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ZTS Zoetis

Watchlist
  • 164.390
  • -7.410-4.31%
Close Mar 11 16:00 ET
  • 164.390
  • 0.0000.00%
Post 16:49 ET
73.61BMarket Cap30.05P/E (TTM)

Zoetis Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-2.65%1.99B
-2.65%1.99B
-2.34%1.71B
-8.23%1.57B
-6.27%1.97B
-43.00%2.04B
-43.00%2.04B
-30.04%1.75B
-35.27%1.71B
-32.85%2.11B
-Cash and cash equivalents
-2.65%1.99B
-2.65%1.99B
-2.34%1.71B
-8.23%1.57B
-6.27%1.97B
-43.00%2.04B
-43.00%2.04B
-30.04%1.75B
-35.27%1.71B
-32.85%2.11B
Receivables
0.92%1.32B
0.92%1.32B
12.25%1.41B
4.61%1.38B
9.02%1.29B
7.33%1.3B
7.33%1.3B
5.72%1.26B
2.40%1.32B
-2.95%1.19B
-Accounts receivable
0.92%1.32B
0.92%1.32B
12.25%1.41B
4.61%1.38B
9.02%1.29B
7.33%1.3B
7.33%1.3B
5.72%1.26B
2.40%1.32B
-2.95%1.19B
Inventory
-10.06%2.31B
-10.06%2.31B
-11.95%2.42B
-9.22%2.45B
3.43%2.65B
9.34%2.56B
9.34%2.56B
19.15%2.74B
22.49%2.7B
24.60%2.56B
Restricted cash
0.00%2M
0.00%2M
33.33%4M
-66.67%1M
-50.00%2M
-50.00%2M
-50.00%2M
-25.00%3M
-25.00%3M
--4M
Other current assets
-13.13%377M
-13.13%377M
-8.57%427M
5.42%467M
7.06%440M
18.90%434M
18.90%434M
-15.40%467M
-11.93%443M
-2.84%411M
Total current assets
-5.63%5.99B
-5.63%5.99B
0.96%6.28B
0.31%6.2B
1.44%6.36B
-15.49%6.34B
-15.49%6.34B
-5.02%6.22B
-7.04%6.18B
-8.31%6.27B
Non current assets
Net PPE
5.13%3.61B
5.13%3.61B
6.12%3.52B
5.78%3.42B
11.09%3.48B
15.51%3.43B
15.51%3.43B
16.83%3.32B
17.55%3.24B
16.93%3.13B
-Gross PPE
3.60%6.25B
3.60%6.25B
5.66%6.18B
5.81%6.01B
11.74%6.15B
14.38%6.03B
14.38%6.03B
15.28%5.85B
14.90%5.68B
14.24%5.5B
-Accumulated depreciation
-1.58%-2.64B
-1.58%-2.64B
-5.06%-2.66B
-5.84%-2.59B
-12.59%-2.67B
-12.93%-2.59B
-12.93%-2.59B
-13.31%-2.53B
-11.58%-2.45B
-10.88%-2.37B
Goodwill and other intangible assets
-6.00%3.85B
-6.00%3.85B
-5.53%3.93B
-0.03%3.97B
0.05%4.05B
-0.70%4.1B
-0.70%4.1B
3.71%4.16B
-3.50%3.97B
-1.53%4.05B
-Goodwill
-1.27%2.72B
-1.27%2.72B
-0.65%2.74B
0.92%2.74B
0.77%2.76B
0.47%2.76B
0.47%2.76B
2.60%2.76B
-0.22%2.71B
1.97%2.74B
-Other intangible assets
-15.77%1.13B
-15.77%1.13B
-15.16%1.19B
-2.08%1.23B
-1.45%1.3B
-3.04%1.34B
-3.04%1.34B
5.99%1.4B
-9.93%1.25B
-8.11%1.31B
Non current deferred assets
162.14%540M
162.14%540M
115.26%409M
90.63%366M
44.10%232M
19.08%206M
19.08%206M
71.17%190M
74.55%192M
56.31%161M
Other non current assets
21.36%250M
21.36%250M
-0.46%215M
21.39%210M
58.74%227M
40.14%206M
40.14%206M
34.16%216M
17.69%173M
10.85%143M
Total non current assets
3.88%8.25B
3.88%8.25B
2.42%8.08B
5.25%7.96B
6.73%7.99B
7.06%7.94B
7.06%7.94B
10.68%7.88B
6.28%7.57B
6.58%7.49B
Total assets
-0.34%14.24B
-0.34%14.24B
1.78%14.36B
3.03%14.17B
4.32%14.35B
-4.28%14.29B
-4.28%14.29B
3.16%14.11B
-0.15%13.75B
-0.76%13.75B
Liabilities
Current liabilities
Payables
4.31%750M
4.31%750M
-5.83%501M
-3.45%699M
-4.80%833M
-2.31%719M
-2.31%719M
16.41%532M
11.21%724M
25.54%875M
-accounts payable
5.35%433M
