Pfizer Inc
F:PFE
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Balance Sheet
Balance Sheet Decomposition
Pfizer Inc
Pfizer Inc
Balance Sheet
Pfizer Inc
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
1 036
|
1 878
|
1 520
|
1 808
|
2 247
|
1 827
|
3 406
|
2 122
|
1 978
|
1 735
|
3 182
|
10 081
|
2 183
|
3 343
|
3 641
|
2 595
|
1 342
|
1 139
|
1 121
|
1 784
|
1 944
|
416
|
2 853
|
1 043
|
|
| Cash Equivalents |
1 036
|
1 878
|
1 520
|
1 808
|
2 247
|
1 827
|
3 406
|
2 122
|
1 978
|
1 735
|
3 182
|
10 081
|
2 183
|
3 343
|
3 641
|
2 595
|
1 342
|
1 139
|
1 121
|
1 784
|
1 944
|
416
|
2 853
|
1 043
|
|
| Short-Term Investments |
7 848
|
11 072
|
10 823
|
18 738
|
20 489
|
26 400
|
22 686
|
22 433
|
25 186
|
26 744
|
23 270
|
22 318
|
30 225
|
32 779
|
19 649
|
15 255
|
18 650
|
17 694
|
8 525
|
10 437
|
29 125
|
22 316
|
9 837
|
19 434
|
|
| Total Receivables |
4 798
|
5 785
|
8 636
|
9 367
|
9 103
|
9 392
|
9 843
|
8 958
|
14 645
|
13 380
|
13 058
|
10 675
|
9 357
|
8 401
|
8 176
|
8 225
|
8 221
|
8 025
|
6 772
|
7 930
|
11 479
|
14 529
|
15 155
|
14 777
|
|
| Accounts Receivables |
4 798
|
5 785
|
8 636
|
9 367
|
9 103
|
9 392
|
9 843
|
8 958
|
14 645
|
13 380
|
13 058
|
10 675
|
9 357
|
8 401
|
8 176
|
8 225
|
8 221
|
8 025
|
6 772
|
7 930
|
11 479
|
10 952
|
11 177
|
11 463
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 577
|
3 978
|
3 314
|
|
| Inventory |
2 485
|
2 678
|
5 699
|
6 660
|
5 478
|
6 111
|
5 302
|
4 381
|
12 403
|
8 275
|
6 610
|
6 076
|
6 166
|
5 663
|
7 513
|
6 783
|
7 578
|
7 508
|
7 068
|
8 046
|
9 059
|
8 981
|
10 189
|
10 851
|
|
| Other Current Assets |
3 045
|
3 368
|
3 999
|
2 515
|
9 518
|
3 928
|
5 612
|
5 182
|
7 458
|
10 879
|
14 697
|
15 681
|
8 313
|
5 409
|
4 825
|
6 091
|
5 350
|
15 560
|
9 317
|
6 870
|
8 086
|
5 017
|
5 299
|
4 253
|
|
| Total Current Assets |
19 212
|
24 781
|
30 677
|
39 088
|
46 835
|
47 658
|
46 849
|
43 076
|
61 670
|
61 013
|
60 817
|
64 831
|
56 244
|
55 595
|
43 804
|
38 949
|
41 141
|
49 926
|
32 803
|
35 067
|
59 693
|
51 259
|
43 333
|
50 358
|
|
| PP&E Net |
9 783
|
10 712
|
18 156
|
18 385
|
16 233
|
16 632
|
15 734
|
13 287
|
22 780
|
18 645
|
15 921
|
13 213
|
12 397
|
11 762
|
13 766
|
13 318
|
13 865
|
13 385
|
14 258
|
15 293
|
17 721
|
19 276
|
21 864
|
20 682
|
|
| PP&E Gross |
9 783
|
10 712
|
18 156
|
18 385
|
16 233
|
16 632
|
15 734
|
13 287
|
22 780
|
18 645
|
15 921
|
13 213
|
12 397
|
11 762
|
13 766
|
13 318
|
13 865
|
13 385
|
14 258
|
15 293
|
17 721
|
19 276
|
21 864
|
20 682
|
|
| Accumulated Depreciation |
4 589
|
5 431
|
6 916
|
8 534
|
8 920
|
10 431
|
12 369
|
11 841
|
11 144
|
12 732
|
13 316
|
12 752
|
13 281
|
13 226
|
13 502
|
14 807
|
16 172
|
16 591
|
14 990
|
14 812
|
15 074
|
15 174
|
16 045
|
16 483
|
|
| Intangible Assets |
759
|
921
|
35 591
|
33 251
|
26 244
|
24 350
|
20 498
|
17 721
|
68 015
|
57 555
|
51 184
|
45 146
|
39 385
|
35 166
|
40 356
|
52 648
|
48 741
|
35 211
|
33 936
|
28 471
|
25 146
|
43 370
|
64 900
|
55 411
|
|
| Goodwill |
1 689
|
1 200
|
22 265
|
23 756
|
20 985
