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PFE - Pfizer Inc

540


$27.32

-$0.005 (-0.018%)
3/19/26, 3:10 PM
General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
Pfizer Inc logo

Pfizer Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
24.29%
17.87%
29.18%
28.82%
27.12%
2025-03-30
31.97%
2025-12-31
31.97%
2025-12-31
Net Margin
-2.13%
-1.62%
14.38%
14.14%
12.42%
2025-12-31
16.84%
2025-06-29
12.42%
2025-12-31
Gross Margin
2.21%
1.67%
74.82%
74.76%
73.96%
2025-06-29
75.81%
2025-12-31
75.81%
2025-12-31
Free Cash Flow Margin
-24.64%
-19.26%
17.12%
17.24%
14.5%
2025-12-31
19.48%
2025-06-29
14.5%
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-282025-06-292025-03-302024-12-31
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2024-09-292024-06-302024-03-312023-12-312023-10-012023-07-022023-04-022022-12-312022-10-022022-07-032022-04-032021-12-312021-10-03
Margins
Gross Margin
75.81%
74.95%
73.96%
74.57%
42K%
7076086
8484507
2328733
698368
7917079
6779358
3167128
8473476
8299891
1908379
4042929
1514614
9175899
SGA Margin
21.80%
22.04%
21.77%
22.68%
42K%
180092
118081
1449163
2718646
2649474
1911869
409260
1487898
1103761
4419650
9709088
6534621
7005179
Operating Margin
31.97%
29.12%
28.52%
27.12%
42K%
927492
2397657
7160599
2704751
6779695
1628384
5009498
8414283
7322323
9859288
2517399
820542
7539090
EBITDA Margin
42.50%
39.78%
39.15%
38.16%
42K%
2261225
9021117
9070756
2554451
1223425
646503
4423474
149419
8656756
9402570
836343
8935879
978222
Net Margin
12.42%
15.65%
16.84%
12.62%
42K%
3535720
6745353
9139002
1093259
9238424
7261939
4764460
4000030
3105490
9053021
9715486
9395602
2687532
Free Cash Flow Margin
14.50%
16.53%
19.48%
17.96%
42K%
9533894
4875689
442485
9672037
674545
7565885
6001134
3757699
5567686
2880356
2207396
2680160
414505
Operating Cash Flow Margin
18.70%
20.83%
23.79%
22.40%
42K%
5002049
3250468
169778
9708167
6130795
5265755
4706244
8674658
9072517
4540742
2932774
1937667
5430729
Management
Return On Assets
3.73%
4.71%
5.22%
3.79%
42K%
9602340
481257
4524303
4530849
7726678
7375243
1587648
8653234
4694024
7027552
9541386
6634556
2157952
Return On Capital Employed
11.69%
10.62%
10.81%
9.87%
42K%
8367746
582956
7714961
9607980
764549
8181607
6195460
4736410
5575733
8967434
9495087
763693
8265014
Return On Equity
8.99%
10.59%
12.12%
8.73%
42K%
5461311
5957336
4960603
7211430
7548396
9552476
397275
3024006
8463198
326839
4846088
5729002
2988320
Return On Invested Capital
13.50%
12.38%
12.39%
11.56%
42K%
6340362
7577618
9621332
4568368
7746328
826907
419275
902034
256838
7746640
4844691
3953889
4797019
Dividends
Dividends Per Share
1.72
1.71
1.7
1.69
42,069
7076234
8705221
3338444
7584856
1315237
3533877
9690131
9687750
9350993
9419481
7836812
392267
8384048
Stock Based Compensation
SBC as a % of FCF
8.80%
7.24%
6.63%
7.37%
42K%
9950275
3155774
9304542
3254660
518171
3013969
4014234
1823826
1544988
5888347
4837553
6032499
3798077
SBC as a % of OCF
6.83%
5.74%
5.43%
5.91%
42K%
1976078
1983763
2112824
9054544
50268
642387
3617191
632259
5513236
7337072
4666680
4365780
6065611
SBC as a % of Revenue
1.28%
1.20%
1.29%
1.32%
42K%
8985161
2946407
5755071
9246408
7236633
6556277
8103371
3880131
8182481
2628446
7219676
3603228
5151129
Per Share
Free Cash Flow Per Share
1.6
1.82
2.18
1.96
42,069
3714329
3811816
251937
3467258
774967
5637649
8205206
5527109
8988719
2522629
1327104
1037627
9023444
Operating Cash Flow Per Share
2.06
2.29
2.66
2.45
42,069
3133976
6855932
9325515
1271185
3541564
1931909
1170604
2119853
469254
9404751
5715088
3218455
8967170
Revenue Per Share
11.01
10.99
11.19
10.94
42,069
1089183
3381986
8353320
8143332
5852060
3875164
9276281
5693038
4036344
3615708
1830279
6418048
6618341
Financial Health
Debt to EBITDA Ratio
2.44
2.47
2.47
2.61
42,069
4803563
5056439
323986
8428720
9931552
4727980
3249174
1318049
5585087
2537833
6225408
9077806
2442831
Interest Coverage Ratio
7.49
6.77
6.43
5.74
42,069
2598088
4266125
505101
5531488
1095262
4818336
6388996
3790511
8933206
9005437
4385070
5785499
5639318
Net Debt
51,199,000
46,728,000
48,548,000
44,792,000
42,069,000
3095877
1322331
8140269
1731058
857580
7042078
588237
9548994
2202653
7498929
7275077
6316545
5893348
Total Debt
64,795,000
61,712,000
61,797,000
62,109,000
42,069,000
5757492
9502959
4189644
983460
4155235
3777009
9064105
4734193
3294752
7435994
178032
6295828
5257251