CoverageForm 410-K10-Q8-K13D13G13F

TFX · Teleflex Inc - Financials

Annual line items from SEC XBRL filings, sourced from EDGAR's Company Facts API with fallback to the quarterly Financial Statement Data Sets. See issuer overview for Form 4 activity and 10-K signals.

Price · TFX

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$1.99B$3.05B$2.97B$2.79B$2.81B$2.54B
Cost of Revenue$871.96M$1.34B$1.33B$1.26B$1.26B$1.21B
Gross Profit$1.12B$1.70B$1.65B$1.53B$1.55B$1.32B
R&D$144.78M$161.67M$154.35M$153.82M$130.84M$119.75M
SG&A$720.17M$995.27M$929.87M$863.75M$860.09M$743.57M
Total Operating Expenses------
D&A$177.74M$274.60M$242.12M$230.59M$237.36M$227.25M
Operating Income$118.37M$151.01M$506.31M$499.73M$628.10M$423.07M
Interest Expense$100.22M$83.54M$85.08M$54.26M$56.97M$66.49M
Income Tax($33.98M)$5.32M$76.44M$83.00M$74.35M$21.93M
Net Income($905.64M)$69.67M$356.33M$363.14M$485.37M$335.32M
EPS - Basic($20.30)$1.49$7.58$7.74$10.38$7.21
EPS - Diluted($20.25)$1.48$7.53$7.68$10.23$7.09

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$378.56M$290.19M$222.85M$292.03M$445.08M$375.88M
Accounts Receivable$345.58M$459.50M$443.47M$408.83M$383.57M$395.07M
Inventory$404.39M$600.13M$626.22M$578.51M$477.64M$513.20M
Accounts Payable$130.20M$141.03M$132.25M$126.81M$118.24M$102.52M
Current Assets$1.94B$1.47B$1.41B$1.41B$1.43B$1.42B
Total Assets$6.95B$7.10B$7.53B$6.93B$6.87B$7.15B
Current Liabilities$762.03M$649.36M$606.75M$581.49M$680.12M$540.03M
Long-term Debt$2.54B$1.56B$1.73B$1.62B$1.74B$2.38B
Total Liabilities$3.82B$2.82B$3.09B$2.91B$3.12B$3.82B
Stockholders' Equity$3.12B$4.28B$4.44B$4.02B$3.75B$3.34B
Retained Earnings$3.15B$4.12B$4.11B$3.82B$3.52B$3.10B

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$96.68M$638.26M$511.68M$342.81M$652.14M$437.14M
Investing Cash Flow($812.65M)($99.36M)($621.23M)($837.78M)$156.74M($837.78M)
Financing Cash Flow$611.54M($421.93M)$38.54M($217.51M)($715.82M)$455.16M
CapEx$95.24M$126.43M$91.44M$79.19M$71.62M$90.69M
Free Cash Flow$1.45M$511.83M$420.24M$263.62M$580.52M$346.45M

