Francesco Laconi EQUITY RESEARCH
FINANCIAL MODEL

Johnson & Johnson

JNJ · all figures in $M unless noted
burgundy figures open the exact filing page they were verified against · green figures are computed — click for the formula
FY2015FY2016FY2017FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025
Income Statement
Revenue71,89076,45081,58182,05982,58493,77594,94385,15988,82194,193
Cost of Goods Sold21,78925,43927,09127,55628,42729,85531,08926,55327,47130,256
Gross Profit
SG&A20,06721,52022,54022,17822,08424,65924,76521,51222,86923,676
R&D9,14310,59410,77511,35512,15914,71414,60315,08517,23214,665
EBITDA
D&A3,7545,6426,9297,0097,2317,3906,9707,4867,3397,503
EBIT (Operating Income)20,37118,18019,79819,81419,48623,39523,38221,20720,80425,287
Interest Expense7269341,005318201183276772755971
Pre-Tax Income19,80317,67317,99917,32816,49722,77621,72515,06216,68732,581
Tax Expense3,26316,3732,7022,2091,7831,8983,7841,7362,6215,777
Net Income16,5401,30015,29715,11914,71420,87817,94113,32614,06626,804
Diluted EPS5.930.475.615.635.517.816.735.205.7911.03
Diluted Shares (M)2,788.92,745.32,728.72,684.32,670.72,674.02,663.92,560.42,429.42,429.4
Balance Sheet
Total Cash & Equivalents17,82418,10717,30513,98514,48714,12721,85924,10519,709
Short-term Debt3,9062,7961,2022,6313,76612,7713,4515,9838,495
Long-term Debt30,67527,68426,49432,63529,98526,88825,88130,65139,438
Total Debt
Net Debt
Total Current Assets43,08846,03345,27451,23760,97955,29453,49555,89355,624
Total Current Liabilities30,53731,23035,96442,49345,22655,80246,28250,32154,126
Total Assets157,303152,954157,728174,894182,018187,378167,558180,104199,210
Total Liabilities97,14393,20298,257111,616107,995110,57498,784108,614117,666
Shareholders' Equity60,16059,75259,47163,27874,02376,80468,77471,49081,544
Minority Interest
Intangibles & Goodwill85,13478,06481,28289,79581,63893,55670,73381,81899,175
PP&E17,00517,03517,65818,76618,96219,80319,89820,51823,169
Receivables13,49014,09814,48113,57615,28316,16014,87314,84217,178
Payables7,3107,5378,5449,50511,05511,7039,63210,31111,991
Inventory8,7658,5999,0209,34410,38712,48311,18112,44414,191
Retained Earnings101,793106,216110,659113,890123,060128,345153,843155,791168,978
Cash Flow
Cash from Operations18,76721,05622,20123,41623,53623,41021,19422,79124,26624,530
Capital Expenditures3,2263,2793,6703,4983,3473,6524,0094,5434,4244,832
Free Cash Flow
Stock-Based Compensation8789629789771,0051,1351,1381,1621,1761,354
Dividends Paid8,6218,9439,4949,91710,48111,03211,68211,77011,82312,381
Share Repurchases8,9796,3585,8686,7463,2213,4566,0355,0542,4325,953