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Trade Teleflex - TFX CFD

256.49
1.21%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.40
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.0308 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.0308%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.0308 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.0137%
Overnight fee time 22:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Teleflex Inc ESG Risk Ratings

High Medium Low Negligible

‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 253.13
Open* 250.8
1-Year Change* -38.3%
Day's Range* 250.8 - 250.8
52 wk Range 182.65-356.72
Average Volume (10 days) 0.37748
Average Volume (3 months) 8.39535
Market Cap 10178.7
P/E Ratio 24.9271
Shares Outstanding 46906400
Revenue 2794.96
EPS 8.7054
Dividend (Yield %) 0.62673
Beta 1.07353
Next Earnings Date Feb 22, 2023

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Jun 29, 2022 256.49 4.60 1.83% 251.89 257.11 250.68
Jun 28, 2022 253.13 -6.37 -2.45% 259.50 261.44 252.82
Jun 27, 2022 259.47 2.68 1.04% 256.79 261.18 253.69
Jun 24, 2022 257.84 5.82 2.31% 252.02 258.01 249.57
Jun 23, 2022 251.34 4.58 1.86% 246.76 252.00 246.51
Jun 22, 2022 247.59 2.34 0.95% 245.25 253.85 244.62
Jun 21, 2022 248.93 0.39 0.16% 248.54 249.67 245.46
Jun 17, 2022 244.76 -4.59 -1.84% 249.35 253.77 244.65
Jun 16, 2022 249.33 -0.29 -0.12% 249.62 250.24 246.06
Jun 15, 2022 257.01 3.62 1.43% 253.39 260.52 252.51
Jun 14, 2022 252.46 -5.08 -1.97% 257.54 257.73 250.59
Jun 13, 2022 259.18 -2.03 -0.78% 261.21 262.78 257.29
Jun 10, 2022 267.28 3.97 1.51% 263.31 269.95 263.31
Jun 9, 2022 271.57 -6.62 -2.38% 278.19 280.09 271.55
Jun 8, 2022 281.14 -0.35 -0.12% 281.49 285.47 281.05
Jun 7, 2022 285.06 4.77 1.70% 280.29 285.25 279.07
Jun 6, 2022 283.62 0.60 0.21% 283.02 286.50 281.98
Jun 3, 2022 281.70 -2.29 -0.81% 283.99 288.88 281.54
Jun 2, 2022 290.44 5.67 1.99% 284.77 290.77 278.02
Jun 1, 2022 282.80 -4.79 -1.67% 287.59 289.26 276.94