5.35%433M
4.12%404M
-9.48%420M
-4.48%405M
1.48%411M
1.48%411M
4.02%388M
7.91%464M
5.47%424M
-Total tax payable
-15.45%93M
-15.45%93M
-32.64%97M
-5.75%82M
-16.97%230M
-29.94%110M
-29.94%110M
71.43%144M
27.94%87M
95.07%277M
-Dividends payable
13.13%224M
13.13%224M
--0
13.87%197M
13.79%198M
13.79%198M
13.79%198M
--0
13.07%173M
13.73%174M
Current accrued expenses
9.22%746M
9.22%746M
4.62%725M
2.18%704M
-1.43%691M
0.15%683M
0.15%683M
2.06%693M
-1.01%689M
14.92%701M
Current debt and capital lease obligation
44,900.00%1.35B
44,900.00%1.35B
----
----
700.00%24M
-99.78%3M
-99.78%3M
-99.85%2M
-99.85%2M
-99.78%3M
-Current debt
44,900.00%1.35B
44,900.00%1.35B
----
----
700.00%24M
-99.78%3M
-99.78%3M
-99.85%2M
-99.85%2M
-99.78%3M
Other current liabilities
22.55%125M
22.55%125M
45.36%141M
10.28%118M
-14.42%89M
5.15%102M
5.15%102M
-27.61%97M
-6.96%107M
5.05%104M
Current liabilities
80.62%3.41B
80.62%3.41B
5.85%1.7B
1.58%1.8B
-0.31%1.91B
-40.35%1.89B
-40.35%1.89B
-44.17%1.61B
-42.02%1.77B
-36.88%1.92B
Non current liabilities
Long term debt and capital lease obligation
-20.11%5.39B
-20.11%5.39B
0.18%6.76B
0.01%6.74B
0.10%6.75B
0.21%6.75B
0.21%6.75B
24.96%6.74B
25.29%6.74B
25.12%6.74B
-Long term debt
-20.48%5.22B
-20.48%5.22B
0.34%6.57B
0.12%6.56B
0.05%6.56B
0.18%6.56B
0.18%6.56B
25.76%6.55B
25.55%6.56B
25.46%6.56B
-Long term capital lease obligation
-7.45%174M
-7.45%174M
-5.24%181M
-3.72%181M
2.22%184M
1.08%188M
1.08%188M
2.69%191M
16.77%188M
13.92%180M
Non current deferred liabilities
14.38%167M
14.38%167M
7.50%172M
44.63%175M
3.82%136M
2.82%146M
2.82%146M
-37.50%160M
-55.84%121M
-54.36%131M
Other non current liabilities
-6.33%222M
-6.33%222M
-15.06%220M
2.30%222M
5.56%228M
9.22%237M
9.22%237M
8.37%259M
-6.87%217M
-10.37%216M
Total non current liabilities
-18.24%6.06B
-18.24%6.06B
-0.04%7.42B
0.67%7.41B
0.53%7.39B
0.69%7.41B
0.69%7.41B
21.07%7.42B
19.87%7.36B
19.13%7.35B
Total liabilities
1.85%9.47B
1.85%9.47B
1.01%9.12B
0.84%9.21B
0.36%9.3B
-11.66%9.3B
-11.66%9.3B
0.22%9.03B
-0.67%9.13B
0.66%9.26B
Shareholders'equity
Share capital
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
-common stock
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
0.00%5M
Retained earnings
16.25%11.97B
16.25%11.97B
16.43%11.81B
16.57%11.12B
18.25%10.7B
18.77%10.3B
18.77%10.3B
18.83%10.14B
19.23%9.54B
18.58%9.05B
Paid-in capital
4.32%1.18B
4.32%1.18B
4.21%1.16B
4.37%1.15B
4.36%1.13B
4.14%1.13B
4.14%1.13B
4.01%1.12B
3.68%1.1B
3.15%1.08B
Less: Treasury stock
33.02%7.45B
33.02%7.45B
28.31%6.89B
26.10%6.46B
23.32%5.93B
23.31%5.6B
23.31%5.6B
29.72%5.37B
36.11%5.13B
44.92%4.81B
Gains losses not affecting retained earnings
-12.04%-940M
-12.04%-940M
-4.55%-851M
5.59%-845M
-1.57%-841M
-2.69%-839M
-2.69%-839M
-0.62%-814M
-23.96%-895M
-17.61%-828M
Total stockholders'equity
-4.54%4.77B
-4.54%4.77B
3.07%5.23B
7.37%4.97B
12.55%5.06B
13.44%5B
13.44%5B
8.90%5.08B
