AbbVie Corporate Bonds and Current Financial Leverage

ABBV -- USA Stock  

USD 92.26  0.42  0.45%

AbbVie financial leverage is the degree to which the firm utilises its fixed-income securities. Companies with high leverage are usually considered to be at financial risk. AbbVie financial risk is the risk to AbbVie stockholders that is caused by an increase in debt. In other words with a high degree of financial leverage come high interest payments which usually reduces Earnings Per Share (EPS). Check also analysis of AbbVie Fundamentals Over Time.

AbbVie Financial Leverage Rating

Total Macroaxis Rating
Average S&P Rating

AbbVie Debt to Cash Allocation

The company currently holds 37.75 B in liabilities. AbbVie has Current Ratio of 0.78 indicating that it has a negative working capital and may not be able to pay financial obligations when they are due.

AbbVie Accumulated Other Comprehensive Income Over Time

Piotroski F Score   
7  Strong

AbbVie Corporate Bonds Issued

Issue DateMaturityCouponRef CouponS&P Rating
00287YAG4 1.2%08/06/201311/06/20151.20.0
00287YAJ8 1.75%08/06/201311/06/20171.750.875
00287YAK5 2.0%08/06/201311/06/20182.00.875
00287YAL3 2.9%08/06/201311/06/20222.92.0
00287YAM1 4.4%08/06/201311/06/20424.43.0
00287YAN9 1.8%05/14/201505/14/20181.81.0
00287YAP4 3.2%05/14/201511/06/20223.22.125
00287YAQ2 3.6%05/14/201505/14/20253.62.125
00287YAR0 4.5%05/14/201505/14/20354.53.0
00287YAS8 4.7%05/14/201505/14/20454.73.0
00287YAT6 2.5%05/14/201505/14/20202.51.375

AbbVie Historical Liabilities

Total Debt

AbbVie Historical Debt Patterns

Total Debt

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AbbVie Pair Correlation

Equities Pair Trading Analysis

Correlation analysis and pair trading evaluation for AbbVie and AstraZeneca PLC. Pair trading can be used as a hedging technique within a particular sector or industry or even over random equities to generate better risk-adjusted return
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Check also analysis of AbbVie Fundamentals Over Time. Please also try Portfolio Backtesting module to avoid under-diversification and over-optimization by backtesting your portfolios.