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Financial Statements — TEVA

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents3.663.742.202.161.703.322.262.992.252.672.142.232.062.172.052.441.74
Accounts Receivable3.493.393.813.563.383.463.773.463.393.543.443.734.474.254.054.494.57
Inventory3.223.183.323.503.253.963.933.954.054.114.123.864.054.014.174.364.41
Total Current Assets13.7613.7112.7412.6211.5312.3111.6312.3011.4312.0911.5011.4512.1612.4512.1512.8212.40
Property, Plant & Equipment3.934.004.824.814.635.675.575.625.625.715.755.575.745.936.046.136.11
Goodwill15.8415.8215.9515.9515.4816.1216.4917.0116.8917.1217.8018.4318.8419.9920.1820.4220.30
Intangible Assets3.453.613.944.144.194.764.855.065.535.745.966.396.707.127.838.128.45
Total Non-current Assets*26.1026.3327.1227.5126.8929.4429.7130.4830.6631.0131.9632.8033.7734.6135.7036.3736.60
Total Assets39.8640.0439.8640.1338.4241.7641.3442.7742.0943.1043.4644.2545.9347.0647.8549.2049.00
Short-term Debt4.502.610.020.460.422.582.093.061.481.981.022.771.722.082.713.532.70
Total Current Liabilities15.6513.5311.4911.8611.1613.8013.0413.7911.3911.8410.4111.5311.0011.6111.8312.6912.09
Total Non-current Liabilities16.4518.2821.1121.4420.9921.5821.7421.4423.1823.5424.4323.2025.1125.1924.5825.1925.94
Total Liabilities32.1031.8132.6033.3032.1535.3834.7735.2334.5835.3934.8434.7336.1036.8036.4037.8838.03
Retained Earnings(13.97)(13.39)(14.24)(14.68)(14.96)(14.96)(14.52)(13.67)(13.87)(13.95)(13.09)(11.66)(11.72)(11.48)(10.37)(10.66)(10.87)
Total Stockholder Equity7.758.237.256.836.266.076.367.286.937.057.868.779.049.3410.4710.3210.00

* 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 Revenue4.143.984.714.484.183.894.234.334.163.824.463.853.883.663.883.603.793.664.103.89
Cost of Revenue1.992.012.062.182.072.012.112.182.142.052.042.002.082.082.111.931.991.922.052.09
Gross Profit2.151.972.662.302.101.882.122.152.021.772.421.851.801.581.771.671.791.742.051.79
Research & Development----------------------------0.010.020.020.05----
Selling, General & Admin0.320.300.370.320.310.300.300.300.280.280.290.270.310.300.290.280.310.300.280.29
Total Operating Expenses2.381.322.351.421.651.362.152.202.031.991.691.502.441.582.631.252.742.451.971.17
Operating Income(0.23)0.650.300.880.460.52(0.03)(0.05)-0.00(0.22)0.720.36(0.65)0.00(0.86)0.42(0.95)(0.71)0.080.62
Pretax Income(0.45)0.440.080.650.200.29(0.25)(0.32)(0.25)(0.47)0.470.08(0.91)(0.26)(1.10)0.17(1.16)(0.97)(0.18)0.38
Tax Provision0.120.07(0.39)0.21(0.08)0.070.030.070.63(0.05)0.04(0.01)(0.02)(0.02)0.150.11(0.90)0.00(0.02)0.08
Net Income(0.58)0.370.480.430.280.21(0.22)(0.44)(0.85)(0.14)0.430.08(0.86)(0.20)(1.22)0.06(0.23)(0.95)(0.16)0.29
Basic EPS(0.49)0.320.410.380.250.19(0.19)(0.39)(0.75)(0.12)0.380.07(0.77)(0.18)(1.10)0.05(0.21)(0.86)(0.14)0.26
Diluted EPS(0.49)0.310.420.370.240.18(0.19)(0.39)(0.75)(0.12)0.380.07(0.77)(0.18)(1.10)0.05(0.21)(0.86)(0.14)0.26

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 Flow0.41(0.04)1.160.370.23(0.10)0.570.690.10(0.12)1.180.010.32(0.14)0.970.620.07(0.05)0.460.53
Capital Expenditures0.100.170.140.140.100.130.130.150.100.120.120.150.120.140.140.120.280.160.150.15
Free Cash Flow*0.31(0.21)1.020.230.13(0.23)0.450.550.01(0.25)1.07(0.14)0.21(0.28)0.830.50(0.21)(0.21)0.300.38
Investing Cash Flow(0.49)0.230.170.140.240.200.200.270.180.140.300.180.300.180.170.490.340.160.250.29
Financing Cash Flow-0.000.010.04(0.45)0.01(1.74)(0.67)0.00(0.97)(0.15)(0.58)(0.58)(0.05)(0.71)(0.71)(0.78)(0.34)0.00(0.50)(1.18)

* Derived from reported values

Dividends Per Share

(USD)
MetricQ4 2017Q4 2016Q4 2015Q4 2014
Dividends Per Share1.361.361.361.34