Vanda Pharmaceuticals Inc.
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Vanda Pharmaceuticals Inc. (VNDA)

Solvency & Capital Structure

Total Debt

$13.1M

Net Debt

-$189.2M

Vanda Pharmaceuticals Inc. currently has $13.1M in total debt. Net debt is -$189.2M after cash offsets. This 'Net Cash' position indicates exceptional financial strength.

Financial Fundamentals

VNDAQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-03-310.010.20-0.19Net Cash0.433.0%
2025-12-310.010.26-0.25Net Cash0.492.6%
2025-09-300.010.29-0.28Net Cash0.601.8%
2025-06-300.010.33-0.31Net Cash0.621.9%
2025-03-310.010.34-0.33Net Cash0.631.9%
2024-12-310.010.37-0.36Net Cash0.661.9%
2024-09-300.010.38-0.37Net Cash0.651.2%
2024-06-300.010.39-0.38Net Cash0.651.3%
2024-03-310.010.39-0.39Net Cash0.651.4%
2023-12-310.010.39-0.38Net Cash0.651.5%
2023-09-300.010.49-0.48Net Cash0.641.5%
2023-06-300.010.49-0.48Net Cash0.641.6%
2023-03-310.010.50-0.49Net Cash0.641.7%
2022-12-310.010.47-0.46Net Cash0.631.8%
2022-09-300.010.45-0.44Net Cash0.621.8%
2022-06-300.010.44-0.43Net Cash0.611.9%
2022-03-310.010.44-0.42Net Cash0.602.0%
2021-12-310.010.43-0.42Net Cash0.592.1%
2021-09-300.010.41-0.39Net Cash0.582.2%
2021-06-300.010.40-0.38Net Cash0.572.3%
2021-03-310.010.38-0.36Net Cash0.542.4%
2020-12-310.010.37-0.35Net Cash0.532.6%
2020-09-300.010.35-0.34Net Cash0.522.6%
2020-06-300.010.34-0.33Net Cash0.512.7%
2020-03-310.010.31-0.30Net Cash0.492.9%
2019-12-310.010.31-0.30Net Cash0.483.0%
2019-09-300.010.24-0.22Net Cash0.473.1%
2019-06-300.020.28-0.26Net Cash0.374.1%
2019-03-310.010.27-0.25Net Cash0.353.8%
2018-12-310.000.26-0.26Net Cash0.330.0%
2018-09-300.000.24-0.24Net Cash0.310.0%
2018-06-300.000.23-0.23Net Cash0.300.0%
2018-03-310.000.25-0.25Net Cash0.320.0%
2017-12-310.000.14-0.14Net Cash0.210.0%
2017-09-300.000.14-0.14Net Cash0.210.0%
2017-06-300.000.14-0.14Net Cash0.210.0%
2017-03-310.000.14-0.14Net Cash0.200.0%
2016-12-310.000.14-0.14Net Cash0.210.0%
2016-09-300.000.14-0.14Net Cash0.210.0%
2016-06-300.000.14-0.14Net Cash0.200.0%
2016-03-310.000.14-0.14Net Cash0.210.0%
2015-12-310.000.14-0.14Net Cash0.210.0%
2015-09-300.000.14-0.14Net Cash0.220.0%
2015-06-300.000.15-0.15Net Cash0.220.0%
2015-03-310.000.13-0.13Net Cash0.210.0%
2014-12-310.000.13-0.13Net Cash0.170.0%
2014-09-300.000.06-0.06Net Cash0.080.0%
2014-06-300.000.06-0.06Net Cash0.090.0%
2014-03-310.000.10-0.10Net Cash0.120.0%
2013-12-310.000.13-0.13Net Cash0.140.0%
2013-09-300.000.14-0.14Net Cash0.160.0%
2013-06-300.000.10-0.10Net Cash0.120.0%
2013-03-310.000.11-0.11Net Cash0.130.0%
2012-12-310.000.12-0.12Net Cash0.140.0%
2012-09-300.000.13-0.13Net Cash0.150.0%
2012-06-300.000.14-0.14Net Cash0.160.0%
2012-03-310.000.16-0.16Net Cash0.170.0%
2011-12-310.000.15-0.15Net Cash0.180.0%
2011-09-300.000.16-0.16Net Cash0.200.0%
2011-06-300.000.19-0.19Net Cash0.200.0%
2011-03-310.000.19-0.19Net Cash0.210.0%
2010-12-310.000.20-0.20Net Cash0.210.0%
2010-09-300.000.20-0.20Net Cash0.220.0%
2010-06-300.000.21-0.21Net Cash0.220.0%
2010-03-310.000.20-0.20Net Cash0.230.0%
2009-12-310.000.21-0.21Net Cash0.230.0%
2009-09-300.000.02-0.02Net Cash0.040.0%
2009-06-300.000.03-0.03Net Cash0.050.0%
2009-03-310.000.04-0.04Net Cash0.050.0%
2008-12-310.000.05-0.05Net Cash0.050.0%
2008-09-300.000.05-0.05Net Cash0.060.0%
2008-06-300.000.06-0.06Net Cash0.070.0%
2008-03-310.000.07-0.07Net Cash0.080.0%
2007-12-310.000.09-0.09Net Cash0.100.0%
2007-09-300.000.11-0.11Net Cash0.110.0%
2007-06-300.000.12-0.12Net Cash0.130.0%
2007-03-310.000.13-0.13Net Cash0.130.0%
2006-12-310.000.03-0.03Net Cash0.040.0%
2006-09-300.000.04-0.04Net Cash0.050.0%
2006-06-300.000.06-0.06Net Cash0.060.1%
2006-03-310.000.02-0.02Net Cash0.030.4%
2005-12-310.000.03-0.03Net Cash0.040.4%