$219.79
$-1.22 (-0.56%)
End-of-day quote: 05/15/2024
NYSE:TFX

Teleflex Inc Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$2.97B $2.79B $2.81B $2.54B $2.60B $2.45B $2.15B $1.87B $1.80B $1.83B $1.68B $1.55B $1.49B $1.40B $1.43B $1.91B $1.58B $1.69B $1.56B $2.39B
GM % Gross Margin %
55.37% 55.54% 55.27% 52.22% 54.29% 53.21% 54.60% 53.78% 53.01% 51.85% 49.80% 48.24% 47.49% 48.57% 47.78% 42.28% 37.57% 34.61% 33.24% 29.42%
OM Operating Margin
16.86% 19.16% 20.30% 16.95% 19.16% 18.48% 18.20% 20.15% 18.24% 16.43% 16.13% 15.31% 16.45% 16.66% 18.16% 14.29% 11.71% 12.43% 11.86% 9.04%
EPS Earnings Per Share
$0.00 $13.52 $13.06 $13.33 $10.67 $11.15 $9.90 $8.40 $7.34 $6.33 $5.74 $5.03 $4.40 $3.25 $3.93 $3.64 $4.05 $3.24 $3.81 $3.65 $3.05
Div. Dividends
$1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.36 $1.34 $1.25 $1.11 $0.97 $0.86
PR % Payout Ratio %
10.06% 10.41% 10.20% 12.75% 12.20% 13.74% 16.19% 18.53% 21.48% 23.69% 27.04% 30.91% 41.85% 34.61% 37.36% 33.09% 38.58% 29.13% 26.58% 28.20%
Sha. Shares
47.04m 46.93m 46.86m 46.68m 46.35m 46.02m 45.17m 44.07m 41.61m 41.44m 41.18m 40.97m 40.74m 40m 39.76m 39.68m 39.45m 39.02m 40.36m 40.42m
OCF Operating Cash Flow
$510.64M $343.61M $651.42M $436.41M $439.53M $437.38M $419.89M $408.48M $300.81M $286.57M $227.97M $186.82M $94.48M $213.10M $204.17M $171.17M $393.59M $344.66M $319.43M $264.10M
FCF Free Cash Flow
$525.30M $263.62M $580.52M $346.45M $334.37M $354.29M $355.40M $357.46M $242.00M $222.67M $166.29M $128.46M $58.00M $173.05M $177.83M $138.50M $352.21M $303.89M $280.87M $211.16M
FCFS Free Cash Flow Per Share
$8.92 $5.64 $12.40 $7.44 $7.29 $7.80 $7.75 $8.20 $5.76 $5.29 $4.00 $2.97 $1.23 $4.61 $4.48 $3.50 $8.97 $7.64 $6.93 $5.25