Pfizer Inc. (PFE)

Growth (Per Share)

Revenue 5Y
Revenue 3Y
Earnings 5Y
Earnings 3Y
Dividend 5Y
Dividend 3Y

Capital Efficiency

ROIC
ROE
ROA
ROTA

Capital Structure

Market Cap217.37B
EV217.37B
Cash
Current Ratio
Debt/Equity
Net Debt/EBITDA
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Cash Flow Statement
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
TTM
Net Income
9,135.0
6,960.0
7,215.0
21,308.0
11,153.0
16,302.0
7,021.0
22,459.0
31,401.0
29,077.0
Depreciation & Amortization
5,537.0
5,157.0
5,757.0
6,269.0
6,384.0
6,010.0
4,777.0
5,191.0
5,064.0
5,364.0
Deferred Income Tax
317.0
-18.0
-700.0
-2,410.0
-2,205.0
614.0
-1,468.0
-4,293.0
-3,764.0
-2,041.0
Stock-based Compensation
586.0
669.0
691.0
840.0
949.0
718.0
756.0
1,182.0
872.0
891.0
Change in Working Capital
1,423.0
564.0
85.0
1,296.0
-926.0
-4,031.0
-275.0
12,804.0
-4,456.0
-9,233.0
Other Non-Cash Items
-115.0
1,180.0
2,853.0
-10,833.0
472.0
-7,025.0
3,592.0
-4,763.0
150.0
-120.0
Net Cash Provided by Operating Activities
16,883.0
14,512.0
15,901.0
16,470.0
15,827.0
12,588.0
14,403.0
32,580.0
29,267.0
23,938.0