Teleflex Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 1868.03 2146.3 2448.38 2595.36 2537.16 2809.56
Revenue 1868.03 2146.3 2448.38 2595.36 2537.16 2809.56
Cost of Revenue, Total 871.827 974.501 1063.94 1103.75 1212.28 1259.96
Gross Profit 996.2 1171.8 1384.44 1491.61 1324.87 1549.6
Total Operating Expense 1567.83 1779.62 2126.68 2176.93 2114.09 2194.45
Selling/General/Admin. Expenses, Total 563.308 689.863 878.688 934.373 706.854 860.085
Research & Development 58.579 84.77 106.208 113.857 119.747 130.841
Unusual Expense (Income) 74.121 30.483 77.842 24.95 75.205 -56.433
Operating Income 300.192 366.686 321.704 418.432 423.068 615.109
Interest Income (Expense), Net Non-Operating -54.467 -81.775 -102.076 -78.529 -65.336 -55.641
Net Income Before Taxes 245.725 284.911 219.628 339.903 357.732 559.468
Net Income After Taxes 237.651 263.163 196.432 461.981 335.801 485.119
Minority Interest -0.464 0 0
Net Income Before Extra. Items 237.187 263.163 196.432 461.981 335.801 485.119
Total Extraordinary Items 0.19 -110.633 4.37 -0.515 -0.477 0.255
Net Income 237.377 152.53 200.802 461.466 335.324 485.374
Income Available to Common Excl. Extra. Items 237.187 263.163 196.432 461.981 335.801 485.119
Income Available to Common Incl. Extra. Items 237.377 152.53 200.802 461.466 335.324 485.374
Diluted Net Income 237.377 152.53 200.802 461.466 335.324 485.374
Diluted Weighted Average Shares 47.646 46.664 46.801 47.09 47.287 47.427
Diluted EPS Excluding Extraordinary Items 4.97811 5.63953 4.19718 9.8106 7.10134 10.2288
Dividends per Share - Common Stock Primary Issue 1.36 1.36 1.36 1.36 1.36 1.36
Diluted Normalized EPS 6.48265 6.24291 5.68477 10.155 8.59423 9.19699
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
Total revenue 633.925 713.473 700.251 761.914 641.715
Revenue 633.925 713.473 700.251 761.914 641.715
Cost of Revenue, Total 289.398 315.917 312.464 342.182 295.482
Gross Profit 344.527 397.556 387.787 419.732 346.233
Total Operating Expense 530.491 597.839 459.276 606.848 538.179
Selling/General/Admin. Expenses, Total 203.148 224.159 205.194 227.584 203.932
Research & Development 29.947 33.283 31.816 35.795 36.36
Unusual Expense (Income) 7.998 24.48 -90.198 1.287 2.405
Operating Income 103.434 115.634 240.975 155.066 103.536
Interest Income (Expense), Net Non-Operating -16.139 -15.939 -11.774 -11.789 -10.196
Net Income Before Taxes 87.295 99.695 229.201 143.277 93.34
Net Income After Taxes 74.867 83.283 199.506 127.463 77.367
Net Income Before Extra. Items 74.867 83.283 199.506 127.463 77.367
Total Extraordinary Items -0.001 -0.035 -0.325 0.616 -0.226
Net Income 74.866 83.248 199.181 128.079 77.141
Income Available to Common Excl. Extra. Items 74.867 83.283 199.506 127.463 77.367
Income Available to Common Incl. Extra. Items 74.866 83.248 199.181 128.079 77.141
Diluted Net Income 74.866 83.248 199.181 128.079 77.141
Diluted Weighted Average Shares 47.407 47.433 47.452 47.415 47.402
Diluted EPS Excluding Extraordinary Items 1.57924 1.7558 4.20437 2.68824 1.63215
Dividends per Share - Common Stock Primary Issue 0.34 0.34 0.34 0.34 0.34
Diluted Normalized EPS 1.72393 2.18694 2.54982 2.71239 1.6742
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 1183.39 1128.81 1236.17 1306.33 1422.43 1429.12
Cash and Short Term Investments 543.789 333.558 357.161 301.083 375.88 445.084
Cash & Equivalents 543.789 333.558 357.161 301.083 375.88 445.084
Total Receivables, Net 271.993 345.875 366.286 418.673 395.071 383.569
Accounts Receivable - Trade, Net 271.993 345.875 366.286 418.673 395.071 383.569
Total Inventory 316.171 395.744 427.778 476.557 513.196 477.643
Prepaid Expenses 48.561 52.409 68.894 86.593 138.278 122.822
Other Current Assets, Total 2.879 1.221 16.05 23.426
Total Assets 3891.21 6181.49 6277.99 6309.82 7152.56 6871.72
Property/Plant/Equipment, Total - Net 302.899 382.999 432.766 543.879 574.547 573.411
Property/Plant/Equipment, Total - Gross 664.125 789.447 889.696 1027.4 1127.19 1131.39
Accumulated Depreciation, Total -361.226 -406.448 -456.93 -483.525 -552.638 -557.974
Goodwill, Net 1276.72 2235.59 2246.58 2245.3 2585.97 2504.2
Intangibles, Net 1091.66 2383.75 2325.05 2156.28 2519.75 2289.07
Other Long Term Assets, Total 36.538 50.346 37.425 58.019 49.875 75.924
