Pfizer Financial Ratios for Analysis 2009-2024 | PFE

Fifteen years of historical annual and quarterly financial ratios and margins for Pfizer (PFE).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.911.221.401.350.881.571.351.251.492.582.412.222.102.131.66
0.410.260.320.370.360.340.320.340.310.310.280.280.300.300.32
0.810.370.500.630.820.650.610.700.600.510.480.460.470.500.54
57.3465.7762.0879.6380.3177.9978.6376.6780.2580.6981.4282.0379.5277.3182.83
0.3834.8323.9119.8116.4013.8926.1122.9924.2026.7129.4427.9322.8820.5822.24
0.3834.8323.9119.8116.4013.8926.1122.9924.2026.7129.4427.9322.8820.5822.24
11.1339.8830.2931.0530.4728.9638.0433.8934.7637.8741.8641.9337.6733.4731.90
1.8134.6129.9116.8927.688.8023.4215.8118.3524.6730.4720.5718.8114.5321.66
3.6231.2727.0421.9939.1827.3240.5513.6614.2518.4242.6526.6616.4012.6717.53
0.260.510.450.270.240.260.310.310.290.300.300.290.320.330.23
2.453.823.401.061.141.201.481.821.281.691.551.621.891.790.68
5.239.167.085.266.045.096.396.425.975.905.515.124.674.873.36
69.7439.8451.5469.3460.4371.7557.1156.8361.0961.8266.2171.2978.0974.94108
2.4332.7428.9910.5016.936.0629.8112.0910.7412.7414.9011.059.529.439.44
-5.012,679722-46.23-57.45-15.53-64.63-15.30-29.55-162.46-215.93-126.54-59.85-62.93-42.76
0.9615.9212.384.326.412.4212.434.214.175.446.634.864.184.274.01
1.4424.3819.766.6310.803.9920.307.927.448.8410.668.006.696.576.38
15.8117.0813.7811.4011.4611.1511.989.8610.5311.3811.9711.2310.9111.0211.21
1.525.115.712.562.222.652.772.632.352.662.562.232.571.422.35
0.844.545.232.161.862.322.452.332.122.472.392.052.361.232.18

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.000.861.050.912.382.121.371.221.591.421.391.401.391.371.481.351.401.421.030.880.901.471.541.571.431.161.271.351.431.341.441.251.111.371.441.491.622.142.452.582.862.662.332.412.922.622.352.221.961.912.022.102.251.992.002.132.242.071.931.663.082.742.32
0.390.400.400.410.390.380.240.260.260.280.300.320.320.330.340.370.430.440.360.360.360.380.380.340.320.290.310.320.360.370.380.340.320.330.310.310.300.280.300.310.290.300.260.280.290.290.280.280.270.280.290.300.280.290.280.300.310.300.300.320.330.340.26
0.730.790.750.810.650.660.350.370.390.460.440.500.530.560.580.630.960.990.800.820.810.780.760.650.570.580.580.610.720.740.750.700.690.700.620.600.580.520.530.510.470.490.470.480.470.470.490.460.470.480.470.470.450.470.460.500.500.500.510.540.590.620.47
70.2775.1677.2944.0331.2975.1173.5760.2773.2268.8361.0959.1658.6862.9871.3676.2880.4781.4980.7675.9679.4880.5881.4529.5279.7478.3580.1476.2478.4079.3780.6976.4376.3575.8678.0875.7281.6481.6183.0879.4080.8480.7381.9979.3981.9182.7281.7681.3982.1782.9981.5684.0379.4878.3477.6279.8776.3178.5074.6577.8184.6184.0187.04
28.017.5527.57-39.56-23.5016.8735.4018.0439.5044.0536.6412.5525.5829.6632.306.1523.8221.0130.02-267.3923.3332.1633.65-520.9528.3129.5330.6016.8427.8329.0131.3812.8923.1626.4529.9213.0627.7830.3327.9516.3729.7930.9230.5622.4431.5133.0531.1819.9228.9034.8527.5016.7224.6124.3923.9112.2023.5324.5221.48-0.2535.5528.4134.47
28.017.5527.57-39.56-23.5016.8735.4018.0439.5044.0536.6412.5525.5829.6632.306.1523.8221.0130.02-267.3923.3332.1633.65-520.9528.3129.5330.6016.8427.8329.0131.3812.8923.1626.4529.9213.0627.7830.3327.9516.3729.7930.9230.5622.4431.5133.0531.1819.9228.9034.8527.5016.7224.6124.3923.9112.2023.5324.5221.48-0.2535.5528.4134.47
---------------------------------------------------------------
