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BPMC Blueprint Medicines Corporation

91.34
0.00 (0.00%)
Pre Market
Last Updated: 04:05:38
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 1.25B1.14B1.19B1.46B1.35B1.22B1.11B1.11B
Total Current Assets 554.03M687.24M952.18M1.23B1.05B900.34M811.34M808.17M
Cash and Equivalents 209.95M37.2M173.4M291.43M119.71M169.72M75.53M55.97M
Total Non-Current Assets 728.9M456.06M240.27M230.73M336.6M320.03M295.11M297.13M
Total Liabilities 281.49M261.64M444.7M818.09M835.23M806.07M795.32M902.69M
Total Current Liabilities 149.77M137.03M158.76M175.51M183.23M172.68M169.03M197.38M
Total Non-Current Liabilities 131.73M124.62M451.68M1.17B774.22M755.52M748.43M913.46M
Common Equity 59k60k60k60k60k60k61k61k
Retained Earnings -1.28B-1.38B-1.54B-1.67B-1.83B-1.96B-2.1B-2.23B
Year End December 30 2023 20162017201820192020202120222023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 282.8M715.74M540.12M707.69M1.72B1.25B1.35B1.05B
Total Current Assets 220.43M685.51M499.79M516.79M927.76M554.03M1.05B808.39M
Cash and Equivalents 52.07M400.3M68.06M113.94M684.64M209.95M119.71M71.29M
Total Non-Current Assets 213.08M623.97M419.01M464.36M1.47B970.74M514.68M130.61M
Total Liabilities 69.72M91.77M121.12M243.34M248.31M281.49M835.23M918.64M
Total Current Liabilities 28.51M42.89M60.32M106.48M130.8M149.77M183.23M214.92M
Total Non-Current Liabilities 45.52M63.49M60.79M136.85M117.5M131.73M774.22M912.25M
Total Equity 213.08M623.97M419.01M464.36M1.47B970.74M514.68M130.61M
Common Equity 33k43k44k49k58k59k60k61k
Retained Earnings -207.47M-355.59M-597.55M-945.24M-631.36M-1.28B-1.83B-2.34B

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