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Amgen Inc   (AMGN)
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Suppliers by AMGN's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN EPOGEN TM 978.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
Veeva Systems Inc. VEEV Total 534.2 90.6 16.96 %
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 3,073 285 9.29 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Aranesp TM-U.S. 215.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 2,539 195 7.67 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Aranesp TM-International 321.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 2,539 195 7.67 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN NEUPOGEN TM-U.S. 268.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
APROX. MARKET   SUBTOTAL 2,454 191 7.78 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN NEUPOGEN TM-International 64.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
APROX. MARKET   SUBTOTAL 2,454 191 7.78 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN NeulastaTM-U.S. 794.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
APROX. MARKET   SUBTOTAL 2,454 191 7.78 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN NeulastaTM-International 285.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
APROX. MARKET   SUBTOTAL 2,454 191 7.78 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN ENBREL TM-U.S. 991.0 0.0 -
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 85 4 4.65 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN ENBREL TM-International 67.0 0.0 -
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 85 4 4.65 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Other product sales 0.0 0.0 -
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 85 4 4.65 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Sensipar TM 0.0 0.0 -
Avery Dennison Corporation AVY Vancive Medical Technologies 18.1 -1.4 -
Stericycle Inc. SRCL Regulated medical waste management 688.3 0.0 -
Darling Ingredients Inc DAR Total 1,747.6 192.3 11 %
APROX. MARKET   SUBTOTAL 2,454 191 7.78 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Total 0.0 2,143.0 -
Corning Inc GLW Life sciences 211.0 18.0 8.53 %
Dow Inc DOW Performance Chemicals 3,142.0 540.0 17.19 %
Eastman Chemical Co EMN PCI Segment 732.0 104.0 14.21 %
Piedmont Lithium Inc PLL BioPharmaceuticals 286.0 0.0 -
Thermo Fisher Scientific Inc TMO Life & Laboratory Sciences 1,640.9 236.4 14.41 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
Air Products And Chemicals Inc APD Merchant Gases 1,085.6 185.5 17.09 %
Fmc Corporation FMC Specialty Chemicals 226.3 44.0 19.44 %
Danaher Corporation DHR Life Sciences & Diagnostics 1,997.6 214.8 10.75 %
Ashland Inc ASH Specialty Ingredients 579.0 75.0 12.95 %
Eastman Chemical Co EMN Adhesives & Plasticizers 305.0 74.0 24.26 %
Thermo Fisher Scientific Inc TMO Life Sciences Solutions 1,080.4 332.7 30.79 %
Air Products And Chemicals Inc APD Industrial Gases 1,880.0 402.2 21.39 %
First Business Financial Services Inc FBIZ Total 34.1 10.8 31.78 %
Fidelity D and D Bancorp Inc FDBC Total 21.9 7.7 35.12 %
F and m Bank Corp FMBM Total 11.1 2.3 20.67 %
Fncb Bancorp Inc FNCB Total 15.6 5.4 34.91 %
Franklin Financial Services Corporation FRAF Total 17.7 4.6 26.13 %
First National Corp FXNC Total 14.6 4.5 30.6 %
Hills Bancorporation HBIA Total 37.2 13.7 36.94 %
County Bancorp Inc ICBK Total 14.6 4.1 28.18 %
Isabella Bank Corp ISBA Total 19.0 5.9 30.92 %
Juniata Valley Financial Corp JUVF Total 7.5 1.7 22.07 %
National Bank Holdings Corp NBHC Total 73.8 15.8 21.47 %
New Peoples Bankshares Inc NWPP Total 9.2 2.0 21.67 %
Prosperity Bancshares Inc PB Total 295.4 135.8 45.98 %
Prime Meridian Holding Co PMHG Total 7.8 2.8 36.09 %
Smartfinancial Inc SMBK Total 42.0 11.5 27.49 %
Sunnyside Bancorp Inc SNNY Total 0.6 0.0 -
Uwharrie Capital Corp UWHR Total 11.0 2.8 25.77 %
Washington Trust Bancorp Inc WASH Total 57.0 18.7 32.73 %
Wilson Bank Holding Co WBHC Total 43.5 15.2 34.94 %
Wsfs Financial Corporation WSFS Total 232.0 73.3 31.61 %
Investors Bancorp Inc ISBC Total 239.4 94.3 39.4 %
United Guardian Inc UG Total 2.4 0.3 14.3 %
Clearwater Paper Corporation CLW Total 538.8 60.1 11.15 %
Cryoport inc CYRX Total 60.5 -7.3 -
Albemarle Corporation ALB Total 2,091.8 931.2 44.52 %
Huntsman Corporation HUN Total 2,011.0 115.0 5.72 %
Quaker Chemical Corporation KWR Total 492.2 25.9 5.26 %
Westlake Corporation WLK Total 3,956.0 412.0 10.41 %
Westlake Chemical Partners Lp WLKP Total 415.1 78.3 18.86 %
Barnes Group Inc B Total 314.7 17.0 5.39 %
Trecora Resources TREC Total 83.2 -0.4 -
Egain Corporation EGAN Total 24.8 0.0 -
Liveperson Inc LPSN Total 129.6 -43.2 -
Veeva Systems Inc. VEEV Total 534.2 90.6 16.96 %
Photronics Inc. PLAB Total 219.9 49.2 22.38 %
Sprinklr Inc. CXM Total 150.6 -23.9 -
Hello Group Inc MOMO Total 2,287.2 -459.1 -
Red Violet Inc RDVT Total 15.0 2.3 15.03 %
APROX. MARKET   SUBTOTAL 28,194 3,987 14.14 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Aranesp 493.0 0.0 -
Cryoport inc CYRX Total 60.5 -7.3 -
Veeva Systems Inc. VEEV Total 534.2 90.6 16.96 %
APROX. MARKET   SUBTOTAL 595 83 14 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN NEUPOGEN 284.0 0.0 -
Veeva Systems Inc. VEEV Total 534.2 90.6 16.96 %
APROX. MARKET   SUBTOTAL 534 91 16.96 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN Neulasta 2,323.0 0.0 -
Cryoport inc CYRX Total 60.5 -7.3 -
Veeva Systems Inc. VEEV Total 534.2 90.6 16.96 %
APROX. MARKET   SUBTOTAL 595 83 14 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Amgen Inc AMGN ENBREL 1,459.0 0.0 -
Veeva Systems Inc. VEEV Total 534.2 90.6 16.96 %
Certara inc CERT Total 84.7 3.9 4.65 %
APROX. MARKET   SUBTOTAL 619 95 15.27 %





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