B
-39.98%1.53B
137.93%2.78B
-63.46%1.13B
-16.00%940M
-16.00%940M
551.54%2.54B
239.53%1.17B
63.47%3.1B
-Other receivables
34.35%8.07B
34.35%8.07B
44.97%7.84B
38.82%6.45B
30.31%6.29B
19.22%6.01B
19.22%6.01B
3.92%5.41B
22.85%4.65B
20.87%4.82B
Inventory
30.44%31.81B
30.44%31.81B
27.18%29.53B
29.09%28.02B
26.25%25.62B
24.30%24.39B
24.30%24.39B
22.87%23.22B
15.32%21.71B
8.77%20.29B
Total current assets
29.07%139.65B
29.07%139.65B
19.01%142.2B
33.57%137.55B
31.67%113.94B
26.40%108.19B
26.40%108.19B
30.99%119.48B
33.49%102.98B
40.96%86.54B
Non current assets
Net PPE
36.43%90.96B
36.43%90.96B
28.00%81.46B
25.97%75.02B
24.14%70.01B
20.43%66.67B
20.43%66.67B
20.39%63.64B
14.36%59.56B
9.66%56.4B
-Gross PPE
24.37%138.58B
24.37%138.58B
----
----
----
16.21%111.43B
16.21%111.43B
----
----
----
-Accumulated depreciation
-6.41%-47.62B
-6.41%-47.62B
----
----
----
-10.44%-44.76B
-10.44%-44.76B
----
----
----
Goodwill and other intangible assets
18.58%60.41B
18.58%60.41B
18.76%55.73B
13.81%50.75B
16.48%50.49B
17.99%50.94B
17.99%50.94B
128.61%46.92B
119.96%44.59B
112.92%43.34B
-Goodwill
-3.27%4.46B
-3.27%4.46B
----
----
----
6.19%4.62B
6.19%4.62B
----
----
----
-Other intangible assets
20.76%55.94B
20.76%55.94B
----
----
----
19.31%46.32B
19.31%46.32B
----
----
----
Investments and advances
23.83%1.66B
23.83%1.66B
18.72%1.47B
19.08%1.48B
-5.32%1.21B
-6.80%1.34B
-6.80%1.34B
-30.31%1.24B
-32.46%1.24B
-26.87%1.28B
Non current accounts receivable
594.17%1.43B
594.17%1.43B
74.09%430M
34.13%338M
20.50%288M
-22.85%206M
-22.85%206M
-25.60%247M
-38.98%252M
-56.62%239M
Non current deferred assets
46.58%20.38B
46.58%20.38B
66.45%18.81B
51.44%15.61B
50.78%14.08B
60.33%13.9B
60.33%13.9B
53.32%11.3B
62.37%10.31B
57.95%9.34B
Total non current assets
31.40%174.84B
31.40%174.84B
28.01%157.9B
23.50%143.2B
23.04%136.08B
22.17%133.06B
22.17%133.06B
48.85%123.35B
43.24%115.95B
38.25%110.6B
Total assets
30.35%314.49B
30.35%314.49B
23.58%300.1B
28.24%280.75B
26.83%250.03B
24.03%241.26B
24.03%241.26B
39.49%242.84B
38.48%218.93B
39.43%197.14B
Liabilities
Current liabilities
Payables
44.29%32.72B
44.29%32.72B
106.30%32.4B
47.36%27.41B
42.77%16.11B
81.02%22.68B
81.02%22.68B
5.62%15.71B
76.81%18.6B
16.28%11.29B
-accounts payable
64.28%25.61B
64.28%25.61B
141.95%20.11B
21.39%17.79B
50.47%10.05B
75.73%15.59B
75.73%15.59B
-6.39%8.31B
92.41%14.65B
-1.78%6.68B
-Total tax payable
0.35%7.12B
0.35%7.12B
66.24%12.3B
143.90%9.62B
31.61%6.06B
93.85%7.09B
93.85%7.09B
23.41%7.4B
35.87%3.94B
58.55%4.61B
Current provisions
42.95%100.48B
42.95%100.48B
23.72%104.84B
50.27%98.86B
49.57%87.96B
36.43%70.29B
36.43%70.29B
60.30%84.75B
41.82%65.79B
52.69%58.8B
Current debt and capital lease obligation
341.88%6.48B
341.88%6.48B
260.77%6.61B
400.72%6.29B
-10.39%1.25B
-89.29%1.47B
-89.29%1.47B
35.78%1.83B
-3.46%1.26B
-79.54%1.4B
-Current debt
1,005.00%5.3B
1,005.00%5.3B
260.77%6.61B
400.72%6.29B
-10.39%1.25B
-96.27%480M
-96.27%480M
35.78%1.83B
-3.46%1.26B
-79.54%1.4B
-Current capital lease obligation
19.07%1.17B
19.07%1.17B
----
----
----