0.98%4.63B
-3.52%4.49B
Noncontrolling interests
--0
--0
--0
-50.00%-6M
-100.00%-6M
-200.00%-6M
-200.00%-6M
-300.00%-4M
---4M
---3M
Total equity
-4.43%4.77B
-4.43%4.77B
3.15%5.23B
7.34%4.96B
12.49%5.05B
13.35%4.99B
13.35%4.99B
8.84%5.07B
0.90%4.62B
-3.59%4.49B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -2.65%1.99B-2.65%1.99B-2.34%1.71B-8.23%1.57B-6.27%1.97B-43.00%2.04B-43.00%2.04B-30.04%1.75B-35.27%1.71B-32.85%2.11B
-Cash and cash equivalents -2.65%1.99B-2.65%1.99B-2.34%1.71B-8.23%1.57B-6.27%1.97B-43.00%2.04B-43.00%2.04B-30.04%1.75B-35.27%1.71B-32.85%2.11B
Receivables 0.92%1.32B0.92%1.32B12.25%1.41B4.61%1.38B9.02%1.29B7.33%1.3B7.33%1.3B5.72%1.26B2.40%1.32B-2.95%1.19B
-Accounts receivable 0.92%1.32B0.92%1.32B12.25%1.41B4.61%1.38B9.02%1.29B7.33%1.3B7.33%1.3B5.72%1.26B2.40%1.32B-2.95%1.19B
Inventory -10.06%2.31B-10.06%2.31B-11.95%2.42B-9.22%2.45B3.43%2.65B9.34%2.56B9.34%2.56B19.15%2.74B22.49%2.7B24.60%2.56B
Restricted cash 0.00%2M0.00%2M33.33%4M-66.67%1M-50.00%2M-50.00%2M-50.00%2M-25.00%3M-25.00%3M--4M
Other current assets -13.13%377M-13.13%377M-8.57%427M5.42%467M7.06%440M18.90%434M18.90%434M-15.40%467M-11.93%443M-2.84%411M
Total current assets -5.63%5.99B-5.63%5.99B0.96%6.28B0.31%6.2B1.44%6.36B-15.49%6.34B-15.49%6.34B-5.02%6.22B-7.04%6.18B-8.31%6.27B
Non current assets
Net PPE 5.13%3.61B5.13%3.61B6.12%3.52B5.78%3.42B11.09%3.48B15.51%3.43B15.51%3.43B16.83%3.32B17.55%3.24B16.93%3.13B
-Gross PPE 3.60%6.25B3.60%6.25B5.66%6.18B5.81%6.01B11.74%6.15B14.38%6.03B14.38%6.03B15.28%5.85B14.90%5.68B14.24%5.5B
-Accumulated depreciation -1.58%-2.64B-1.58%-2.64B-5.06%-2.66B-5.84%-2.59B-12.59%-2.67B-12.93%-2.59B-12.93%-2.59B-13.31%-2.53B-11.58%-2.45B-10.88%-2.37B
Goodwill and other intangible assets -6.00%3.85B-6.00%3.85B-5.53%3.93B-0.03%3.97B0.05%4.05B-0.70%4.1B-0.70%4.1B3.71%4.16B-3.50%3.97B-1.53%4.05B
-Goodwill -1.27%2.72B-1.27%2.72B-0.65%2.74B0.92%2.74B0.77%2.76B0.47%2.76B0.47%2.76B2.60%2.76B-0.22%2.71B1.97%2.74B
-Other intangible assets -15.77%1.13B-15.77%1.13B-15.16%1.19B-2.08%1.23B-1.45%1.3B-3.04%1.34B-3.04%1.34B5.99%1.4B-9.93%1.25B-8.11%1.31B
Non current deferred assets 162.14%540M162.14%540M115.26%409M90.63%366M44.10%232M19.08%206M19.08%206M71.17%190M74.55%192M56.31%161M
Other non current assets 21.36%250M21.36%250M-0.46%215M21.39%210M58.74%227M40.14%206M40.14%206M34.16%216M17.69%173M10.85%143M
Total non current assets 3.88%8.25B3.88%8.25B2.42%8.08B5.25%7.96B6.73%7.99B7.06%7.94B7.06%7.94B10.68%7.88B6.28%7.57B6.58%7.49B
Total assets -0.34%14.24B-0.34%14.24B1.78%14.36B3.03%14.17B4.32%14.35B-4.28%14.29B-4.28%14.29B3.16%14.11B-0.15%13.75B-0.76%13.75B
Liabilities
Current liabilities
Payables 4.31%750M4.31%750M-5.83%501M-3.45%699M-4.80%833M-2.31%719M-2.31%719M16.41%532M11.21%724M25.54%875M
-accounts payable 5.35%433M5.35%433M4.12%404M-9.48%420M-4.48%405M1.48%411M1.48%411M4.02%388M7.91%464M5.47%424M
