US Stock MarketDetailed Quotes

Hutchmed (China) (HCM)

Watchlist
  • 15.310
  • +0.010+0.07%
Close Jan 15 15:59 ET
  • 15.310
  • 0.0000.00%
Post 16:10 ET
2.67BMarket Cap5.78P/E (TTM)

Hutchmed (China) (HCM) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
70.04%1.36B
-5.67%836.11M
-5.67%836.11M
-6.27%802.45M
40.47%886.34M
40.47%886.34M
3.63%856.17M
-37.63%631M
--631M
-13.07%826.2M
-Cash and cash equivalents
----
-45.71%153.96M
-45.71%153.96M
-8.54%203.95M
-9.48%283.59M
-9.48%283.59M
-52.30%223M
-17.02%313.28M
--313.28M
-20.42%467.5M
-Short-term investments
----
13.17%682.15M
13.17%682.15M
-5.48%598.5M
89.71%602.75M
89.71%602.75M
76.52%633.17M
-49.90%317.72M
--317.72M
-1.19%358.7M
-Accounts receivable
-6.34%146.97M
33.06%155.54M
33.06%155.54M
21.45%156.92M
19.29%116.89M
19.29%116.89M
67.63%129.2M
17.24%97.99M
--97.99M
33.00%77.08M
-Taxes receivable
----
52.22%3.3M
52.22%3.3M
-94.85%363K
45.27%2.17M
45.27%2.17M
213.02%7.05M
-91.03%1.49M
--1.49M
--2.25M
-Other receivables
----
-63.03%12.21M
-63.03%12.21M
9.74%33.95M
13.13%33.01M
13.13%33.01M
-37.12%30.94M
-40.50%29.18M
--29.18M
-14.10%49.2M
Inventory
----
0.28%50.4M
0.28%50.4M
-13.80%46.44M
-11.35%50.26M
-11.35%50.26M
17.31%53.88M
58.55%56.69M
--56.69M
80.06%45.93M
Prepaid assets
----
10.18%9.01M
10.18%9.01M
-38.61%8.14M
-65.28%8.17M
-65.28%8.17M
-38.59%13.26M
53.05%23.54M
--23.54M
--21.59M
Other current assets
--80.84M
----
----
----
----
----
----
----
----
----
Total current assets
51.90%1.59B
-2.76%1.07B
-2.76%1.07B
-3.87%1.05B
30.59%1.1B
30.59%1.1B
6.68%1.09B
-30.71%839.89M
--839.89M
-6.32%1.02B
Non current assets
Net PPE
-0.26%94.57M
-7.09%97M
-7.09%97M
-2.08%94.82M
23.29%104.39M
23.29%104.39M
119.77%96.83M
59.29%84.67M
--84.67M
13.87%44.06M
-Gross PPE
----
3.54%156.31M
3.54%156.31M
-2.08%94.82M
24.21%150.96M
24.21%150.96M
--96.83M
41.23%121.53M
--121.53M
----
-Accumulated depreciation
----
-27.37%-59.32M
-27.37%-59.32M
----
-26.33%-46.57M
-26.33%-46.57M
----
-12.05%-36.86M
---36.86M
----
Other non current assets
129.10%85.4M
5.17%15.43M
5.17%15.43M
-5.75%37.27M
-6.80%14.68M
-6.80%14.68M
-12.19%39.55M
-26.94%15.75M
--15.75M
82.28%45.04M
Total non current assets
-13.64%183.61M
13.51%207.64M
13.51%207.64M
2.70%212.61M
-3.49%182.93M
-3.49%182.93M
20.29%207.01M
18.04%189.56M
--189.56M
-5.29%172.1M
Total assets
40.85%1.78B
-0.44%1.27B
-0.44%1.27B
-2.82%1.26B
24.32%1.28B
24.32%1.28B
8.64%1.3B
-25.00%1.03B
--1.03B
-6.17%1.19B
Liabilities
Current liabilities
Payables
295.47%264.79M
13.33%60.19M
13.33%60.19M
-1.17%66.95M
-41.09%53.11M
-41.09%53.11M
2.62%67.75M
22.26%90.15M
--90.15M
11.58%66.02M
-accounts payable
0.75%43.73M
17.05%42.52M
17.05%42.52M
-20.48%43.4M
-48.92%36.33M
-48.92%36.33M
7.00%54.58M
72.71%71.12M
--71.12M
78.88%51.01M
