bf/NYSE:PFE_icon.jpeg

NYSE:PFE

Pfizer

  • Stock

USD

Last Close

26.27

25/04 20:01

Market Cap

155.11B

Beta: 0.59

Volume Today

47.04M

Avg: 21.42M

PE Ratio

14.35

PFCF: 18.40

Dividend Yield

6.19%

Payout:87.54%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
22.07B
-
9.17B
58.46%
6.99B
23.80%
7.25B
3.72%
21.36B
194.71%
11.19B
47.61%
16.30B
45.71%
7.02B
56.93%
22.46B
219.88%
31.40B
39.81%
2.13B
93.21%
depreciation and amortization
6.41B
-
5.54B
13.62%
5.16B
6.86%
5.76B
11.63%
6.27B
8.89%
6.38B
1.83%
6.01B
5.86%
4.78B
20.52%
5.19B
8.67%
5.06B
2.45%
6.29B
24.21%
deferred income tax
1.70B
-
317M
81.39%
-18M
105.68%
-700M
3,788.89%
-2.41B
244.29%
-2.21B
8.51%
614M
127.85%
-1.47B
339.09%
-4.29B
192.44%
-3.76B
12.32%
-3.44B
8.55%
stock based compensation
523M
-
586M
12.05%
669M
14.16%
691M
3.29%
840M
21.56%
949M
12.98%
718M
24.34%
756M
5.29%
1.18B
56.35%
872M
26.23%
525M
39.79%
change in working capital
-3.39B
-
1.42B
141.95%
564M
60.37%
85M
84.93%
1.30B
1,424.71%
-926M
171.45%
-4.03B
335.31%
-275M
93.18%
12.80B
4,756%
-4.46B
134.80%
-2.17B
51.26%
accounts receivables
940M
-
148M
84.26%
21M
85.81%
-134M
738.10%
259M
293.28%
-644M
348.65%
-742M
15.22%
-1.25B
68.33%
-3.81B
205.12%
261M
106.85%
347M
32.95%
inventory
-538M
-
175M
132.53%
-199M
213.71%
365M
283.42%
-357M
197.81%
-717M
100.84%
-1.05B
46.44%
-736M
29.90%
-1.13B
52.85%
592M
152.62%
-1.17B
297.47%
accounts payables
382M
-
297M
22.25%
254M
14.48%
871M
242.91%
46M
94.72%
431M
836.96%
-564M
230.86%
353M
162.59%
1.24B
251.84%
1.19B
4.11%
-300M
125.19%
other working capital
-4.18B
-
803M
119.23%
488M
39.23%
-1.02B
308.40%
1.35B
232.55%
4M
99.70%
-1.68B
41,975%
1.36B
181.01%
16.50B
1,115.77%
-6.50B
139.40%
-1.05B
83.85%
other non cash items
-9.55B
-
-148M
98.45%
1.15B
879.73%
2.82B
144.54%
-10.88B
485.54%
437M
104.02%
-7.03B
1,707.55%
3.59B
151.13%
-4.76B
232.60%
150M
103.15%
5.37B
3,477.33%
net cash provided by operating activities
17.77B
-
16.88B
4.96%
14.51B
14.04%
15.90B
9.57%
16.47B
3.58%
15.83B
3.90%
12.59B
20.47%
14.40B
14.42%
32.58B
126.20%
29.27B
10.17%
8.70B
70.27%
investments in property plant and equipment
-1.47B
-
-1.58B
8.05%
-1.50B
5.50%
-2.00B
33.62%
-2.22B
10.91%
-2.20B
0.95%
-2.59B
18.12%
-2.79B
7.59%
-2.71B
2.87%
-3.24B
19.37%
-3.91B
20.74%
acquisitions net
-15M
-
-195M
1,200%
-16.47B
8,344.10%
-18.37B
11.55%
-1B
94.56%
154M
115.40%
-10.86B
7,152.60%
-621M
94.28%
-12M
98.07%
-23.00B
191,541.67%
-43.43B
88.85%
purchases of investments
-58.06B
-
-61.67B
6.22%
-38.12B
38.18%
-28.19B
26.07%
-18.13B
35.67%
-13.47B
25.69%
-7.04B
47.78%
-14.40B
104.69%
-47.61B
230.60%
-38.78B
18.55%
-31.18B
19.60%
sales maturities of investments
48.68B
