Pfizer
NYSE:PFE
$ 27,43
$-0,09 (-0,33%)
27,43 $
$-0,09 (-0,33%)
Real-time: 04/21/2026 10:31

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$3,22
Earnings Per Share
$11,01
Revenue Per Share
75,81%
Gross Margin %
$156,54 B
Market Cap
$57,80 B
Long-Term Debt
Earnings Per Share
$3,22
Revenue Per Share
$11,01
Gross Margin %
75,81%
Market Cap
$156,54 B
Long-Term Debt
$57,80 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $3,22 $3,11 $1,84 $6,58 $4,42 $2,22 $2,95 $3,00 $2,65 $2,40 $2,20 $2,26 $2,22 $2,19 $2,31 $2,23 $2,02 $2,41 $2,20 $2,06
Earnings Earnings $18,31B $17,63B $10,39B $36,97B $24,86B $12,38B $16,37B $16,66B $15,78B $14,28B $13,61B $13,85B $14,17B $15,74B $17,41B $17,83B $16,30B $16,26B $14,87B $14,60B
RPS Revenue Per Share $11,01 $11,23 $10,36 $17,86 $14,46 $7,51 $9,33 $9,66 $8,83 $8,88 $7,90 $8,06 $8,06 $8,20 $8,94 $8,48 $6,20 $7,17 $7,16 $6,83
Revenue Revenue $62,58B $63,63B $58,50B $100,33B $81,29B $41,91B $51,75B $53,65B $52,55B $52,82B $48,85B $49,41B $51,45B $58,99B $67,43B $67,79B $50,01B $48,34B $48,40B $48,37B
OCF Operating Cash Flow $17,63B $12,74B $8,70B $29,27B $32,58B $14,40B $12,59B $15,83B $16,47B $15,90B $14,51B $16,88B $17,77B $17,05B $20,24B $11,45B $16,59B $18,24B $13,35B $17,59B
FCF Free Cash Flow $17,51B $9,84B $10,86B $26,03B $29,87B $12,15B $10,41B $13,79B $14,51B $14,08B $13,12B $15,68B $16,56B $15,73B $18,58B $9,94B $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 30,62% 25,66% 8,99% 38,87% 33,02% 23,51% 19,90% 18,02% 28,00% 26,69% 28,23% 31,58% 32,99% 33,54% 30,12% 26,96% 32,15% 34,42% 30,09% 31,20%
GM % Gross Margin % 75,81% 74,19% 58,99% 66,02% 62,28% 79,87% 80,82% 78,27% 79,40% 77,44% 80,84% 81,79% 82,07% 82,63% 80,83% 78,43% 83,19% 84,75% 83,60% 85,02%
FCFS Free Cash Flow Per Share $0,00 $1,74 $0,85 $4,64 $5,33 $2,19 $1,89 $2,33 $2,44 $2,33 $2,14 $2,44 $2,38 $2,06 $2,35 $1,24 $2,20 $2,46 $1,66 $2,15
LT Debt Long-Term Debt N/A $57,80B $61,81B $33,21B $36,20B $37,13B $35,96B $33,29B $33,72B $31,55B $28,87B $31,56B $30,76B $31,07B $34,94B $38,41B $43,22B $7,97B $7,31B $5,55B
Sha. Stocks 5.686,27M 5.667,34M 5.646,78M 5.619,07M 5.623,35M 5.577,63M 5.547,64M 5.551,8M 5.952,86M 5.951,87M 6.184,14M 6.128,86M 6.382,93M 7.189,06M 7.538,52M 7.995,22M 8.070,37M 6.745,27M 6.760,99M 7.086,92M
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