-Total tax payable -15.45%93M-15.45%93M-32.64%97M-5.75%82M-16.97%230M-29.94%110M-29.94%110M71.43%144M27.94%87M95.07%277M
-Dividends payable 13.13%224M13.13%224M--013.87%197M13.79%198M13.79%198M13.79%198M--013.07%173M13.73%174M
Current accrued expenses 9.22%746M9.22%746M4.62%725M2.18%704M-1.43%691M0.15%683M0.15%683M2.06%693M-1.01%689M14.92%701M
Current debt and capital lease obligation 44,900.00%1.35B44,900.00%1.35B--------700.00%24M-99.78%3M-99.78%3M-99.85%2M-99.85%2M-99.78%3M
-Current debt 44,900.00%1.35B44,900.00%1.35B--------700.00%24M-99.78%3M-99.78%3M-99.85%2M-99.85%2M-99.78%3M
Other current liabilities 22.55%125M22.55%125M45.36%141M10.28%118M-14.42%89M5.15%102M5.15%102M-27.61%97M-6.96%107M5.05%104M
Current liabilities 80.62%3.41B80.62%3.41B5.85%1.7B1.58%1.8B-0.31%1.91B-40.35%1.89B-40.35%1.89B-44.17%1.61B-42.02%1.77B-36.88%1.92B
Non current liabilities
Long term debt and capital lease obligation -20.11%5.39B-20.11%5.39B0.18%6.76B0.01%6.74B0.10%6.75B0.21%6.75B0.21%6.75B24.96%6.74B25.29%6.74B25.12%6.74B
-Long term debt -20.48%5.22B-20.48%5.22B0.34%6.57B0.12%6.56B0.05%6.56B0.18%6.56B0.18%6.56B25.76%6.55B25.55%6.56B25.46%6.56B
-Long term capital lease obligation -7.45%174M-7.45%174M-5.24%181M-3.72%181M2.22%184M1.08%188M1.08%188M2.69%191M16.77%188M13.92%180M
Non current deferred liabilities 14.38%167M14.38%167M7.50%172M44.63%175M3.82%136M2.82%146M2.82%146M-37.50%160M-55.84%121M-54.36%131M
Other non current liabilities -6.33%222M-6.33%222M-15.06%220M2.30%222M5.56%228M9.22%237M9.22%237M8.37%259M-6.87%217M-10.37%216M
Total non current liabilities -18.24%6.06B-18.24%6.06B-0.04%7.42B0.67%7.41B0.53%7.39B0.69%7.41B0.69%7.41B21.07%7.42B19.87%7.36B19.13%7.35B
Total liabilities 1.85%9.47B1.85%9.47B1.01%9.12B0.84%9.21B0.36%9.3B-11.66%9.3B-11.66%9.3B0.22%9.03B-0.67%9.13B0.66%9.26B
Shareholders'equity
Share capital 0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M
-common stock 0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M0.00%5M
Retained earnings 16.25%11.97B16.25%11.97B16.43%11.81B16.57%11.12B18.25%10.7B18.77%10.3B18.77%10.3B18.83%10.14B19.23%9.54B18.58%9.05B
Paid-in capital 4.32%1.18B4.32%1.18B4.21%1.16B4.37%1.15B4.36%1.13B4.14%1.13B4.14%1.13B4.01%1.12B3.68%1.1B3.15%1.08B
Less: Treasury stock 33.02%7.45B33.02%7.45B28.31%6.89B26.10%6.46B23.32%5.93B23.31%5.6B23.31%5.6B29.72%5.37B36.11%5.13B44.92%4.81B
Gains losses not affecting retained earnings -12.04%-940M-12.04%-940M-4.55%-851M5.59%-845M-1.57%-841M-2.69%-839M-2.69%-839M-0.62%-814M-23.96%-895M-17.61%-828M
Total stockholders'equity -4.54%4.77B-4.54%4.77B3.07%5.23B7.37%4.97B12.55%5.06B13.44%5B13.44%5B8.90%5.08B0.98%4.63B-3.52%4.49B
Noncontrolling interests --0--0--0-50.00%-6M-100.00%-6M-200.00%-6M-200.00%-6M-300.00%-4M---4M---3M
Total equity -4.43%4.77B-4.43%4.77B3.15%5.23B7.34%4.96B12.49%5.05B13.35%4.99B13.35%4.99B8.84%5.07B0.90%4.62B-3.59%4.49B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------