19.95%986M
19.95%986M
----
----
----
Other current liabilities
13.08%29.98B
13.08%29.98B
2.58%28.69B
0.22%24.07B
10.47%26.64B
21.69%26.51B
21.69%26.51B
45.39%27.97B
64.58%24.01B
39.06%24.12B
Current liabilities
40.28%169.66B
40.28%169.66B
32.47%172.55B
42.83%156.62B
38.03%131.96B
21.53%120.94B
21.53%120.94B
47.47%130.26B
50.63%109.66B
32.08%95.6B
Non current liabilities
Long term provisions
44.86%6.65B
44.86%6.65B
12.02%5.94B
23.40%5.73B
14.95%5.04B
4.94%4.59B
4.94%4.59B
23.34%5.3B
9.46%4.64B
-2.66%4.39B
Long term debt and capital lease obligation
-15.59%20.53B
-15.59%20.53B
-17.45%19.92B
-19.70%19.42B
0.76%24.27B
87.62%24.32B
87.62%24.32B
94.68%24.14B
94.00%24.18B
750.42%24.08B
-Long term debt
-23.10%15.98B
-23.10%15.98B
-17.45%19.92B
-19.70%19.42B
0.76%24.27B
115.20%20.78B
115.20%20.78B
94.68%24.14B
94.00%24.18B
750.42%24.08B
-Long term capital lease obligation
28.48%4.55B
28.48%4.55B
----
----
----
7.14%3.54B
7.14%3.54B
----
----
----
Non current deferred liabilities
43.92%10.16B
43.92%10.16B
39.80%7.89B
46.20%7.63B
48.44%7.88B
33.96%7.06B
33.96%7.06B
243.27%5.64B
186.96%5.22B
170.25%5.31B
Employee benefits
-2.62%742M
-2.62%742M
5.15%613M
13.29%699M
-28.21%682M
-40.47%762M
-40.47%762M
-55.36%583M
-49.26%617M
-21.10%950M
Other non current liabilities
89.00%189M
89.00%189M
-17.08%199M
15.57%193M
25.29%322M
-72.22%100M
-72.22%100M
--240M
--167M
--257M
Total non current liabilities
3.91%38.27B
3.91%38.27B
-3.74%34.56B
-3.33%33.66B
9.16%38.19B
51.91%36.83B
51.91%36.83B
82.75%35.9B
76.42%34.82B
232.96%34.98B
Total liabilities
31.79%207.93B
31.79%207.93B
24.65%207.11B
31.70%190.28B
30.30%170.15B
27.48%157.77B
27.48%157.77B
53.89%166.16B
56.13%144.48B
57.54%130.59B
Shareholders'equity
Share capital
-1.10%451M
-1.10%451M
-1.10%451M
-1.10%451M
-1.30%456M
-1.30%456M
-1.30%456M
-1.30%456M
-1.30%456M
-1.70%462M
-common stock
-1.10%451M
-1.10%451M
-1.10%451M
-1.10%451M
-1.30%456M
-1.30%456M
-1.30%456M
-1.30%456M
-1.30%456M
-1.70%462M
Retained earnings
30.09%104.84B
30.09%104.84B
24.52%91.74B
20.44%88.12B
15.70%77.07B
11.92%80.59B
11.92%80.59B
8.48%73.67B
8.91%73.17B
10.47%66.61B
Less: Treasury stock
-16.67%5M
-16.67%5M
25.00%5M
0.00%3M
-14.29%6M
0.00%6M
0.00%6M
0.00%4M
0.00%3M
-22.22%7M
Gains losses not affecting retained earnings
-47.90%1.28B
-47.90%1.28B
-68.30%810M
128.93%1.91B
555.32%2.35B
242.88%2.45B
242.88%2.45B
213.05%2.56B
140.07%833M
77.14%-517M
Total stockholders'equity
27.64%106.56B
27.64%106.56B
21.27%92.99B
21.52%90.47B
20.02%79.87B
18.01%83.49B
18.01%83.49B
15.98%76.68B
13.56%74.45B
13.77%66.55B
Total equity
27.64%106.56B
27.64%106.56B
21.27%92.99B
21.52%90.47B
20.02%79.87B
18.01%83.49B
18.01%83.49B
15.98%76.68B
13.56%74.45B
13.77%66.55B
Currency Unit
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
Assets
Current assets
Cash, cash equivalents and short term investments 28.23%30.23B28.23%30.23B27.01%47.6B17.31%36.41B37.85%27.77B34.82%23.57B34.82%23.57B5.89%37.47B14.04%31.04B162.80%20.15B