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin56.2%55.9%55.4%54.9%55.2%52.2%
Operating margin5.9%5.0%17.0%17.9%22.4%16.7%
EBITDA margin14.9%14.0%25.2%26.2%30.8%25.6%
Net margin-45.4%2.3%12.0%13.0%17.3%13.2%
Free cash flow margin0.1%16.8%14.1%9.4%20.7%13.7%
FCF / Net income-0.007.351.180.731.201.03
R&D / Revenue7.3%5.3%5.2%5.5%4.7%4.7%
SG&A / Revenue36.1%32.7%31.3%30.9%30.6%29.3%
Effective tax rate-7.1%17.7%18.6%13.3%6.1%
Return on assets-13.0%1.0%4.7%5.2%7.1%4.7%
Return on equity-29.0%1.6%8.0%9.0%12.9%10.1%
Return on invested capital1.7%2.4%6.8%7.2%9.9%6.9%
Liquidity
Current ratio2.542.272.322.432.102.63
Quick ratio2.011.341.291.431.401.68
Cash ratio0.500.450.370.500.650.70
Leverage
Debt / Equity0.810.360.390.400.460.71
Debt / Assets0.370.220.230.230.250.33
Debt / EBITDA8.583.662.312.222.013.66
Interest coverage1.2x1.8x6.0x9.2x11.0x6.4x
Equity multiplier2.221.661.701.721.832.14
Liabilities / Assets0.550.400.410.420.450.53
Efficiency
Asset turnover0.290.430.390.400.410.35
Inventory turnover2.162.242.122.182.642.36
Days sales outstanding63d55d54d53d50d57d
Days inventory outstanding169d163d172d168d138d155d
Days payable outstanding55d38d36d37d34d31d
Cash conversion cycle178d180d190d184d154d180d
Valuation
P / E-120.3x33.1x32.5x32.1x58.0x
P / B1.7x2.0x2.7x2.9x4.1x5.8x
P / S2.7x2.8x4.0x4.2x5.5x7.7x
EV / EBITDA25.7x22.7x17.8x18.0x19.5x33.0x
Growth
Revenue growth (YoY)-34.6%2.4%6.6%-0.7%10.7%-2.2%
Revenue CAGR (3y)-10.6%2.7%5.4%2.5%14.6%5.7%
Revenue CAGR (5y)-4.7%3.3%9.8%5.4%8.5%7.0%
Gross profit growth (YoY)-34.2%3.4%7.6%-1.2%17.0%-11.2%
Operating income growth (YoY)-21.6%-70.2%1.3%-20.4%48.5%-1.0%
Net income growth (YoY)--80.4%-1.9%-25.2%44.7%-27.3%
EPS growth (YoY)--80.3%-2.0%-24.9%44.3%-27.7%
EPS CAGR (3y)--47.5%2.0%-7.8%33.6%29.4%
EPS CAGR (5y)--31.5%11.9%18.6%15.5%6.8%
FCF growth (YoY)-99.7%21.8%59.4%-54.6%67.6%3.6%
FCF CAGR (5y)-66.6%8.9%3.5%-5.8%10.2%7.4%
Book value growth (YoY)-27.0%-3.7%10.4%7.1%12.5%12.0%

Sales by segment

From XBRL dimensional facts in the 10-K period ending 2025-12-31.

Business segments

$1.99B total
Americas Segment$1.28B · 64.2%
EMEASegment$472.41M · 23.7%
Asia Segment$241.10M · 12.1%

Product / service

$1.99B total
Vascular Access$917.73M · 46.1%
Interventional$647.79M · 32.5%
Surgical$418.15M · 21.0%
Other$9.04M · 0.5%

Geographic

$1.99B total
US$1.18B · 59.3%
Europe$484.73M · 24.3%
Asia And Asia Pacific$218.03M · 10.9%
All Other$108.13M · 5.4%

Stability scores

Altman Z′

FY 2025 · bankruptcy risk

1.19
Distress

Private-firm variant - uses book equity instead of market cap. > 2.90 safe · 1.23-2.90 grey · < 1.23 distress.

Piotroski F-score

FY 2025 · 9-point quality

5/9
Neutral
  • Net income positive
  • Operating cash flow positive
  • ROA improved YoY
  • Cash flow > net income
  • Long-term debt decreased
  • Current ratio improved
  • No share dilution
  • Gross margin improved
  • Asset turnover improved

Peer comparison

Same SIC group: Surgical & Medical Instruments & Apparatus

CompanyRevenue (last FY)Net marginROE
BSX$20.07B14.4%12.0%
LMAT$249.60M23.1%14.7%
TNDM$1.01B-20.2%-131.9%
SYK$25.12B12.9%14.5%
MMM$24.95B13.0%69.1%

Comparing TELEFLEX INC against the 5 most active filers in the same SIC group.

Dividends

$1.36/share trailing 12 months · 0.0% YoY

Ex-datePer share
May 22, 2026$0.3400
Mar 6, 2026$0.3400
Nov 14, 2025$0.3400
Aug 15, 2025$0.3400
May 20, 2025$0.3400
Mar 7, 2025$0.3400
Nov 15, 2024$0.3400
Aug 15, 2024$0.3400
May 14, 2024$0.3400
Feb 29, 2024$0.3400
Nov 14, 2023$0.3400
Aug 14, 2023$0.3400
May 12, 2023$0.3400
Mar 2, 2023$0.3400
Nov 14, 2022$0.3400
Aug 12, 2022$0.3400
May 13, 2022$0.3400
Mar 4, 2022$0.3400
Nov 12, 2021$0.3400
Aug 13, 2021$0.3400
May 13, 2021$0.3400
Mar 4, 2021$0.3400
Nov 12, 2020$0.3400
Aug 13, 2020$0.3400