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PFE

BMV
477 MXN
2.94
0.61%
Last update Jul 11, 12:28 PM CST
Market closed
Day range
476.079987
478.98999
Previous close
479.94000
Open
477
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Pfizer Inc.
477.00
2.94
0.61%

Financials

Cash flow

Fiscal date 2024 2023 2022 2021
Operating activities 8.5B -907M 27.5B 32.6B
Net income 8.1B 2.2B 31.4B 22.5B
Depreciation 7.0B 6.3B 5.1B 5.2B
Deferred taxes -2.1B -3.4B -3.8B -4.3B
StockBased compensation 877M 525M 872M 1.2B
Other non cash items -2.3B -4.3B -400M -4.7B
Accounts receivable -109M 347M 261M -3.8B
Accounts payable -1.0B -300M 1.2B 1.2B
Other assets liabilities -1.9B -2.2B -7.1B 15.4B
Investing activities 2.7B -32.3B -19.7B -22.5B
Capital expenditures -2.9B -3.9B -3.2B -2.7B
Net intangibles
Net acquisitions 7.0B -43.4B -23.0B 0
Purchase of investments -10.3B -31.2B -38.8B -47.6B
Sale of investments 8.8B 46.4B 45.5B 28.1B
Other investing activity -180M -192M -306M
Financing activities -31.0B 26.1B -18.9B -9.9B
Long term debt issuance 0 30.8B 0 997M
Long term debt payments -16.1B -2.6B -7.4B -2.1B
Short term debt issuance -4.9B 7.7B -218M -96M
Common stock issuance
Common stock repurchase 0 0 -2B 0
Common dividends -9.5B -9.2B -9.0B -8.7B
Other financing charges -469M -632M -335M 16M
End cash position 1.1B 2.9B 468M 2.0B
Income tax paid 3.6B 3.1B 7.9B 7.4B
Interest paid 3.2B 2.2B 1.4B 1.5B
Free cash flow 9.8B 4.8B 26.0B 29.9B
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