-
57.45B
18.01%
52.76B
8.16%
40.69B
22.88%
15.96B
60.78%
19.91B
24.74%
16.34B
17.92%
12.73B
22.09%
28.10B
120.71%
45.46B
61.81%
46.42B
2.10%
other investing activites
231M
-
347M
50.22%
344M
0.86%
52M
84.88%
650M
1,150%
133M
79.54%
206M
54.89%
813M
294.66%
-306M
137.64%
3.77B
1,331.37%
-180M
104.78%
net cash used for investing activites
-10.63B
-
-5.65B
46.79%
-2.98B
47.29%
-7.81B
162.11%
-4.74B
39.30%
4.53B
195.44%
-3.94B
187.18%
-4.27B
8.26%
-22.55B
427.89%
-15.78B
30.00%
-32.28B
104.51%
debt repayment
-8.38B
-
-3.96B
52.80%
-6.97B
76.18%
-15.88B
127.83%
-14.74B
7.13%
-9.62B
34.75%
-12.63B
31.32%
-30.33B
140.08%
-2.10B
93.08%
-7.41B
252.71%
-35.95B
385.28%
common stock issued
16.17B
-
5.51B
65.94%
9.54B
73.21%
19.47B
104.12%
14.60B
25.00%
9.94B
31.89%
21.79B
119.14%
common stock repurchased
-16.29B
-
-5B
69.31%
-6.16B
23.20%
-5B
18.83%
-5B
0%
-12.20B
143.96%
-8.87B
27.32%
-2B
-
dividends paid
-6.58B
-
-6.61B
0.44%
-6.94B
5.01%
-7.32B
5.43%
-7.66B
4.67%
-7.98B
4.17%
-8.04B
0.81%
-8.44B
4.94%
-8.73B
3.42%
-8.98B
2.91%
-9.25B
2.94%
other financing activites
109M
-
72M
33.94%
298M
313.89%
-196M
165.77%
-233M
18.88%
-589M
152.79%
-735M
24.79%
29.12B
4,061.90%
1.01B
96.52%
3.56B
251.04%
71.26B
1,903.88%
net cash used provided by financing activities
-14.97B
-
-9.99B
33.32%
-10.23B
2.47%
-8.92B
12.82%
-13.04B
46.12%
-20.44B
56.82%
-8.48B
58.49%
-9.65B
13.72%
-9.82B
1.73%
-14.83B
51.12%
26.07B
275.72%
effect of forex changes on cash
-63M
-
-83M
31.75%
-1B
1,104.82%
-215M
78.50%
53M
124.65%
-116M
318.87%
-32M
72.41%
-8M
75%
-59M
637.50%
-165M
179.66%
-40M
75.76%
net change in cash
-7.90B
-
1.16B
114.69%
298M
74.31%
-1.05B
451.01%
-1.25B
19.79%
-206M
83.56%
125M
160.68%
475M
280%
158M
66.74%
-1.51B
1,058.86%
2.44B
260.86%
cash at beginning of period
10.08B
-
2.18B
78.35%
3.34B
53.14%
3.64B
8.91%
2.60B
28.73%
1.43B
44.86%
1.23B
14.40%
1.35B
10.20%
1.82B
35.19%
1.98B
8.66%
416M
79.02%
cash at end of period
2.18B
-
3.34B
53.14%
3.64B
8.91%
2.60B
28.73%
1.34B
48.29%
1.23B
8.72%
1.35B
10.20%
1.82B
35.19%
1.98B
8.66%
468M
76.40%
2.85B
509.62%
operating cash flow
17.77B
-
16.88B
4.96%
14.51B
14.04%
15.90B
9.57%
16.47B
3.58%
15.83B
3.90%
12.59B
20.47%
14.40B
14.42%
32.58B
126.20%
29.27B
10.17%
8.70B
70.27%
capital expenditure
-1.47B
-
-1.58B
8.05%
-1.50B
5.50%
-2.00B
33.62%
-2.22B
10.91%
-2.20B
0.95%
-2.59B
18.12%
-2.79B
7.59%
-2.71B
2.87%
-3.24B
19.37%
-3.91B
20.74%
free cash flow
16.30B
-
15.30B
6.13%
13.02B
14.93%
13.90B
6.81%
14.25B
2.52%
13.63B
4.36%
9.99B
26.68%
11.61B
16.19%
29.87B
157.23%
26.03B
12.85%
4.79B
81.59%

All numbers in USD (except ratios and percentages)

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