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: 2022

CONSOLIDATED STATEMENTS OF CASH FLOWS

Period Ending Dec 31, 2022 10-K (Filed: Feb 6, 2023)

(In Thousands, except shares in actual)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2022Dec 31, 2021Dec 31, 2020
Cash flows from operating activities:
Net income
$
4,338,400
8,075,3003,513,200
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation and amortization341,400286,200235,900
Stock-based compensation expense725,000601,700432,000
Losses (gains) on marketable and other securities, net36,800(387,000)(221,800)
Other non-cash items, net368,000568,70086,800
Deferred income taxes(746,400)(147,100)75,600
Acquired in-process research and development in connection with asset acquisition195,00000
Changes in assets and liabilities:
Decrease (increase) in accounts receivable707,800(1,927,400)(1,356,100)
Increase in inventories(696,500)(494,300)(529,400)
(Increase) decrease in prepaid expenses and other assets(148,600)(240,700)114,900
Increase (decrease) in deferred revenue32,400(120,200)148,100
(Decrease) increase in accounts payable, accrued expenses, and other liabilities(138,400)866,100118,900
Total adjustments676,500(994,000)(895,100)
 
Net cash provided by operating activities5,014,9007,081,3002,618,100
 
Cash flows from investing activities:
Purchases of marketable and other securities(7,487,900)(7,048,100)(3,241,000)
Sales or maturities of marketable and other securities5,550,5002,215,3003,785,000
Capital expenditures(590,100)(551,900)(614,600)
Payments for Libtayo intangible asset(1,026,800)00
Asset acquisition, net of cash acquired(230,300)00
Net cash used in investing activities(3,784,600)(5,384,700)(70,600)
 
Cash flows from financing activities:
Proceeds from issuance of Common Stock1,519,5001,672,3002,575,200
Payments in connection with Common Stock tendered for employee tax obligations(445,700)(1,032,700)(680,800)
Repurchases of Common Stock(2,082,800)(1,645,400)(5,846,800)
Proceeds from issuance of long-term debt001,981,900
Proceeds from bridge loan facility001,500,000
Repayment of bridge loan facility00(1,500,000)
Net cash used in financing activities(1,009,000)(1,005,800)(1,970,500)
 
Net increase in cash, cash equivalents, and restricted cash221,300690,800577,000
 
Cash, cash equivalents, and restricted cash at beginning of period2,898,1002,207,300
Cash, cash equivalents, and restricted cash at end of period3,119,4002,898,1002,207,300
 
Supplemental disclosure of cash flow information
Cash paid for interest (net of amounts capitalized)53,70055,80023,200
Cash paid for income taxes1,502,4001,218,400188,100
External Links 
REGENERON PHARMACEUTICALS, INC. (REGN) Fiscal Year 2022
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