Qiagen N.V.
NYSE:QGEN
$ 40,89
$-0,12 (-0,29%)
40,89 $
$-0,12 (-0,29%)
End-of-day quote: 04/10/2026

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

$2,38
Earnings Per Share
$10,14
Revenue Per Share
66,37%
Gross Margin %
$8,46 B
Market Cap
$1,34 B
Long-Term Debt
Earnings Per Share
$2,38
Revenue Per Share
$10,14
Gross Margin %
66,37%
Market Cap
$8,46 B
Long-Term Debt
$1,34 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 $2,38 $2,18 $2,13 $2,52 $2,81 $2,28 $1,52 $1,42 $1,35 $1,18 $1,16 $1,10 $1,26 $1,19 $1,08 $0,72 $1,02 $0,88 $0,69 $0,62
Earnings Earnings $490,45M $471,14M $458,40M $541,17M $601,73M $489,97M $326,28M $301,99M $288,44M $251,36M $245,50M $231,80M $267,17M $253,47M $229,76M $152,45M $215,33M $158,13M $122,40M $84,55M
RPS Revenue Per Share $10,14 $9,15 $9,13 $9,97 $10,51 $8,70 $7,11 $7,06 $6,63 $6,28 $6,05 $6,39 $6,16 $5,89 $5,50 $5,14 $4,78 $4,97 $3,66 $3,42
Revenue Revenue $2,09B $1,98B $1,97B $2,14B $2,25B $1,87B $1,53B $1,50B $1,42B $1,34B $1,28B $1,35B $1,31B $1,25B $1,17B $1,09B $1,01B $892,98M $649,77M $465,78M
OCF Operating Cash Flow $654,33M $673,55M $459,46M $715,26M $639,00M $457,81M $330,84M $359,50M $286,78M $341,60M $317,50M $288,00M $258,96M $245,00M $244,78M $250,75M $217,00M $173,00M $84,81M $101,48M
FCF Free Cash Flow $490,00M $506,38M $506,85M $586,04M $449,10M $325,02M $212,89M $249,72M $196,70M $267,07M $219,72M $201,40M $174,49M $142,88M $157,97M $171,09M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 26,44% 25,02% 22,66% 26,93% 29,22% 28,74% 18,85% 20,30% 16,51% 14,80% 15,34% 14,93% 14,45% 16,51% 16,71% 18,39% 21,59% 20,04% 18,32% 22,82%
GM % Gross Margin % 66,37% 66,77% 66,04% 67,50% 67,41% 69,29% 70,54% 70,53% 70,70% 64,02% 64,53% 66,30% 65,73% 65,03% 65,39% 65,92% 67,29% 67,31% 67,15% 68,80%
FCFS Free Cash Flow Per Share $2,15 $2,32 $1,38 $2,64 $2,01 $0,71 $0,26 $0,98 $0,75 $1,16 $0,94 $0,90 $0,66 $0,55 $0,58 $0,60 $0,79 $0,64 $0,17 $0,49
LT Debt Long-Term Debt $1,65B $1,34B $1,02B $1,51B $1,04B $1,89B $1,43B $1,69B $1,79B $1,07B $1,05B $1,04B $845,28M $841,69M $446,01M $797,17M $874,20M $921,39M $950,00M $489,59M
Sha. Stocks 206,07M 216,12M 215,21M 214,75M 214,14M 214,9M 214,66M 212,67M 213,66M 213,02M 211,64M 210,73M 212,04M 213M 212,74M 211,74M 211,11M 179,69M 177,39M 136,37M
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