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Pharming Group N.V. (PHAR) 10-Year Financial Performance & Capital Metrics

PHAR • • Industrial / General
HealthcareBiotechnologyRare Genetic DiseasesGene Therapy & Rare Diseases
AboutPharming Group N.V., a biopharmaceutical company, develops and commercialize protein replacement therapies and precision medicines for the treatment of rare diseases and unmet medical needs in the United States, Europe, and internationally. The company's lead product is Ruconest, a recombinant human C1 esterase inhibitor that is used for the treatment of acute hereditary angioedema. It also engages in the development of rhC1INH for the treatment of pre-eclampsia, acute kidney injury, and COVID-19; leniolisib, a phosphoinositide 3-kinase delta (PI3K delta) to treat patients with activated PI3K delta syndrome; and alpha-glucosidase therapy for the treatment of pompe and fabry diseases. The company has a development collaboration and license agreement with Novartis; and a strategic collaboration agreement with Orchard Therapeutics plc for research, development, manufacturing, and commercialization of OTL-105, an investigational ex-vivo autologous hematopoietic stem cell gene therapy for the treatment of hereditary angioedema. Pharming Group N.V. is headquartered in Leiden, the Netherlands.Show more
  • Revenue $297M +21.1%
  • EBITDA $7M -29.3%
  • Net Income -$12M -12.3%
  • EPS (Diluted) -0.17 -21.4%
  • Gross Margin 88.09% -1.8%
  • EBITDA Margin 2.51% -41.7%
  • Operating Margin -2.9% -32.1%
  • Net Margin -3.98% +7.3%
  • ROE -5.38% -8.1%
  • ROIC -2.13% -29.9%
  • Debt/Equity 0.51 -35.2%
  • Interest Coverage -0.99 -9.2%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Momentum leader: RS Rating 88 (top 12%)
  • ✓Trading near 52-week high

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Negative free cash flow
  • ✗Low quality earnings: Net income not backed by cash flow

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y27.7%
5Y9.43%
3Y14.33%
TTM26.81%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM102.15%

EPS CAGR

10Y-
5Y-
3Y-
TTM103.76%

ROCE

10Y Avg9.7%
5Y Avg8.35%
3Y Avg0.41%
Latest-2.42%

Peer Comparison

Gene Therapy & Rare Diseases
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
KRYSKrystal Biotech, Inc.8.18B282.0194.00473.02%53.3%17.48%1.46%0.01
BMRNBioMarin Pharmaceutical Inc.10.58B55.0724.9217.97%16.82%8.59%4.49%0.11
SRPTSarepta Therapeutics, Inc.2.23B21.319.1152.97%-11.25%-20.57%0.88
RAREUltragenyx Pharmaceutical Inc.2.27B23.50-3.7429.01%-91.95%-35.88%0.15
DYNDyne Therapeutics, Inc.2.7B16.42-4.87-61.26%0.04
TVTXTravere Therapeutics, Inc.2.54B28.40-6.9660.55%-20.32%-120.36%6.80
BEAMBeam Therapeutics Inc.3.25B32.05-7.00-83.18%-7.44%-42.92%0.22
SLNOSoleno Therapeutics, Inc.2.25B41.95-9.58-79.5%-15.85%0.22