-Total tax payable
----
-39.96%1.55M
-39.96%1.55M
--3.15M
132.01%2.58M
132.01%2.58M
----
-92.85%1.11M
--1.11M
----
-Other payable
983.10%221.06M
13.50%16.12M
13.50%16.12M
54.94%20.41M
-20.78%14.2M
-20.78%14.2M
-12.26%13.17M
5.37%17.93M
--17.93M
-51.02%15.01M
Current debt and capital lease obligation
----
-25.04%26.3M
-25.04%26.3M
--26.47M
846.12%35.08M
846.12%35.08M
----
-86.22%3.71M
--3.71M
--0
-Current debt
----
-24.98%23.37M
-24.98%23.37M
--26.47M
--31.16M
--31.16M
----
--0
--0
--0
-Current capital lease obligation
----
-25.52%2.93M
-25.52%2.93M
----
5.91%3.93M
5.91%3.93M
----
--3.71M
--3.71M
----
Other current liabilities
----
198.68%5.66M
198.68%5.66M
-11.16%6.05M
--1.9M
--1.9M
-81.71%6.81M
----
----
443.17%37.25M
Current liabilities
-8.27%342.41M
-6.57%376.56M
-6.57%376.56M
9.51%373.29M
13.88%403.03M
13.88%403.03M
5.91%340.86M
13.55%353.9M
--353.9M
29.93%321.86M
Non current liabilities
Long term debt and capital lease obligation
67.97%93.44M
24.44%63.52M
24.44%63.52M
38.57%55.63M
119.09%51.05M
119.09%51.05M
9,504.55%40.15M
225.37%23.3M
--23.3M
-92.98%418K
-Long term debt
67.97%93.44M
23.34%59.43M
23.34%59.43M
38.57%55.63M
166.18%48.19M
166.18%48.19M
9,504.55%40.15M
--18.1M
--18.1M
--418K
-Long term capital lease obligation
----
42.97%4.09M
42.97%4.09M
----
-44.96%2.86M
-44.96%2.86M
----
-27.44%5.2M
--5.2M
----
Other non current liabilities
408.46%98.16M
-4.49%10.84M
-4.49%10.84M
0.06%19.31M
-9.03%11.35M
-9.03%11.35M
-4.53%19.29M
7.86%12.47M
--12.47M
265.99%20.21M
Total non current liabilities
41.34%191.6M
-5.68%125.78M
-5.68%125.78M
-13.44%135.56M
244.85%133.36M
244.85%133.36M
659.24%156.62M
79.96%38.67M
--38.67M
79.70%20.63M
Total liabilities
4.95%534.02M
-6.35%502.34M
-6.35%502.34M
2.29%508.85M
36.63%536.39M
36.63%536.39M
45.26%497.48M
17.84%392.58M
--392.58M
32.13%342.48M
Shareholders'equity
Share capital
----
0.04%87.16M
0.04%87.16M
0.60%87.14M
0.75%87.13M
0.75%87.13M
0.18%86.62M
0.03%86.48M
--86.48M
1.89%86.46M
-common stock
----
0.04%87.16M
0.04%87.16M
0.60%87.14M
0.75%87.13M
0.75%87.13M
0.18%86.62M
0.03%86.48M
--86.48M
1.89%86.46M
Retained earnings
----
4.33%-833.17M
4.33%-833.17M
-5.23%-845.07M
10.36%-870.87M
10.36%-870.87M
-3.86%-803.06M
-59.17%-971.48M
---971.48M
-49.27%-773.19M
Paid-in capital
----
-0.32%1.52B
-0.32%1.52B
0.08%1.51B
1.68%1.52B
1.68%1.52B
1.46%1.51B
-0.53%1.5B
--1.5B
5.09%1.48B
Total stockholders'equity
66.07%1.23B
4.02%759.93M
4.02%759.93M
-5.36%740.08M
19.69%730.54M
19.69%730.54M
-2.21%782.04M
-38.15%610.37M
--610.37M
-18.79%799.73M
Noncontrolling interests
7.75%12.86M
-7.18%11.92M
-7.18%11.92M
-33.62%11.93M
-51.53%12.85M
-51.53%12.85M
-65.51%17.98M
-49.63%26.5M
--26.5M
80.35%52.12M
Total equity
65.15%1.24B
3.83%771.85M
3.83%771.85M
-6.00%752.02M
16.73%743.39M
