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Express Scripts Holding Co.  (ESRX)
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Suppliers by ESRX's Divisions

(Most recent Quarter in Millions of $)


COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Express Scripts Holding Co. ESRX Total 24,769.4 625.9 2.53 %
Abbvie Inc. ABBV Total 14,583.0 928.0 6.36 %
Amerisourcebergen Corp ABC Total 60,064.6 363.2 0.6 %
Abbott Laboratories ABT Diagnostics 1,156.0 307.0 26.56 %
Abbott Laboratories ABT Total 11,257.0 2,018.0 17.93 %
Enact Holdings Inc. ACT Total 273.5 204.7 74.85 %
Aflac Incorporated AFL Total 5,400.0 1,388.0 25.7 %
Allergan plc AGN Total 3,604.4 379.0 10.51 %
Agile Therapeutics Inc AGRX Total 2.1 -12.2 -
Assurant Inc. AIZ Health 572.2 -144.4 -
Alexion Pharmaceuticals Inc ALXN Total 1,636.5 489.2 29.89 %
American National Group Inc ANAT Total 946.1 110.2 11.65 %
Bard C R Inc BCR Total 3,049.5 667.5 21.89 %
Becton Dickinson And Company BDX Diagnostic Systems 302.0 0.0 -
Biogen Inc. BIIB Total 2,589.1 1,058.7 40.89 %
Bristol myers Squibb Company BMY Total 11,887.0 1,429.0 12.02 %
Beneficial Bancorp Inc. BNCL Total 52.9 12.3 23.15 %
Boston Scientific Corporation BSX Total 3,244.0 260.0 8.01 %
Cardinal Health Inc. CAH Pharmaceutical 24,675.0 534.0 2.16 %
Cardinal Health Inc. CAH Medical 2,855.0 103.0 3.61 %
Celgene Corp CELG Total 4,520.0 1,691.0 37.41 %
Cigna Corporation CI Health Care 8,090.0 544.0 6.72 %
Centene Corporation CNC Total 35,936.0 -171.0 -
Cno Financial Group Inc. CNO Total 855.0 136.1 15.92 %
Coastway Bancorp, Inc. CWAY Total 6.5 0.4 6.84 %
Quest Diagnostics Inc DGX Total 2,453.0 250.0 10.19 %
Danaher Corporation DHR Medical Technologies 1,002.8 126.4 12.6 %
Edwards Lifesciences Corporation EW Total 1,373.9 406.4 29.58 %
Futu Holdings Ltd FUTU Total 912.3 360.3 39.5 %
Gilead Sciences Inc. GILD Total 6,260.0 1,135.0 18.13 %
Glaxosmithkline Plc GSK Total 34,114.0 5,096.0 14.94 %
Triple s Management Corporation GTS Total 1,049.3 8.2 0.78 %
Humana Inc HUM Total 23,662.0 697.0 2.95 %
Investors Heritage Capital Corp IHRC Total 15.9 0.8 4.75 %
Johnson and Johnson JNJ Total Pharmaceutical 7,946.0 4,543.0 57.17 %
Johnson and Johnson JNJ Med. Dev. & Diag. 6,358.0 3,013.0 47.39 %
Kimberly clark Corporation KMB Business-to-Business 822.0 145.0 17.64 %
Laboratory Corporation Of America Holdings LH Total 3,696.9 358.9 9.71 %
Eli Lilly And Company LLY Total 6,488.0 952.5 14.68 %
Lsb Industries Inc. LXU Total 284.8 103.4 36.31 %
Mckesson Corporation MCK Pharmaceutical Solutions 46,469.0 926.0 1.99 %
Mckesson Corporation MCK Medical-Surgical Solutions 1,571.0 0.0 -
Medtronic Plc MDT SURGICAL TECHNOLOGIES 410.0 0.0 -
Metlife Inc. MET INTERNATIONAL 3,187.0 333.0 10.45 %
Molina Healthcare Inc. MOH Total 8,054.0 248.0 3.08 %
Merck and Co. Inc. MRK Total 14,593.0 3,949.0 27.06 %
Mylan N v MYL Total 2,972.1 185.7 6.25 %
Optimizerx Corp OPRX Total 14.0 -3.9 -
Pfizer Inc PFE Total 27,742.0 9,911.0 35.73 %
Principal Financial Group inc PFG Life & Health Insurance 853.6 114.5 13.41 %
Provident Bancorp Inc. PVBC Total 19.2 5.6 29.34 %
P10 Inc. PX Total 46.7 11.2 23.86 %
Security National Financial Corporation SNFCA Total 95.6 3.6 3.74 %
Thermo Fisher Scientific Inc. TMO Laboratory Sciences 1,638.2 249.6 15.24 %
Trupanion Inc. TRUP Total 219.4 -13.6 -
Unitedhealth Group Incorporated UNH Total 80,332.0 5,199.0 6.47 %
Varian Medical Systems Inc VAR Total 778.8 96.8 12.43 %
Wellcare Health Plans inc WCG Total 7,140.2 241.0 3.38 %
APROX. MARKET   SUBTOTAL 490,132 50,948 10.39 %





       
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