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+11.84M16.69M107.52M154.58M189.39M212.17M198.87M205.62M245.32M297.2M
Revenue Growth %-0.54%0.41%5.44%0.44%0.23%0.12%-0.06%0.03%0.19%0.21%
Cost of Goods Sold+5.25M4.93M14.93M25.37M23.93M23.54M21.14M17.56M25.21M35.4M
COGS % of Revenue0.44%0.3%0.14%0.16%0.13%0.11%0.11%0.09%0.1%0.12%
Gross Profit+6.59M11.77M92.59M129.2M165.46M188.63M177.73M188.06M220.1M261.8M
Gross Margin %0.56%0.7%0.86%0.84%0.87%0.89%0.89%0.91%0.9%0.88%
Gross Profit Growth %-0.69%0.79%6.87%0.4%0.28%0.14%-0.06%0.06%0.17%0.19%
Operating Expenses+20.62M23.91M66.3M85.74M97.22M112.38M164.17M169.83M225.49M270.42M
OpEx % of Revenue1.74%1.43%0.62%0.55%0.51%0.53%0.83%0.83%0.92%0.91%
Selling, General & Admin5.28M8.07M44.86M53.49M55.88M65M48.13M68.85M87.5M99.22M
SG&A % of Revenue0.45%0.48%0.42%0.35%0.3%0.31%0.24%0.33%0.36%0.33%
Research & Development15.5M16.18M22.38M33.04M31.79M38.52M70.37M52.53M68.91M83.15M
R&D % of Revenue1.31%0.97%0.21%0.21%0.17%0.18%0.35%0.26%0.28%0.28%
Other Operating Expenses-147K-335K-790K-684K9.55M8.86M45.67M48.44M69.08M88.06M
Operating Income+-14.03M-12.14M26.29M43.46M68.25M76.26M13.56M18.23M-5.39M-8.62M
Operating Margin %-1.19%-0.73%0.24%0.28%0.36%0.36%0.07%0.09%-0.02%-0.03%
Operating Income Growth %-5.01%0.14%3.17%0.65%0.57%0.12%-0.82%0.34%-1.3%-0.6%
EBITDA+-14.75M-11.34M30.38M50.96M74.05M84.57M33.17M31.42M10.54M7.45M
EBITDA Margin %-1.25%-0.68%0.28%0.33%0.39%0.4%0.17%0.15%0.04%0.03%
EBITDA Growth %-4.97%0.23%3.68%0.68%0.45%0.14%-0.61%-0.05%-0.66%-0.29%
D&A (Non-Cash Add-back)-716.11K795.09K4.1M7.5M5.8M8.31M19.61M13.19M15.93M16.07M
EBIT-9.9M-14.67M-80.43M17.35M65.66M50.04M29.17M20.34M-6.05M245K
Net Interest Income+-851.68K-6.38M-56.53M-16.35M-12.22M-5.3M-6.12M-5.27M-2.44M-3.02M
Interest Income130.1K5.26K3.6K20.59K1.13M715K52.92K85K3.53M5.72M
Interest Expense981.78K3.77M21.28M16.37M13.35M5.94M6.18M5.36M5.96M8.74M
Other Income/Expense4.07M-6.31M-129.09M-37.01M-15.94M-32.16M9.52M-3.25M-6.63M129K
Pretax Income+-10.89M-18.44M-107.25M980.32K52.3M44.09M23.08M14.99M-12.01M-8.49M
Pretax Margin %-0.92%-1.1%-1%0.01%0.28%0.21%0.12%0.07%-0.05%-0.03%
Income Tax+851.68K0-11.33M-27.61M11.75M6.35M7.08M1.31M-1.46M3.35M
Effective Tax Rate %1%1%0.89%29.16%0.78%0.86%0.69%0.91%0.88%1.39%
Net Income+-10.89M-18.44M-95.92M28.59M40.56M37.75M16M13.67M-10.55M-11.84M
Net Margin %-0.92%-1.1%-0.89%0.18%0.21%0.18%0.08%0.07%-0.04%-0.04%
Net Income Growth %-0.55%-0.69%-4.2%1.3%0.42%-0.07%-0.58%-0.15%-1.77%-0.12%
Net Income (Continuing)-10.89M-18.44M-91.47M28.59M40.56M37.75M16M13.67M-10.55M-11.84M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-0.22-0.35-1.540.350.480.470.180.16-0.14-0.17
EPS Growth %-0.57%-0.59%-3.4%1.23%0.37%-0.02%-0.62%-0.11%-1.88%-0.21%
EPS (Basic)-0.22-0.35-1.540.350.520.470.200.17-0.14-0.17
Diluted Shares Outstanding51.09M51.92M62.55M81.69M84.19M80.98M87.64M84.28M65.7M68.92M
Basic Shares Outstanding51.09M51.92M62.55M81.69M84.19M79.88M87.64M82.54M65.7M68.92M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+55.86M65.41M105.87M132.05M119.44M215.47M249.44M277.5M316.34M278.44M
Cash & Short-Term Investments34.6M33.54M70.37M91.87M74.35M167.94M191.92M207.34M213.42M167.89M
Cash Only34.6M33.54M70.37M91.87M74.35M167.94M191.92M207.34M61.74M54.94M
Short-Term Investments00000000151.68M112.95M
Accounts Receivable3.27M11.97M12.22M18.3M28.86M19.25M27.59M25.33M42.62M50.17M
Days Sales Outstanding100.89261.8241.4743.2255.6333.1150.6444.9763.4161.62
Inventory17.74M18.87M22M19.81M16.22M17.32M27.31M42.33M56.76M55.72M
Days Inventory Outstanding1.23K1.4K537.72284.94247.47268.55471.49879.68821.73574.57
Other Current Assets227K974K1.29M1.81M-2.28M7.67M227K213K00
Total Non-Current Assets+7.2M67.93M93.5M113.39M136.48M127.08M147.87M148.3M146.51M121.55M
Property, Plant & Equipment6.19M6.36M9.88M9.61M16.3M17.73M33.16M39.15M33.47M23.3M
Fixed Asset Turnover1.91x2.63x10.88x16.08x11.62x11.97x6.00x5.25x7.33x12.76x
Goodwill0000000000
Intangible Assets791.55K59.61M67.94M59.98M79.4M72.55M83.83M75.12M71.27M61.04M
Long-Term Investments002.75M2.29M6.18M5.83M8.65M9.73M10.4M4.23M