|
20 876
|
21 382
|
21 464
|
42 376
|
43 928
|
44 569
|
43 661
|
42 519
|
42 069
|
48 242
|
54 449
|
55 952
|
53 411
|
48 202
|
49 577
|
49 208
|
51 375
|
67 783
|
68 527
|
|
| Long-Term Investments |
5 724
|
5 161
|
6 142
|
3 873
|
2 497
|
3 892
|
4 856
|
11 478
|
13 122
|
9 747
|
9 814
|
14 149
|
16 406
|
17 518
|
15 999
|
7 116
|
7 015
|
2 767
|
20 147
|
20 262
|
21 526
|
15 069
|
15 368
|
2 227
|
|
| Other Long-Term Assets |
1 986
|
3 581
|
3 944
|
4 725
|
4 176
|
2 138
|
5 949
|
4 122
|
4 986
|
4 126
|
5 697
|
4 798
|
5 150
|
5 456
|
5 214
|
5 135
|
5 083
|
4 722
|
18 248
|
5 559
|
8 182
|
16 856
|
13 253
|
16 191
|
|
| Other Assets |
1 689
|
1 200
|
22 265
|
23 756
|
20 985
|
20 876
|
21 382
|
21 464
|
42 376
|
43 928
|
44 569
|
43 661
|
42 519
|
42 069
|
48 242
|
54 449
|
55 952
|
53 411
|
48 202
|
49 577
|
49 208
|
51 375
|
67 783
|
68 527
|
|
| Total Assets |
39 153
N/A
|
46 356
+18%
|
116 775
+152%
|
123 078
+5%
|
116 970
-5%
|
115 546
-1%
|
115 268
0%
|
111 148
-4%
|
212 949
+92%
|
195 014
-8%
|
188 002
-4%
|
185 798
-1%
|
172 101
-7%
|
167 566
-3%
|
167 381
0%
|
171 615
+3%
|
171 797
+0%
|
159 422
-7%
|
167 594
+5%
|
154 229
-8%
|
181 476
+18%
|
197 205
+9%
|
226 501
+15%
|
213 396
-6%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
1 411
|
1 620
|
2 587
|
2 672
|
2 073
|
2 019
|
2 270
|
1 751
|
4 370
|
3 994
|
3 678
|
2 921
|
3 234
|
3 210
|
3 620
|
4 536
|
4 656
|
4 674
|
3 887
|
4 309
|
5 578
|
6 809
|
6 710
|
5 633
|
|
| Accrued Liabilities |
1 026
|
1 084
|
3 142
|
1 939
|
1 602
|
1 903
|
1 974
|
1 667
|
2 242
|
2 080
|
2 120
|
1 875
|
1 792
|
1 841
|
2 359
|
2 487
|
2 196
|
2 397
|
2 659
|
3 379
|
3 781
|
4 027
|
3 303
|
4 194
|
|
| Short-Term Debt |
5 895
|
8 413
|
8 818
|
11 266
|
11 589
|
1 722
|
4 801
|
8 383
|
5 442
|
2 101
|
4 010
|
3 975
|
3 967
|
2 130
|
6 440
|
6 463
|
6 407
|
4 055
|
14 733
|
701
|
605
|
395
|
8 096
|
3 199
|
|
| Current Portion of Long-Term Debt |
368
|
256
|
0
|
0
|
0
|
712
|
1 024
|
937
|
27
|
3 502
|
6
|
2 449
|
2 060
|
3 011
|
3 719
|
4 225
|
3 546
|
4 776
|
1 462
|
2 002
|
1 636
|
2 550
|
2 254
|
3 747
|
|
| Other Current Liabilities |
5 029
|
7 182
|
9 362
|
10 581
|
13 138
|
15 743
|
11 766
|
14 271
|
25 144
|
16 959
|
19 095
|
17 966
|
12 313
|
11 395
|
13 261
|
13 404
|
13 622
|
15 956
|
14 563
|
15 529
|
31 071
|
28 357
|
27 431
|
26 222
|
|
| Total Current Liabilities |
13 729
|
18 555
|
23 909
|
26 458
|
28 402
|
22 099
|
21 835
|
27 009
|
37 225
|
28 636
|
28 909
|
29 186
|
23 366
|
21 587
|
29 399
|
31 115
|
30 427
|
31 858
|
37 304
|
25 920
|
42 671
|
42 138
|
47 794
|
42 995
|
|
| Long-Term Debt |
2 609
|
3 140
|
5 755
|
7 279
|
6 347
|
5 546
|
7 314
|
7 963
|
43 193
|
38 410
|
34 926
|
31 036
|
30 462
|
31 541
|
28 740
|
31 398
|
33 538
|
32 909
|
35 955
|
37 133
|
36 195
|
32 884
|
61 538
|
57 405
|
|
| Deferred Income Tax |
398
|
364
|
13 012
|
12 026
|
9 707
|
8 015
|
7 696
|
2 959
|
17 839
|
18 628
|
18 861
|
21 193
|
25 590
|
23 317
|
26 877
|
30 753
|
3 900
|
3 700
|
5 652
|
4 063
|
349
|
1 023
|
640
|
2 122
