BackPharming Group N.V. Overview

Pharming Group N.V. Current Cash

Pharming Group N.V.'s current cash is $160M.

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Current Cash
$158.28M
66.93% YoYΔ $63.46M vs prior year quarter

Peer trimmed avg / median

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Pharming Group N.V. Current Cash History

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Pharming Group N.V. vs. peers: Current Cash Comparison

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Pharming Group N.V. Cash Growth (YoY per quarter)

Latest change versus the prior comparable period (same company).

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Pharming Group N.V. (PHAR) FAQ

Pharming Group N.V. posts a current cash of $160M as of June 2026. That compares with $95M in the prior-year period — up 66.9% year over year. Comparing that reading with peers and prior periods is usually more useful than looking at the number in isolation.

In the prior comparable period, Pharming Group N.V.'s current cash was $95M. The latest reading is $160M — a 66.9% year-over-year increase (period ending June 2026). Use the history and growth charts on this page for a longer lookback.

Current Cash is one piece of Pharming Group N.V.'s financial statement story. At $160M, it should be interpreted next to related metrics — for example revenue with costs, assets with liabilities, or income with margins. Stockcircle links those related pages so you can move from this number to the surrounding context quickly.

Context for PHAR's current cash usually means three checks: (1) trend versus prior periods, (2) level versus peers, and (3) consistency with growth and profitability. This page covers the first two; Pharming Group N.V.'s other metric pages and overview cover the third.

Judging Pharming Group N.V. against Healthcare peers is usually better than using a market-wide rule of thumb. Business models inside Healthcare are more comparable, which makes gaps in current cash easier to interpret. Start with $160M here, then scan peer and history charts to see if the gap is persistent.