16.73%743.39M
-6.08%800.02M
-38.73%636.87M
--636.87M
-15.97%851.85M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 70.04%1.36B-5.67%836.11M-5.67%836.11M-6.27%802.45M40.47%886.34M40.47%886.34M3.63%856.17M-37.63%631M--631M-13.07%826.2M
-Cash and cash equivalents -----45.71%153.96M-45.71%153.96M-8.54%203.95M-9.48%283.59M-9.48%283.59M-52.30%223M-17.02%313.28M--313.28M-20.42%467.5M
-Short-term investments ----13.17%682.15M13.17%682.15M-5.48%598.5M89.71%602.75M89.71%602.75M76.52%633.17M-49.90%317.72M--317.72M-1.19%358.7M
-Accounts receivable -6.34%146.97M33.06%155.54M33.06%155.54M21.45%156.92M19.29%116.89M19.29%116.89M67.63%129.2M17.24%97.99M--97.99M33.00%77.08M
-Taxes receivable ----52.22%3.3M52.22%3.3M-94.85%363K45.27%2.17M45.27%2.17M213.02%7.05M-91.03%1.49M--1.49M--2.25M
-Other receivables -----63.03%12.21M-63.03%12.21M9.74%33.95M13.13%33.01M13.13%33.01M-37.12%30.94M-40.50%29.18M--29.18M-14.10%49.2M
Inventory ----0.28%50.4M0.28%50.4M-13.80%46.44M-11.35%50.26M-11.35%50.26M17.31%53.88M58.55%56.69M--56.69M80.06%45.93M
Prepaid assets ----10.18%9.01M10.18%9.01M-38.61%8.14M-65.28%8.17M-65.28%8.17M-38.59%13.26M53.05%23.54M--23.54M--21.59M
Other current assets --80.84M------------------------------------
Total current assets 51.90%1.59B-2.76%1.07B-2.76%1.07B-3.87%1.05B30.59%1.1B30.59%1.1B6.68%1.09B-30.71%839.89M--839.89M-6.32%1.02B
Non current assets
Net PPE -0.26%94.57M-7.09%97M-7.09%97M-2.08%94.82M23.29%104.39M23.29%104.39M119.77%96.83M59.29%84.67M--84.67M13.87%44.06M
-Gross PPE ----3.54%156.31M3.54%156.31M-2.08%94.82M24.21%150.96M24.21%150.96M--96.83M41.23%121.53M--121.53M----
-Accumulated depreciation -----27.37%-59.32M-27.37%-59.32M-----26.33%-46.57M-26.33%-46.57M-----12.05%-36.86M---36.86M----
Other non current assets 129.10%85.4M5.17%15.43M5.17%15.43M-5.75%37.27M-6.80%14.68M-6.80%14.68M-12.19%39.55M-26.94%15.75M--15.75M82.28%45.04M
Total non current assets -13.64%183.61M13.51%207.64M13.51%207.64M2.70%212.61M-3.49%182.93M-3.49%182.93M20.29%207.01M18.04%189.56M--189.56M-5.29%172.1M
Total assets 40.85%1.78B-0.44%1.27B-0.44%1.27B-2.82%1.26B24.32%1.28B24.32%1.28B8.64%1.3B-25.00%1.03B--1.03B-6.17%1.19B
Liabilities
Current liabilities
Payables 295.47%264.79M13.33%60.19M13.33%60.19M-1.17%66.95M-41.09%53.11M-41.09%53.11M2.62%67.75M22.26%90.15M--90.15M11.58%66.02M
-accounts payable 0.75%43.73M17.05%42.52M17.05%42.52M-20.48%43.4M-48.92%36.33M-48.92%36.33M7.00%54.58M72.71%71.12M--71.12M78.88%51.01M
-Total tax payable -----39.96%1.55M-39.96%1.55M--3.15M132.01%2.58M132.01%2.58M-----92.85%1.11M--1.11M----
-Other payable 983.10%221.06M13.50%16.12M13.50%16.12M54.94%20.41M-20.78%14.2M-20.78%14.2M-12.26%13.17M5.37%17.93M--17.93M-51.02%15.01M
Current debt and capital lease obligation -----25.04%26.3M-25.04%26.3M--26.47M846.12%35.08M846.12%35.08M-----86.22%3.71M--3.71M--0
