10-K.Info (Beta Test)
Courtesy of Short Sands, LLC
10-K.Info (Beta Test)
Courtesy of Short Sands, LLC

REGENERON PHARMACEUTICALS, INC.

Ticker: REGN   Fiscal Year: 2020

CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOME

Period Ending Dec 31, 2020 10-K (Filed: Feb 8, 2021)

(In Thousands)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2020Dec 31, 2019Dec 31, 2018
Statements of Operations
Revenues:
Revenues
$
8,497,100
6,557,6005,145,600
Expenses:
Research and development2,735,0002,450,0001,468,800
Selling, general, and administrative1,346,0001,341,9001,127,200
Cost of goods sold and of collaboration and contract manufacturing402,800237,500
Other operating (income) expense, net(280,400)(209,200)(402,300)
Total expenses4,920,5004,347,8002,611,200
 
Income from operations3,576,6002,209,8002,534,400
 
Other income (expense):
Other income (expense), net290,700249,50047,300
Interest expense(56,900)(30,200)(28,200)
Total other income (expense)233,800219,30019,100
 
Income before income taxes3,810,4002,429,1002,553,500
 
Income tax expense297,200313,300109,100
Net income3,513,2002,115,8002,444,400
 
Net income per share - basic (in dollars per share)32.6519.3822.65
Net income per share - diluted (in dollars per share)30.5218.4621.29
Weighted average shares outstanding - basic (in shares)107,600109,200107,900
Weighted average shares outstanding - diluted (in shares)115,100114,600114,800
Statements of Comprehensive Income
Net income3,513,2002,115,8002,444,400
Other comprehensive income (loss), net of tax:
Unrealized gain (loss) on debt securities9,10035,900(7,000)
Unrealized (loss) gain on cash flow hedges(900)(2,500)700
Comprehensive income3,521,4002,149,2002,438,100
 
Project
Sanofi
Revenues403,600(125,700)
Product and Service
Product and service, other
Revenues1,186,400403,600(125,700)
Bayer
Revenues1,145,6001,036,100
Revenues1,186,1001,145,6001,036,100
Other
Revenues174,000129,000
Revenues557,000174,000129,000
Product and Service
Product
Revenues5,567,6004,834,4004,106,200
Cost of goods sold and of collaboration and contract manufacturing491,900362,300180,000
Collaboration and contract manufacturing
Cost of goods sold and of collaboration and contract manufacturing628,000402,800237,500
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REGENERON PHARMACEUTICALS, INC.

Ticker: REGN   Fiscal Year: 2020

CONSOLIDATED STATEMENTS OF CASH FLOWS

Period Ending Dec 31, 2020 10-K (Filed: Feb 8, 2021)

(In Thousands, except shares in actual)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2020Dec 31, 2019Dec 31, 2018
Cash flows from operating activities:
Net income
$
3,513,200
2,115,8002,444,400
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation and amortization235,900210,300148,200
Non-cash compensation expense432,000464,300427,400
Other non-cash items, net(135,000)(29,300)12,100
Deferred taxes75,600(130,600)(140,000)
Changes in assets and liabilities:
Increase in trade, Sanofi, and other accounts receivable(1,356,100)(523,700)(236,400)
Increase in inventories(529,400)(335,500)(387,900)
Decrease (increase) in prepaid expenses and other assets114,900(79,800)(88,100)
Increase (decrease) in deferred revenue148,100139,500(43,400)
Increase in accounts payable, accrued expenses, and other liabilities118,900599,00058,800
Total adjustments(895,100)314,200(249,300)
 
Net cash provided by operating activities2,618,1002,430,0002,195,100
 
Cash flows from investing activities:
Purchases of marketable and other securities(3,241,000)(3,202,400)(1,845,500)
Sales or maturities of marketable and other securities3,785,0001,604,200775,600
Capital expenditures(614,600)(429,600)(383,100)
Other00(10,000)
Net cash used in investing activities(70,600)(2,027,800)(1,463,000)
 
Cash flows from financing activities:
Proceeds from issuance of long-term debt, net of issuance costs1,981,90000
Proceeds from bridge loan facility1,500,00000
Repayment of bridge loan facility(1,500,000)00
Proceeds from issuance of Common Stock2,575,200211,800114,500
Payments in connection with Common Stock tendered for employee tax obligations(680,800)(188,000)(187,200)
Repurchases of Common Stock(5,846,800)(275,900)(4,400)
Net cash used in financing activities(1,970,500)(252,100)(77,100)
 
Net increase in cash, cash equivalents, and restricted cash577,000150,100655,000
 
Cash, cash equivalents, and restricted cash at beginning of period1,630,3001,480,200
Cash, cash equivalents, and restricted cash at end of period2,207,3001,630,3001,480,200
 
Supplemental disclosure of cash flow information
Cash paid for interest (net of amounts capitalized)23,20025,00022,300
Cash paid for income taxes188,100342,300205,600
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REGENERON PHARMACEUTICALS, INC.

Ticker: REGN   Fiscal Year: 2020

CONSOLIDATED BALANCE SHEETS

Period Ending Dec 31, 2020 10-K (Filed: Feb 8, 2021)

(In Thousands, except shares in actual)
 As ofAs of
 Dec 31, 2020Dec 31, 2019
ASSETS
Current assets:
Cash and cash equivalents
$
2,193,700
1,617,800
Marketable securities1,393,3001,596,500
Accounts receivable - trade, net3,111,5002,100,000
Inventories1,916,6001,415,500
Prepaid expenses and other current assets160,800273,700
Total current assets9,779,1007,689,100
 
Marketable securities3,135,6003,256,800
Property, plant, and equipment, net3,221,6002,890,400
Deferred tax assets858,900824,200
Other noncurrent assets168,100144,700
Total assets17,163,30014,805,200
 
LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:
Accounts payable475,500418,100
Accrued expenses and other current liabilities1,521,8001,211,400
Other liabilities - Sanofi122,40085,000
Total current liabilities2,697,4002,096,600
 
Long-term debt1,978,5000
Finance lease liabilities717,200713,900
Total liabilities6,138,0003,715,500
 
Commitments and contingencies (Note 10)  
Stockholders' equity:
Preferred Stock, $.01 par value; 30,000,000 shares authorized; issued and outstanding - none00
Additional paid-in capital6,716,2004,428,600
Retained earnings10,893,0007,379,800
Accumulated other comprehensive income29,30021,100
Treasury Stock, at cost; 16,431,520 shares in 2020 and 4,860,123 shares in 2019(6,613,300)(739,900)
Total stockholders' equity11,025,30011,089,700
 
Total liabilities and stockholders' equity17,163,30014,805,200
 
Project
Sanofi
Accounts receivable404,700260,600
Deferred revenue, current341,700310,500
Deferred revenue, noncurrent16,70027,700
Other noncurrent liabilities189,300482,000
Other
Accounts receivable598,500425,000
Deferred revenue, current236,00071,600
Deferred revenue, noncurrent41,10077,600
Other noncurrent liabilities497,800317,700
Class of Stock
Class A Stock
Common stock00
Common Stock
Common stock100100
Total stockholders' equity100100
 
External Links 
REGENERON PHARMACEUTICALS, INC. (REGN) Fiscal Year 2020
Statements of 10-K in Excel https://www.sec.gov/.../Financial.xlxs
Complete 10-K in HTML https://www.sec.gov/.../10-K.html
Complete 10-K in XBRL https://www.sec.gov/.../10-K-xbrl.zip