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PFIZER INC

PFE
Pharmaceutical Preparations
Last filing · Quarter 2 · Jun 28, 2026
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RatiosJun 28, 2026Mar 29, 2026Sep 28, 2025Jun 29, 2025Mar 30, 2025Sep 29, 2024Jun 30, 2024Mar 31, 2024Oct 1, 2023Jul 2, 2023Apr 2, 2023Oct 2, 2022Jul 3, 2022Apr 3, 2022Oct 3, 2021Jul 4, 2021Apr 4, 2021Sep 27, 2020Jun 28, 2020Mar 29, 2020Sep 29, 2019Jun 30, 2019Mar 31, 2019Sep 30, 2018Jul 1, 2018Apr 1, 2018Oct 1, 2017Jul 2, 2017Apr 2, 2017Oct 2, 2016Jul 3, 2016Apr 3, 2016Sep 27, 2015Jun 28, 2015Mar 29, 2015Sep 28, 2014Jun 29, 2014Mar 30, 2014Sep 29, 2013Jun 30, 2013Mar 31, 2013Sep 30, 2012Jul 1, 2012Apr 1, 2012Oct 2, 2011Jul 3, 2011Apr 3, 2011Oct 3, 2010Jul 4, 2010Apr 4, 2010Sep 27, 2009Jun 28, 2009
Gross Margin
72.78%
75.45%
74.95%
74.22%
79.26%
70.27%
75.16%
77.29%
29.95%
74.58%
73.27%
73.22%
Operating Margin
-4.34%
21.94%
20.02%
20.77%
20.31%
26.64%
-0.78%
23.00%
-25.32%
17.81%
34.30%
41.82%
Pretax Margin
-4.34%
21.94%
20.02%
20.77%
20.31%
26.64%
-0.78%
22.99%
-25.33%
17.82%
34.30%
39.76%
Effective Tax Rate
62.33%
14.54%
-6.48%
4.63%
-6.79%
4.96%
130.10%
8.56%
28.76%
-3.13%
11.40%
3.96%
Net Margin
-1.65%
18.59%
21.26%
19.86%
21.63%
25.22%
0.31%
20.94%
-18.00%
18.27%
30.32%
38.02%
Current Ratio
1.27x
1.25x
1.28x
1.16x
1.26x
1.00x
0.86x
1.05x
2.38x
2.12x
1.37x
1.59x
Debt to Equity
1.35x
1.30x
1.24x
1.32x
1.30x
1.37x
1.46x
1.39x
1.21x
1.22x
0.93x
1.10x
Net Debt to Equity
1.34x
1.28x
1.23x
1.30x
1.28x
1.36x
1.45x
1.38x
1.18x
1.19x
0.91x
1.09x
Asset Turnover
7.47%
6.96%
7.98%
7.11%
6.59%
8.07%
6.14%
6.73%
6.15%
5.78%
9.35%
11.59%
Return on Equity
-0.29%
2.97%
3.80%
3.27%
3.27%
4.82%
0.05%
3.37%
-2.45%
2.34%
5.48%
9.27%
Return on Assets
-0.12%
1.29%
1.70%
1.41%
1.43%
2.03%
0.02%
1.41%
-1.11%
1.06%
2.83%
4.41%