Pharming Group N.V. reported a 35% revenue increase to $74.1 million in Q2 2024, with total revenues for the first half reaching $129.7 million, a 33% rise compared to the previous year. This filing also notes a decline in cash and marketable securities from $203.5 million at the end of Q1 2024 to $161.8 million by the end of Q2 2024, primarily due to convertible bond refinancing.