-Current debt -----24.98%23.37M-24.98%23.37M--26.47M--31.16M--31.16M------0--0--0
-Current capital lease obligation -----25.52%2.93M-25.52%2.93M----5.91%3.93M5.91%3.93M------3.71M--3.71M----
Other current liabilities ----198.68%5.66M198.68%5.66M-11.16%6.05M--1.9M--1.9M-81.71%6.81M--------443.17%37.25M
Current liabilities -8.27%342.41M-6.57%376.56M-6.57%376.56M9.51%373.29M13.88%403.03M13.88%403.03M5.91%340.86M13.55%353.9M--353.9M29.93%321.86M
Non current liabilities
Long term debt and capital lease obligation 67.97%93.44M24.44%63.52M24.44%63.52M38.57%55.63M119.09%51.05M119.09%51.05M9,504.55%40.15M225.37%23.3M--23.3M-92.98%418K
-Long term debt 67.97%93.44M23.34%59.43M23.34%59.43M38.57%55.63M166.18%48.19M166.18%48.19M9,504.55%40.15M--18.1M--18.1M--418K
-Long term capital lease obligation ----42.97%4.09M42.97%4.09M-----44.96%2.86M-44.96%2.86M-----27.44%5.2M--5.2M----
Other non current liabilities 408.46%98.16M-4.49%10.84M-4.49%10.84M0.06%19.31M-9.03%11.35M-9.03%11.35M-4.53%19.29M7.86%12.47M--12.47M265.99%20.21M
Total non current liabilities 41.34%191.6M-5.68%125.78M-5.68%125.78M-13.44%135.56M244.85%133.36M244.85%133.36M659.24%156.62M79.96%38.67M--38.67M79.70%20.63M
Total liabilities 4.95%534.02M-6.35%502.34M-6.35%502.34M2.29%508.85M36.63%536.39M36.63%536.39M45.26%497.48M17.84%392.58M--392.58M32.13%342.48M
Shareholders'equity
Share capital ----0.04%87.16M0.04%87.16M0.60%87.14M0.75%87.13M0.75%87.13M0.18%86.62M0.03%86.48M--86.48M1.89%86.46M
-common stock ----0.04%87.16M0.04%87.16M0.60%87.14M0.75%87.13M0.75%87.13M0.18%86.62M0.03%86.48M--86.48M1.89%86.46M
Retained earnings ----4.33%-833.17M4.33%-833.17M-5.23%-845.07M10.36%-870.87M10.36%-870.87M-3.86%-803.06M-59.17%-971.48M---971.48M-49.27%-773.19M
Paid-in capital -----0.32%1.52B-0.32%1.52B0.08%1.51B1.68%1.52B1.68%1.52B1.46%1.51B-0.53%1.5B--1.5B5.09%1.48B
Total stockholders'equity 66.07%1.23B4.02%759.93M4.02%759.93M-5.36%740.08M19.69%730.54M19.69%730.54M-2.21%782.04M-38.15%610.37M--610.37M-18.79%799.73M
Noncontrolling interests 7.75%12.86M-7.18%11.92M-7.18%11.92M-33.62%11.93M-51.53%12.85M-51.53%12.85M-65.51%17.98M-49.63%26.5M--26.5M80.35%52.12M
Total equity 65.15%1.24B3.83%771.85M3.83%771.85M-6.00%752.02M16.73%743.39M16.73%743.39M-6.08%800.02M-38.73%636.87M--636.87M-15.97%851.85M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions --------------Unqualified Opinion----
Market Insights
Nancy Pelosi Portfolio
China Concept Stocks
View More
The Fed Delivers Third Consecutive Rate Cut as Expected! How to Position for Year-End U.S. Equity Ma
On December 19, the Bank of Japan raised interest rates by 25 basis points as expected, in line with market forecasts. On the evening of Dec Show More