26.64-0.7822.99-30.56-24.8517.4433.9221.5439.7641.2635.2716.0532.6336.7739.215.235.5530.6828.19-427.0284.6031.2232.95-799.7431.4133.6231.986.9627.2329.5830.925.6912.3018.3327.38-2.5122.3129.8628.3713.7429.0231.3425.0822.5828.2641.2930.0214.1721.6629.9316.3610.7021.3221.8318.896.358.8422.9219.00-0.9434.1727.7635.00
25.220.3120.94-24.93-17.6617.8929.9820.5638.0235.7130.6514.2333.8929.4433.607.4014.2935.3733.27-31.6960.5738.0429.61-34.1130.9428.7527.5989.5721.5723.8324.425.6910.3915.5723.36-1.2217.6222.1521.879.3621.5722.8020.5118.9420.4910922.1649.1424.7723.2912.0512.5822.5115.8313.4718.695.4114.4512.224.8624.7720.5825.11
0.080.060.070.060.060.060.090.120.120.140.140.130.130.110.090.070.060.060.060.010.070.080.080.010.080.080.080.080.080.080.080.080.070.080.080.080.070.070.070.080.070.070.070.080.070.070.070.070.070.080.080.060.080.080.080.080.080.090.090.070.080.080.09
0.450.290.310.740.910.310.511.070.640.831.001.071.150.780.490.340.220.210.230.060.320.310.300.110.330.360.310.430.360.350.330.470.410.420.380.450.290.380.320.480.370.390.340.450.350.360.320.390.310.340.380.280.400.420.440.380.430.390.410.280.350.350.32
1.231.171.351.171.221.271.502.221.411.831.942.082.021.791.471.441.031.081.020.271.341.351.370.141.331.361.371.671.321.361.441.661.331.441.441.721.271.321.221.561.241.231.211.451.111.130.971.201.031.081.050.881.051.091.091.161.121.221.221.081.101.051.13
73.4777.1966.4777.0473.9670.7959.9140.5863.9149.1746.3843.3444.5550.4261.1662.3287.6883.2888.2033167.0066.4565.8662567.8465.9965.9153.9968.3666.1362.6254.3267.8662.5662.5152.3871.0067.9773.9057.6472.4873.2074.5162.1180.9579.9492.3674.7687.0183.0085.7510385.3482.9482.8077.8880.4773.6173.9083.4481.7285.5979.47
4.840.043.38-3.74-2.462.365.495.219.3111.299.534.6210.768.287.091.041.404.033.80-9.2811.758.446.58-12.085.745.535.0617.154.685.245.331.282.133.274.81-0.263.173.923.521.763.423.802.903.443.304.533.161.603.643.752.060.962.572.842.463.390.972.832.240.734.353.584.52
-12.45-0.07-7.917.69-43.7937.0571.6042756.511162961154,751-84.73-54.89-4.59-3.62-9.49-8.9931.49-23.80-19.11-13.7130.97-14.05-12.01-10.65-37.19-6.40-6.46-6.48-1.62-2.89-6.74-12.280.70-9.11-33.72-27.62-22.39-337.45-95.30-89.85-49.79-56.32-68.36-51.97-18.35-31.58-23.07-11.99-6.02-22.19-19.09-17.35-22.65-5.97-13.27-11.82-3.3010.169.1112.38
2.040.011.41-1.47-1.111.062.842.544.435.064.291.974.563.433.080.430.511.461.49-3.514.513.242.50-4.832.452.352.177.151.661.831.850.450.761.211.87-0.101.251.641.480.751.561.691.321.531.471.991.400.701.641.640.930.421.191.291.141.540.451.281.030.312.041.622.22
2.980.022.03-2.21-1.511.464.183.886.898.116.663.157.285.514.690.660.802.262.44-5.927.575.264.10-7.973.903.923.4911.682.993.313.290.841.442.203.34-0.182.212.812.451.222.432.672.142.462.353.242.291.162.642.711.470.671.852.021.772.360.671.971.570.492.922.383.35
16.3415.5216.3315.8117.2217.5917.9317.0816.5515.6414.7913.7813.5412.5612.3111.4011.7911.6211.7711.4611.8210.7710.6511.1512.4011.9612.0611.9810.259.879.849.8610.4810.4010.4410.5310.8710.8910.9811.3812.4312.1412.2411.9712.0911.9311.6811.2311.1510.7111.1710.9111.7811.4011.4611.0210.9910.8111.1711.218.219.378.96
1.06-0.120.191.520.610.000.215.113.622.581.145.714.662.790.802.561.561.190.562.221.560.760.302.651.850.980.332.771.610.800.262.631.650.880.292.351.570.760.112.661.791.090.452.561.800.850.322.231.570.900.372.571.921.330.581.420.64-0.18-0.792.351.741.130.47
0.71-0.360.070.840.11-0.360.014.543.232.331.025.234.362.600.702.161.311.030.481.861.290.590.222.321.630.840.262.451.400.670.202.331.470.770.242.121.440.680.072.471.661.000.412.391.680.780.292.051.460.830.332.361.781.250.551.230.53-0.27-0.822.181.621.060.43