Teleflex Incorporated
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
11.029.756.876.35
Price/Sales ratio
1.781.691.591.51
Earnings per Share (EPS)
$11.26$12.74$18.08$19.55

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
25.3022.3029.4173.4158.8137.6857.0531.6532.2332.8735.3237.68
Price/Sales ratio
2.583.013.735.214.826.707.545.464.193.932.756.70
Price/Book Value ratio
2.482.713.264.604.645.835.734.092.912.631.875.83
Price/Cash Flow ratio
16.5718.1617.0926.6627.0039.5643.8423.5834.2122.9414.6639.56
Price/Free Cash Flow ratio
21.6822.8219.6432.0833.1151.6355.3426.4944.5227.9418.5251.63
Price/Earnings Growth ratio
1.060.75-4.22-1.921.990.29-2.050.71-1.26-15.90-1.430.29
Dividend Yield
1.18%1.03%0.84%0.54%0.52%0.36%0.33%0.41%0.54%0.54%0.75%0.52%
Profitability Indicator Ratios
Gross Profit Margin
51.22%52.18%53.32%54.59%56.54%57.47%52.21%55.15%54.85%55.36%56.03%57.47%
Operating Profit Margin
15.48%17.45%17.10%17.34%13.13%16.46%16.67%22.35%17.90%17.02%16.32%13.13%
Pretax Profit Margin
11.96%13.51%13.15%13.27%8.97%13.09%14.09%19.91%15.97%14.59%8.66%13.09%
Net Profit Margin
10.20%13.53%12.70%7.10%8.20%17.78%13.21%17.27%13.01%11.97%7.84%17.78%
Effective Tax Rate
13.01%3.20%3.28%45.50%10.56%-35.91%6.13%13.28%18.61%17.61%9.23%-35.91%
Return on Assets
4.71%6.31%6.10%2.46%3.19%7.31%4.68%7.06%5.24%4.73%3.17%7.31%
Return On Equity
9.81%12.18%11.09%6.27%7.90%15.48%10.05%12.92%9.02%8.02%5.28%15.48%
Return on Capital Employed
8.52%9.83%9.22%6.53%5.64%7.43%6.39%10.14%7.87%7.31%7.19%5.64%
Liquidity Ratios
Current Ratio
1.651.502.762.332.122.322.63N/AN/AN/A2.422.12
Quick Ratio
1.131.012.021.511.381.471.681.391.431.281.381.38
Cash ratio
0.470.501.270.680.610.530.690.650.500.360.390.53
Days of Sales Outstanding
54.2952.9253.1458.8154.6058.8856.8349.8353.4654.4156.7254.60
Days of Inventory outstanding
136.49139.31132.36148.22146.75157.59154.51138.36167.58172.17175.59146.75
Operating Cycle
190.79192.24185.51207.04201.36216.47211.35188.19221.05226.59232.31201.36
Days of Payables Outstanding
26.0727.9629.0534.4636.6034.0330.8634.2536.7336.3632.7234.03
Cash Conversion Cycle
164.72164.27156.45172.57164.75182.43180.48153.94184.31190.23199.59164.75
Debt Ratios
Debt Ratio
0.260.270.260.360.340.310.340.280.240.240.230.31
Debt Equity Ratio
0.550.520.480.920.840.670.740.520.420.400.390.67
Long-term Debt to Capitalization
0.260.240.280.470.440.390.410.330.280.280.270.39
Total Debt to Capitalization
0.350.340.320.480.450.400.420.340.290.290.280.40
Interest Coverage Ratio
4.625.276.814.683.875.520.32N/AN/AN/A5.443.87
Cash Flow to Debt Ratio
0.260.280.390.180.200.210.170.330.190.280.320.20
Company Equity Multiplier
2.081.931.812.542.472.112.141.831.721.691.672.11
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.150.160.210.190.170.160.170.230.120.170.180.17
Free Cash Flow / Operating Cash Flow Ratio
0.760.790.860.830.810.760.790.890.760.820.780.76
Cash Flow Coverage Ratio
0.260.280.390.180.200.210.170.330.190.280.320.20
Short Term Coverage Ratio
0.770.722.234.845.048.794.345.923.915.835.905.04
Dividend Payout Ratio
29.97%23.08%24.83%40.14%30.95%13.61%18.85%13.11%17.56%17.93%26.86%26.86%