Graf Akcie TFX (Teleflex Incorporated). Diskuze k akciím TFX. Aktuální informace TFX.

Základní informace o společnosti Teleflex Incorporated (Akcie TFX)

Skvělé pro velmi rychlou analýzu společnosti. Investor může porovnat různé ukazatele s konkurenčními firmami.

Tržní kapitalizace 16.66B
Hodnota podniku (EV) 19.64B
Tržby 2.687B
EBITDA 730.86M
Zisk 350.832M
Růst v tržbách Q/Q 25.83 %
Růst v tržbách Y/Y 6.33 %
P/E (Cena vůči ziskům) 48.39
Forward P/E 4.21
EV/Sales 7.31
EV/EBITDA 26.88
EV/EBIT 43.94
PEG 2.99
Price/Sales 6.20
P/FCF 34.77
Price/Book 4.99
Účetní hodnota na akcii 72.87
Hotovost na akcii 8.21
FCF vůči ceně 2.88 %
Počet zaměstnanců 14,000
Tržba na zaměstnance 191.920k
Profit margin 13.22 %
Operating margin 17.09 %
Gross margin 52.22 %
EBIT margin 16.64 %
EBITDA margin 27.20 %
EPS - Zisk na akcii 7.52
EPS - Kvartální růst 73.58 %
EPS - Očekávaný růst příští rok 9.75 %
Return on assets 5.04 %
Return on equity 10.46 %
ROIC 6.30 %
ROCE 6.84 %
Dluhy/Equity 1.14
Čistý dluh/EBITDA 11.28
Current ratio 2.73
Quick Ratio 1.80
Volatilita 2.59
Beta 1.02
RSI 41.71
Cílová cena analytiků 409
Známka akcie (dle analytiků) 1.33
Insider ownership 0.37 %
Institutional ownership 97.66 %
Počet akcií 46.801M
Procento shortovaných akcií 1.80 %
Short ratio 2.47 %
Dividenda 1.36
Procentuální dividenda 0.38 %
Dividenda/Zisk 18.09 %
Obchodovaná od 1978
Země United States

Finanční výsledky akcie TFX

Finanční výsledky společnosti, napoví investorovi, zda se jedná o kvalitní společnost.

# 2020 2019 2018 2017 2016 2015
Revenue$2,537.156$2,595.362$2,448.383$2,146.303$1,868.027$1,809.69
Cost Of Goods Sold$1,212.282$1,186.357$1,145.567$974.501$871.827$865.287
Gross Profit$1,324.874$1,409.005$1,302.816$1,171.802$996.2$944.403
Research And Development Expenses$119.747$113.857$106.208$84.77$58.579$52.119
SG&A Expenses$743.568$851.766$797.062$699.963$563.308$568.982
Other Operating Income Or Expenses-$6.077$1.388-$4.367$0.408
Operating Expenses$2,114.088$2,168.108$2,126.679$1,774.024$1,548.574$1,493.799
Operating Income$423.068$427.254$321.704$372.279$319.453$315.891
Total Non-Operating Income/Expense$-65.336$-87.351$-102.076$-87.368$-73.728$-71.245
Pre-Tax Income$357.732$339.903$219.628$284.911$245.725$244.646
Income Taxes$21.931$-122.078$23.196$129.648$8.074$7.838
Income After Taxes$335.801$461.981$196.432$155.263$237.651$236.808
Other Income------
Income From Continuous Operations$335.801$461.981$196.432$155.263$237.651$236.808
Income From Discontinued Operations$-0.477$-0.515$4.37$-2.733$0.19$8.905
Net Income$335.324$461.466$200.802$152.53$237.377$244.863
EBITDA$654.75$645.623$536.418$532.617$447.799$441.225
EBIT$423.068$427.254$321.704$372.279$319.453$315.891
Basic Shares Outstanding464646454342
Shares Outstanding474747474848
Basic EPS$7.21$9.99$4.39$3.39$5.48$5.89
EPS - Earnings Per Share$7.09$9.80$4.29$3.27$4.98$5.10
# 2020 2019 2018 2017 2016 2015
Current Ratio2.6342.32012.12232.33282.76721.5115
Long-term Debt / Capital0.41610.38420.44930.47090.2850.2419
Debt/Equity Ratio0.74280.64070.84990.92550.48430.5267
Gross Margin52.218954.289353.211354.596353.32952.1859
Operating Margin16.674916.462213.139517.345117.101117.4555
EBIT Margin16.674916.462213.139517.345117.101117.4555
EBITDA Margin25.806524.87621.909124.815623.971824.3813
Pre-Tax Profit Margin14.099713.09668.970313.274513.154313.5187
Net Profit Margin13.216517.78048.20147.106612.707413.5307
Asset Turnover0.35470.41130.390.34720.48010.4674
Inventory Turnover Ratio2.36222.48942.67792.46252.75752.6199
Receiveable Turnover6.4226.1996.68436.20546.86796.8963
Days Sales In Receivables56.835758.880354.605258.819553.145652.9272
ROE - Return On Equity10.064615.50637.73366.38811.118111.7751
Return On Tangible Equity-18.9798-32.482-9.6686-7.0935-102.9389-48.8532
ROA - Return On Assets4.69487.32163.12892.51176.10746.1163
ROI - Return On Investment5.87659.54854.2593.38017.94938.9262
Book Value Per Share71.475164.273255.197753.812148.499548.3331
Operating Cash Flow Per Share-0.037-0.0150.1610.5182.30330.0684
Free Cash Flow Per Share0.2258-0.4695-0.04590.11382.46680.2438