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
0
|
74
|
114
|
184
|
432
|
452
|
431
|
418
|
313
|
321
|
278
|
296
|
348
|
351
|
303
|
235
|
262
|
256
|
274
|
294
|
|
| Other Liabilities |
4 124
|
4 347
|
8 722
|
9 037
|
6 750
|
8 454
|
13 299
|
15 477
|
24 246
|
21 075
|
22 685
|
22 705
|
16 063
|
19 499
|
17 367
|
18 509
|
32 276
|
27 197
|
25 236
|
23 640
|
24 799
|
25 244
|
27 241
|
22 377
|
|
| Total Liabilities |
20 860
N/A
|
26 406
+27%
|
51 398
+95%
|
54 800
+7%
|
51 206
-7%
|
44 188
-14%
|
50 258
+14%
|
53 592
+7%
|
122 935
+129%
|
107 201
-13%
|
105 812
-1%
|
104 538
-1%
|
95 794
-8%
|
96 265
+0%
|
102 661
+7%
|
112 071
+9%
|
100 489
-10%
|
96 015
-4%
|
104 450
+9%
|
90 991
-13%
|
104 276
+15%
|
101 545
-3%
|
137 487
+35%
|
125 193
-9%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
340
|
341
|
654
|
631
|
608
|
582
|
535
|
516
|
504
|
496
|
490
|
487
|
486
|
484
|
485
|
485
|
485
|
486
|
485
|
470
|
473
|
476
|
478
|
480
|
|
| Retained Earnings |
24 430
|
30 243
|
29 382
|
35 492
|
37 608
|
49 669
|
49 660
|
49 142
|
40 426
|
42 716
|
46 210
|
54 240
|
69 732
|
72 176
|
71 993
|
71 774
|
85 291
|
89 554
|
97 670
|
96 770
|
103 394
|
125 656
|
118 353
|
116 725
|
|
| Additional Paid In Capital |
9 300
|
9 368
|
66 396
|
67 098
|
67 759
|
69 104
|
69 913
|
70 283
|
70 497
|
70 760
|
71 423
|
72 608
|
77 283
|
78 977
|
81 016
|
82 685
|
84 278
|
86 253
|
87 428
|
88 674
|
90 591
|
91 802
|
92 631
|
93 603
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
46
|
236
|
150
|
222
|
227
|
131
|
401
|
68
|
35
|
116
|
220
|
220
|
9
|
106
|
|
| Treasury Stock |
11 378
|
16 341
|
29 352
|
35 992
|
39 767
|
46 740
|
56 847
|
57 391
|
21 632
|
22 712
|
31 801
|
40 122
|
67 923
|
73 021
|
79 252
|
84 364
|
89 425
|
101 610
|
110 801
|
110 988
|
111 361
|
113 969
|
114 487
|
114 763
|
|
| Other Equity |
4 399
|
3 661
|
1 703
|
1 049
|
444
|
1 257
|
1 749
|
4 994
|
219
|
3 447
|
4 178
|
6 189
|
3 421
|
7 093
|
9 295
|
10 905
|
9 722
|
11 208
|
11 603
|
11 804
|
5 677
|
8 525
|
7 952
|
7 736
|
|
| Total Equity |
18 293
N/A
|
19 950
+9%
|
65 377
+228%
|
68 278
+4%
|
65 764
-4%
|
71 358
+9%
|
65 010
-9%
|
57 556
-11%
|
90 014
+56%
|
87 813
-2%
|
82 190
-6%
|
81 260
-1%
|
76 307
-6%
|
71 301
-7%
|
64 720
-9%
|
59 544
-8%
|
71 308
+20%
|
63 407
-11%
|
63 144
0%
|
63 238
+0%
|
77 200
+22%
|
95 660
+24%
|
89 014
-7%
|
88 203
-1%
|
|
| Total Liabilities & Equity |
39 153
N/A
|
46 356
+18%
|
116 775
+152%
|
123 078
+5%
|
116 970
-5%
|
115 546
-1%
|
115 268
0%
|
111 148
-4%
|
212 949
+92%
|
195 014
-8%
|
188 002
-4%
|
185 798
-1%
|
172 101
-7%
|
167 566
-3%
|
167 381
0%
|
171 615
+3%
|
171 797
+0%
|
159 422
-7%
|
167 594
+5%
|
154 229
-8%
|
181 476
+18%
|
197 205
+9%
|
226 501
+15%
|
213 396
-6%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
6 277
|
6 162
|
7 629
|
7 473
|
7 361
|
7 124
|
6 761
|
6 746
|
8 070
|
8 012
|
7 575
|
7 276
|
6 399
|
6 291
|
6 175
|
6 070
|
5 979
|
5 717
|
5 534
|
5 567
|
5 620
|
5 616
|
5 646
|
5 667
|
|
| Preferred Shares Outstanding |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|