Other Non-Current Assets218.66K1.97M1.6M1.38M2.54M30.98M1.01M1.33M1.62M2.43M
Total Assets+63.06M133.34M199.38M245.45M255.91M342.55M397.31M425.8M462.85M399.99M
Asset Turnover0.19x0.13x0.54x0.63x0.74x0.62x0.50x0.48x0.53x0.74x
Asset Growth %-0.07%1.11%0.5%0.23%0.04%0.34%0.16%0.07%0.09%-0.14%
Total Current Liabilities+14.73M54.03M70.22M94.49M114.25M62.91M46.77M59.7M77.97M73.8M
Accounts Payable1.11M5.94M11.31M7.6M40.65M11.03M7.6M8.75M16.02M10.1M
Days Payables Outstanding77.26440.53276.57109.3620.02170.99131.19181.92231.95104.17
Short-Term Debt3.05M26.14M26.87M40.31M51.13M1.67M1.88M1.77M1.82M4.25M
Deferred Revenue (Current)1000K991.75K964.56K915.12K000000
Other Current Liabilities7.97M20.98M35.29M46.32M-10.55M21.26M0003.28M
Current Ratio3.79x1.21x1.51x1.40x1.05x3.43x5.33x4.65x4.06x3.77x
Quick Ratio2.59x0.86x1.19x1.19x0.90x3.15x4.75x3.94x3.33x3.02x
Cash Conversion Cycle1.26K1.22K302.62218.86-316.92130.67390.93742.73653.18532.02
Total Non-Current Liabilities+22.26M50.42M106.61M80.32M24.27M129.48M157.63M161.46M166.1M105.12M
Long-Term Debt11.76M42.48M70.98M42.63M0122.57M139.01M131.62M136.6M78.15M
Capital Lease Obligations798K629.97K467.88K187.6K4.89M6.74M18.46M29.84M29.51M26.97M
Deferred Tax Liabilities00099.52K000000
Other Non-Current Liabilities1.17M2.44M33.4M36.74M19.38M173.54K165K000
Total Liabilities37M104.45M176.82M174.81M138.53M192.39M204.4M221.16M244.07M178.92M
Total Debt+17.35M70.88M97.53M83.42M58.2M132.58M161.76M166.69M171.54M112.31M
Net Debt-17.25M37.34M27.16M-8.44M-16.15M-35.36M-30.16M-40.65M109.8M57.37M
Debt / Equity0.67x2.45x4.32x1.18x0.50x0.88x0.84x0.81x0.78x0.51x
Debt / EBITDA--3.21x1.64x0.79x1.57x4.88x5.31x16.28x15.08x
Net Debt / EBITDA--0.89x-0.17x-0.22x-0.42x-0.91x-1.29x10.42x7.70x
Interest Coverage-14.29x-3.22x1.24x2.65x5.11x12.83x2.20x3.40x-0.90x-0.99x
Total Equity+26.06M28.89M22.56M70.64M117.39M150.16M192.92M204.64M218.78M221.06M
Equity Growth %-0.28%0.11%-0.22%2.13%0.66%0.28%0.28%0.06%0.07%0.01%
Book Value per Share0.510.560.360.861.391.852.202.433.333.21
Total Shareholders' Equity26.06M28.89M22.56M70.64M117.39M150.16M192.92M204.64M218.78M221.06M
Common Stock4.5M4.79M6.95M7.11M7.23M5.99M7.43M7.51M7.67M7.77M
Retained Earnings-288.35M-293.45M-427.42M-381.65M-340.71M-221.85M-273.17M-256.43M-265.26M-275.49M
Treasury Stock0000000000
Accumulated OCI72.16K63.1K-1.13M1.88M8.93M03.4M-8.74M-2.06M-209K
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-17.95M-10.52M45.84M46.19M74.15M83.63M37.84M22.46M-17.3M-1.79M
Operating CF Margin %-1.52%-0.63%0.43%0.3%0.39%0.39%0.19%0.11%-0.07%-0.01%
Operating CF Growth %-1.8%0.41%5.36%0.01%0.61%0.13%-0.55%-0.41%-1.77%0.9%
Net Income-9.96M-12.14M26.29M43.46M52.3M44.09M23.08M14.99M-12.01M-8.49M
Depreciation & Amortization0795.09K4.1M7.5M5.8M8.31M19.61M13.19M15.93M16.07M
Stock-Based Compensation000006.54M9.06M6.39M9.25M11.25M
Deferred Taxes0000000000
Other Non-Cash Items-8M78.88K2.13M1.22M13.87M28.6M-8.94M-11.72M-13.51M-10.55M
Working Capital Changes0741.45K13.33M-6M2.17M-3.92M-4.96M-387K-16.96M-10.07M
Change in Receivables0000-7.8M-7.04M5.92M2.36M-18.54M-6.78M
Change in Inventory0-1.8M-471.48K1.17M4.24M-4.93M-6.15M-15.02M-14.43M-503K
Change in Payables0000000000
Cash from Investing+-981.79K-60.45M-7.25M-4.31M-28.26M-15.63M-21.3M5.32M-129.39M31.62M
Capital Expenditures-981.79K-1.59M-7.25M-4.31M-25.45M-15.3M-16.72M-1.98M-1.46M-796K
CapEx % of Revenue0.08%0.1%0.07%0.03%0.13%0.07%0.08%0.01%0.01%0%
Acquisitions----------
Investments----------
Other Investing00001K00021.28M0
Cash from Financing+15.7M70.81M-3.91M-20.55M-63.47M60.69M-27.95M-4.98M-1.04M-34.41M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing15.04M496.4K-4.62M-12.57M-29.19M-25.51M-29.45M-3.95M3M-19K
Net Change in Cash----------
Free Cash Flow+-18.94M-12.11M38.59M41.87M48.7M68.33M21.13M20.48M-18.77M-2.59M
FCF Margin %-1.6%-0.73%0.36%0.27%0.26%0.32%0.11%0.1%-0.08%-0.01%
FCF Growth %-1.87%0.36%4.19%0.09%0.16%0.4%-0.69%-0.03%-1.92%0.86%
FCF per Share-0.37-0.230.620.510.580.840.240.24-0.29-0.04
FCF Conversion (FCF/Net Income)1.65x0.57x-0.48x1.62x1.83x2.22x2.37x1.64x1.64x0.15x
Interest Paid0000000000
Taxes Paid0000000000