Porovnání s konkurencí: Akcie TFX

Společnost P/E PEG Růst v tržbách (roční) Růst v EPS Return on equity P/B Profit margin
TFX 48.39 2.99 6.33 % 9.75 % 10.46 % 4.99 13.22 %
Akcie ABMD 102.74 1.33 17.19 % -28.68 % 12.16 % 11.51 26.61 %
Akcie ANGO N/A 5.96 10.97 % -100.00 % -7.68 % 2.28 -10.84 %
Akcie BDX 37.68 1.84 17.61 % -12.90 % 8.04 % 2.97 5.11 %
Akcie BSX 117.30 1.61 10.24 % 8.11 % 3.72 % 4.01 -0.83 %
Akcie COO 6.72 2.70 16.56 % 7.28 % 51.24 % 5.16 9.81 %
Akcie GE N/A 0.25 -0.81 % 12.50 % -7.19 % 25.37 7.16 %
Akcie JNJ 23.93 1.67 10.79 % 7.27 % 27.01 % 6.67 17.82 %
Akcie IART 27.97 1.86 8.78 % -8.75 % 13.66 % 3.72 9.76 %
Akcie MMSI 136.71 3.48 7.10 % 4.76 % 2.93 % 4.23 -1.02 %

Nedávné obchody insiderů: Akcie TFX

Jméno Obchod Cena Objem
Stephen K. M.D. Klasko
Director
Option
27 Apr 2020
$58.25 $11,650
John Deren
Vice President and Chief Accounting Officer
Prodej
5 May 2020
$330.10 $360,799
Cameron P Hicks
Corp. VP, HR, and Communications
Option
7 May 2020
$88.24 $203,570
Stephen K. M.D. Klasko
Director
Option
26 May 2020
$58.25 $11,650
Stephen K. M.D. Klasko
Director
Option
25 Jun 2020
$58.25 $11,650
Stephen K. M.D. Klasko
Director
Option
27 Jul 2020
$58.25 $11,650
Stephen K. M.D. Klasko
Director
Option
25 Aug 2020
$58.25 $11,650
Stephen K. M.D. Klasko
Director
Option
25 Sep 2020
$58.25 $11,650
Stephen K. M.D. Klasko
Director
Option
26 Oct 2020
$58.25 $11,650
Cameron P Hicks
Corp. VP, HR, and Communications
Option
30 Nov 2020
$92.14 $375,286
James J Leyden
Vice President, General Counsel, and Secretary
Option
28 Dec 2020
$99.01 $2,573,864

Diskuze k akciím TFX