-Cash and cash equivalents 13.74%14.39B13.74%14.39B5.90%30.14B-5.20%21.57B11.51%14.94B18.03%12.65B18.03%12.65B-3.49%28.47B-6.07%22.76B135.69%13.39B
-Short-term investments 45.02%15.84B45.02%15.84B93.73%17.45B79.18%14.83B90.09%12.84B61.43%10.92B61.43%10.92B52.76%9.01B177.17%8.28B240.49%6.75B
Receivables 30.88%75.26B30.88%75.26B15.80%61.96B51.21%70.52B31.14%57.92B22.88%57.51B22.88%57.51B50.94%53.51B54.32%46.64B30.22%44.17B
-Accounts receivable 28.11%64.77B28.11%64.77B15.45%52.6B50.13%61.29B39.35%50.5B24.40%50.56B24.40%50.56B52.59%45.56B56.43%40.83B29.30%36.24B
-Taxes receivable 157.77%2.42B157.77%2.42B-39.98%1.53B137.93%2.78B-63.46%1.13B-16.00%940M-16.00%940M551.54%2.54B239.53%1.17B63.47%3.1B
-Other receivables 34.35%8.07B34.35%8.07B44.97%7.84B38.82%6.45B30.31%6.29B19.22%6.01B19.22%6.01B3.92%5.41B22.85%4.65B20.87%4.82B
Inventory 30.44%31.81B30.44%31.81B27.18%29.53B29.09%28.02B26.25%25.62B24.30%24.39B24.30%24.39B22.87%23.22B15.32%21.71B8.77%20.29B
Total current assets 29.07%139.65B29.07%139.65B19.01%142.2B33.57%137.55B31.67%113.94B26.40%108.19B26.40%108.19B30.99%119.48B33.49%102.98B40.96%86.54B
Non current assets
Net PPE 36.43%90.96B36.43%90.96B28.00%81.46B25.97%75.02B24.14%70.01B20.43%66.67B20.43%66.67B20.39%63.64B14.36%59.56B9.66%56.4B
-Gross PPE 24.37%138.58B24.37%138.58B------------16.21%111.43B16.21%111.43B------------
-Accumulated depreciation -6.41%-47.62B-6.41%-47.62B-------------10.44%-44.76B-10.44%-44.76B------------
Goodwill and other intangible assets 18.58%60.41B18.58%60.41B18.76%55.73B13.81%50.75B16.48%50.49B17.99%50.94B17.99%50.94B128.61%46.92B119.96%44.59B112.92%43.34B
-Goodwill -3.27%4.46B-3.27%4.46B------------6.19%4.62B6.19%4.62B------------
-Other intangible assets 20.76%55.94B20.76%55.94B------------19.31%46.32B19.31%46.32B------------
Investments and advances 23.83%1.66B23.83%1.66B18.72%1.47B19.08%1.48B-5.32%1.21B-6.80%1.34B-6.80%1.34B-30.31%1.24B-32.46%1.24B-26.87%1.28B
Non current accounts receivable 594.17%1.43B594.17%1.43B74.09%430M34.13%338M20.50%288M-22.85%206M-22.85%206M-25.60%247M-38.98%252M-56.62%239M
Non current deferred assets 46.58%20.38B46.58%20.38B66.45%18.81B51.44%15.61B50.78%14.08B60.33%13.9B60.33%13.9B53.32%11.3B62.37%10.31B57.95%9.34B
Total non current assets 31.40%174.84B31.40%174.84B28.01%157.9B23.50%143.2B23.04%136.08B22.17%133.06B22.17%133.06B48.85%123.35B43.24%115.95B38.25%110.6B
Total assets 30.35%314.49B30.35%314.49B23.58%300.1B28.24%280.75B26.83%250.03B24.03%241.26B24.03%241.26B39.49%242.84B38.48%218.93B39.43%197.14B
Liabilities
Current liabilities
Payables 44.29%32.72B44.29%32.72B106.30%32.4B47.36%27.41B42.77%16.11B81.02%22.68B81.02%22.68B5.62%15.71B76.81%18.6B16.28%11.29B
-accounts payable 64.28%25.61B64.28%25.61B141.95%20.11B21.39%17.79B50.47%10.05B75.73%15.59B75.73%15.59B-6.39%8.31B92.41%14.65B-1.78%6.68B
-Total tax payable 0.35%7.12B0.35%7.12B66.24%12.3B143.90%9.62B31.61%6.06B93.85%7.09B93.85%7.09B23.41%7.4B35.87%3.94B58.55%4.61B
Current provisions 42.95%100.48B42.95%100.48B23.72%104.84B50.27%98.86B49.57%87.96B36.43%70.29B36.43%70.29B60.30%84.75B41.82%65.79B52.69%58.8B