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-34.92%-67.12%-372.93%61.36%43.14%28.22%9.33%6.88%-4.98%-5.38%
Return on Invested Capital (ROIC)-384.93%-24.26%34.01%58.25%62.64%52.95%7.33%8.37%-1.64%-2.13%
Gross Margin55.67%70.5%86.11%83.59%87.37%88.91%89.37%91.46%89.72%88.09%
Net Margin-91.96%-110.48%-89.22%18.5%21.41%17.79%8.04%6.65%-4.3%-3.98%
Debt / Equity0.67x2.45x4.32x1.18x0.50x0.88x0.84x0.81x0.78x0.51x
Interest Coverage-14.29x-3.22x1.24x2.65x5.11x12.83x2.20x3.40x-0.90x-0.99x
FCF Conversion1.65x0.57x-0.48x1.62x1.83x2.22x2.37x1.64x1.64x0.15x
Revenue Growth-54.05%41.01%544.06%43.77%22.52%12.03%-6.27%3.39%19.3%21.15%

Revenue by Geography

20202021202220232024
UNITED STATES177.39M--239.11M287.15M
UNITED STATES Growth----20.09%
Europe7.21M4.93M4.92M--
Europe Growth--31.53%-0.18%--
Rest Of The World, Excluding US And Europe1.1M519K616K--
Rest Of The World, Excluding US And Europe Growth--52.86%18.69%--

Frequently Asked Questions

Growth & Financials

Pharming Group N.V. (PHAR) reported $362.3M in revenue for fiscal year 2024. This represents a 9220% increase from $3.9M in 2011.

Pharming Group N.V. (PHAR) grew revenue by 21.1% over the past year. This is strong growth.

Yes, Pharming Group N.V. (PHAR) is profitable, generating $0.4M in net income for fiscal year 2024 (-4.0% net margin).

Dividend & Returns

Pharming Group N.V. (PHAR) has a return on equity (ROE) of -5.4%. Negative ROE indicates the company is unprofitable.

Pharming Group N.V. (PHAR) generated $50.7M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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