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Teleflex Inc (CH:TBH)
:TBH
Switzerland Market

Teleflex (TBH) Financial Statements

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Teleflex Financial Overview

Teleflex's market cap is currently CHF4.74B. The company's EPS TTM is CHF-23.28; its P/E ratio is -5.94; Teleflex is scheduled to report earnings on August 6, 2026, and the estimated EPS forecast is CHF1.55. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue$ 1.99B$ 3.05B$ 2.97B$ 2.79B$ 2.81B
Gross Profit$ 1.12B$ 1.70B$ 1.65B$ 1.53B$ 1.55B
Operating Income$ 255.80M$ 151.01M$ 506.31M$ 499.73M$ 628.10M
EBITDA$ 302.51M$ 433.62M$ 761.21M$ 730.77M$ 853.80M
Net Income$ -905.64M$ 69.67M$ 356.33M$ 363.14M$ 485.37M
Balance Sheet
Cash & Short-Term Investments$ 393.26M$ 306.16M$ 222.85M$ 292.03M$ 445.08M
Total Assets$ 6.95B$ 7.10B$ 7.53B$ 6.93B$ 6.87B
Total Debt$ 2.73B$ 1.76B$ 1.93B$ 1.83B$ 1.97B
Net Debt$ 2.33B$ 1.46B$ 1.70B$ 1.54B$ 1.52B
Total Liabilities$ 3.82B$ 2.82B$ 3.09B$ 2.91B$ 3.12B
Stockholders' Equity$ 3.12B$ 4.28B$ 4.44B$ 4.02B$ 3.75B
Cash Flow
Free Cash Flow$ 245.44M$ 509.31M$ 419.20M$ 262.95M$ 579.80M
Operating Cash Flow$ 340.68M$ 635.74M$ 510.64M$ 342.14M$ 651.42M
Investing Cash Flow$ -849.19M$ -99.36M$ -621.23M$ -257.94M$ 156.74M
Financing Cash Flow$ 611.54M$ -421.93M$ 38.54M$ -217.51M$ -715.82M
Currency in USD

Teleflex Earnings and Revenue History

Teleflex Debt to Assets

Teleflex Cash Flow

Teleflex Forecast EPS vs Actual EPS