Current debt and capital lease obligation 341.88%6.48B341.88%6.48B260.77%6.61B400.72%6.29B-10.39%1.25B-89.29%1.47B-89.29%1.47B35.78%1.83B-3.46%1.26B-79.54%1.4B
-Current debt 1,005.00%5.3B1,005.00%5.3B260.77%6.61B400.72%6.29B-10.39%1.25B-96.27%480M-96.27%480M35.78%1.83B-3.46%1.26B-79.54%1.4B
-Current capital lease obligation 19.07%1.17B19.07%1.17B------------19.95%986M19.95%986M------------
Other current liabilities 13.08%29.98B13.08%29.98B2.58%28.69B0.22%24.07B10.47%26.64B21.69%26.51B21.69%26.51B45.39%27.97B64.58%24.01B39.06%24.12B
Current liabilities 40.28%169.66B40.28%169.66B32.47%172.55B42.83%156.62B38.03%131.96B21.53%120.94B21.53%120.94B47.47%130.26B50.63%109.66B32.08%95.6B
Non current liabilities
Long term provisions 44.86%6.65B44.86%6.65B12.02%5.94B23.40%5.73B14.95%5.04B4.94%4.59B4.94%4.59B23.34%5.3B9.46%4.64B-2.66%4.39B
Long term debt and capital lease obligation -15.59%20.53B-15.59%20.53B-17.45%19.92B-19.70%19.42B0.76%24.27B87.62%24.32B87.62%24.32B94.68%24.14B94.00%24.18B750.42%24.08B
-Long term debt -23.10%15.98B-23.10%15.98B-17.45%19.92B-19.70%19.42B0.76%24.27B115.20%20.78B115.20%20.78B94.68%24.14B94.00%24.18B750.42%24.08B
-Long term capital lease obligation 28.48%4.55B28.48%4.55B------------7.14%3.54B7.14%3.54B------------
Non current deferred liabilities 43.92%10.16B43.92%10.16B39.80%7.89B46.20%7.63B48.44%7.88B33.96%7.06B33.96%7.06B243.27%5.64B186.96%5.22B170.25%5.31B
Employee benefits -2.62%742M-2.62%742M5.15%613M13.29%699M-28.21%682M-40.47%762M-40.47%762M-55.36%583M-49.26%617M-21.10%950M
Other non current liabilities 89.00%189M89.00%189M-17.08%199M15.57%193M25.29%322M-72.22%100M-72.22%100M--240M--167M--257M
Total non current liabilities 3.91%38.27B3.91%38.27B-3.74%34.56B-3.33%33.66B9.16%38.19B51.91%36.83B51.91%36.83B82.75%35.9B76.42%34.82B232.96%34.98B
Total liabilities 31.79%207.93B31.79%207.93B24.65%207.11B31.70%190.28B30.30%170.15B27.48%157.77B27.48%157.77B53.89%166.16B56.13%144.48B57.54%130.59B
Shareholders'equity
Share capital -1.10%451M-1.10%451M-1.10%451M-1.10%451M-1.30%456M-1.30%456M-1.30%456M-1.30%456M-1.30%456M-1.70%462M
-common stock -1.10%451M-1.10%451M-1.10%451M-1.10%451M-1.30%456M-1.30%456M-1.30%456M-1.30%456M-1.30%456M-1.70%462M
Retained earnings 30.09%104.84B30.09%104.84B24.52%91.74B20.44%88.12B15.70%77.07B11.92%80.59B11.92%80.59B8.48%73.67B8.91%73.17B10.47%66.61B
Less: Treasury stock -16.67%5M-16.67%5M25.00%5M0.00%3M-14.29%6M0.00%6M0.00%6M0.00%4M0.00%3M-22.22%7M
Gains losses not affecting retained earnings -47.90%1.28B-47.90%1.28B-68.30%810M128.93%1.91B555.32%2.35B242.88%2.45B242.88%2.45B213.05%2.56B140.07%833M77.14%-517M
Total stockholders'equity 27.64%106.56B27.64%106.56B21.27%92.99B21.52%90.47B20.02%79.87B18.01%83.49B18.01%83.49B15.98%76.68B13.56%74.45B13.77%66.55B
Total equity 27.64%106.56B27.64%106.56B21.27%92.99B21.52%90.47B20.02%79.87B18.01%83.49B18.01%83.49B15.98%76.68B13.56%74.45B13.77%66.55B
Currency Unit DKKDKKDKKDKKDKKDKKDKKDKKDKKDKK
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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