BioMarin Pharmaceutical Inc.
NASDAQ•BMRN
CEO: Mr. Alexander Hardy
セクター: Healthcare
業種: Biotechnology
上場日: 1999-07-26
BioMarin Pharmaceutical Inc. engages in the development and commercialization of therapies for people with serious and life-threatening rare diseases and medical conditions. Its commercial products include Vimizim, an enzyme replacement therapy for the treatment of mucopolysaccharidosis (MPS) IV type A, a lysosomal storage disorder; Naglazyme, a recombinant form of N-acetylgalactosamine 4-sulfatase for patients with MPS VI; and Kuvan, a proprietary synthetic oral form of 6R-BH4 that is used to treat patients with phenylketonuria (PKU), an inherited metabolic disease. The company's commercial products also comprise Palynziq, a PEGylated recombinant phenylalanine ammonia lyase enzyme, which is delivered through subcutaneous injection to reduce blood Phe concentrations; Brineura, a recombinant human tripeptidyl peptidase 1 for the treatment of patients with ceroid lipofuscinosis type 2, a form of Batten disease; Voxzogo, a once daily injection analog of c-type natriuretic peptide for the treatment of achondroplasia; and Aldurazyme, a purified protein designed to be identical to a naturally occurring form of the human enzyme alpha-L-iduronidase. In addition, it develops Roctavian, an adeno associated virus vector, for the treatment of patients with severe hemophilia A. The company serves specialty pharmacies, hospitals, and non-U.S. government agencies, as well as distributors and pharmaceutical wholesalers in the United States, Europe, Latin America, and internationally. It has license and collaboration agreements with Sarepta Therapeutics; Ares Trading S.A.; Catalyst Pharmaceutical Partners, Inc.; and CAMP4 Therapeutics Corporation. The company was incorporated in 1996 and is headquartered in San Rafael, California.
連絡先情報
時価総額
$11.25B
PER (TTM)
32.2
17.9
配当利回り
--
52週高値
$73.18
52週安値
$50.76
52週レンジ
順位42Top 47.5%
3.9
F-Score
改良版 Piotroski 分析
10年ファンダメンタル
弱い • 3.9 / 9 ポイント
スコアレンジ (0-9)
8-9: 価値が優れている
6-7: 基礎体質が強い
4-5: 全体的に堅調
0-3: パフォーマンスが弱い
データ期間: 2016-2025
財務ダッシュボード
Q4 2025 データ
売上高
$874.57M+0.00%
直近4四半期の推移
EPS
-$0.24+0.00%
直近4四半期の推移
フリーCF
$58.92M+0.00%
直近4四半期の推移
2025 Annual 決算ハイライト
主なハイライト
Total Revenues Reach $3.22B Total revenues hit $3.22B in 2025, up $367.4M from 2024, driven by VOXZOGO expansion across regions.
Strategic Amicus Acquisition Announced Entered agreement to acquire Amicus Therapeutics for $4.8B cash, strengthening commercial portfolio with two new therapies.
ROCTAVIAN Market Withdrawal Committed to voluntarily withdraw ROCTAVIAN due to low commercial opportunities, recording $240.0M restructuring costs.
Net Income Declines 18% Net income was $348.9M, down $78.0M versus 2024, impacted by $240.0M restructuring charges.
リスク要因
Amicus Acquisition Integration Risk Pending $4.8B Amicus acquisition may face integration difficulties, potentially delaying synergy realization or disrupting current operations.
Generic Competition Erodes KUVAN KUVAN product revenues declined $21.3M due to increasing generic competition following loss of market exclusivity.
Reimbursement Status Critical High product prices require adequate third-party payer coverage; lack of favorable status limits commercial viability and revenue.
Regulatory Approval Uncertainty Failure to obtain timely regulatory approval for candidates diminishes positive cash flow potential and increases capital needs.
見通し
Finalize Amicus Acquisition Closing Expect Amicus acquisition to close in Q2 2026, financed by cash and $3.7B debt commitment, strengthening enzyme portfolio.
Advance VOXZOGO Pipeline Studies Continue advancing VOXZOGO development across CANOPY program for hypochondroplasia and other growth disorders.
Manage Financing for Acquisition Plan to execute senior term loan facility and new revolving credit facility in 2026 to finalize Amicus transaction financing.
Portfolio Assessment Continues Periodically assess R&D programs; discontinue certain assets not meeting scientific merit or commercial success thresholds.
同業比較
売上高 (TTM)
$4.72B
$4.03B
$3.22B
粗利益率 (最新四半期)
96.1%
95.6%
92.4%
主要指標
銘柄コード | 時価総額 | PER (TTM) | ROE (TTM) | 負債比率 |
|---|---|---|---|---|
| MRNA | $20.76B | -7.3 | -30.1% | 15.5% |
| ROIV | $20.08B | -24.2 | -18.3% | 4.0% |
| RVMD | $18.80B | -15.9 | -63.1% | 6.7% |
長期トレンド
直近4四半期
売上高
純利益
営業キャッシュフロー
4四半期売上高CAGR
5.5%
安定成長
4四半期純利益CAGR
N/M
収益構造の変化
キャッシュフロー安定性
100%
優れたキャッシュフローの実績
深度リサーチ
次回決算:2026年4月29日
EPS:$0.74
|売上高:$756.70M
財務データ
決算説明会
財務レポート
ニュース
損益計算書
バランスシート
キャッシュフロー計算書
財務比率
変化率
損益計算書 | 直近12ヶ月 |
|---|
データなし