Total Current Liabilities 427.646 483.876 582.456 563.055 540.027 680.119
Accounts Payable 69.4 92.027 106.709 102.916 102.52 118.236
Accrued Expenses 158.278 210.433 208.252 242.81 265.777 312.307
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 183.071 86.625 86.625 50 100.5 110
Other Current Liabilities, Total 16.897 94.791 180.87 167.329 71.23 139.576
Total Liabilities 1751.87 3750.96 3738.01 3330.5 3816.1 3116.97
Total Long Term Debt 850.252 2162.93 2072.2 1858.94 2377.89 1740.1
Long Term Debt 850.252 2162.93 2072.2 1858.94 2377.89 1740.1
Deferred Income Tax 271.377 603.676 608.221 439.558 484.678 370.124
Minority Interest 0 0
Other Liabilities, Total 202.597 500.482 475.136 468.944 413.509 326.629
Total Equity 2139.34 2430.53 2539.98 2979.32 3336.46 3754.75
Common Stock 45.814 46.871 47.248 47.536 47.812 47.929
Additional Paid-In Capital 506.8 591.721 574.761 616.98 652.305 693.09
Retained Earnings (Accumulated Deficit) 2194.59 2285.89 2427.6 2824.92 3096.23 3517.95
Treasury Stock - Common -170.973 -228.856 -168.545 -165.72 -162.59 -157.266
Other Equity, Total -436.893 -265.091 -341.085 -344.392 -297.298 -346.959
Total Liabilities & Shareholders’ Equity 3891.21 6181.49 6277.99 6309.82 7152.56 6871.72
Total Common Shares Outstanding 44.073 45.167 46.016 46.354 46.68 46.86
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 1378.78 1437.23 1541.84 1429.12 1494.2
Cash and Short Term Investments 324.631 361.781 481.167 445.084 466.656
Cash & Equivalents 324.631 361.781 481.167 445.084 466.656
Total Receivables, Net 401.112 414.195 399.744 383.569 407.159
Accounts Receivable - Trade, Net 401.112 414.195 399.744 383.569 407.159
Total Inventory 512.284 490.318 484.345 477.643 491.422
Prepaid Expenses 140.756 143.998 176.581 122.822 128.964
Total Assets 7028.02 7066.39 7039.96 6871.72 6873.31
Property/Plant/Equipment, Total - Net 562.202 564.864 576.316 573.411 560.411
Goodwill, Net 2565.87 2537.43 2522.95 2504.2 2492.73
Intangibles, Net 2470.24 2381.33 2337.25 2289.07 2243.56
Other Long Term Assets, Total 50.92 145.534 61.61 75.924 82.413
Total Current Liabilities 508.053 526.848 562.21 680.119 656.2
Accounts Payable 101.34 106.567 104.139 118.236 117.464
Accrued Expenses 258.092 265.624 276.396 312.307 278.16
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 83.75 92.5 101.25 110 110
Other Current Liabilities, Total 64.871 62.157 80.425 139.576 150.576
Total Liabilities 3652.23 3600.28 3382.09 3116.97 3077.78
Total Long Term Debt 2295.44 2215.67 1948.67 1740.1 1740.78
Long Term Debt 2295.44 2215.67 1948.67 1740.1 1740.78
Deferred Income Tax 482.484 483.269 479.105 370.124 369.739
Other Liabilities, Total 366.259 374.502 392.109 326.629 311.059
Total Equity 3375.79 3466.1 3657.87 3754.75 3795.53
Common Stock 47.83 47.882 47.915 47.929 47.934
Additional Paid-In Capital 654.745 669.877 686.6 693.09 692.24
Retained Earnings (Accumulated Deficit) 3155.2 3222.55 3405.81 3517.95 3579.15
Treasury Stock - Common -162.25 -162.246 -157.508 -157.266 -155.544
Other Equity, Total -319.735 -311.96 -324.942 -346.959 -368.245
Total Liabilities & Shareholders’ Equity 7028.02 7066.39 7039.96 6871.72 6873.31
Total Common Shares Outstanding 46.73 46.783 46.844 46.86 46.897
Other Current Assets, Total 26.936
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 237.841 152.53 200.802 461.466 335.324 485.374
Cash From Operating Activities 408.48 419.885 437.378 439.525 436.406 651.419
Cash From Operating Activities 54.415 56.497 60.494 64.088 68.567 71.758
Amortization 63.491 98.766 149.486 149.974 158.685 165.604
Deferred Taxes -29.346 -41.822 -6.097 -168.594 -32.675 -110.239
Non-Cash Items 63.505 21.94 76.99 47.087 -115.775 -88.423
Cash Taxes Paid 23.955 49.144 65.605 73.632 77.163 108.609
Cash Interest Paid 44.203 74.256 101.79 95.954 79.533 73.598
Changes in Working Capital 18.574 131.974 -44.297 -114.496 22.28 127.345
Cash From Investing Activities -56.974 -1832.85 -196.394 -73.481 -837.783 156.737
Capital Expenditures -53.135 -70.903 -80.795 -102.695 -90.694 -71.618
Other Investing Cash Flow Items, Total -3.839 -1761.95 -115.599 29.214 -747.089 228.355
Cash From Financing Activities -118.692 1141.26 -206.433 -418.836 455.163 -715.822
Financing Cash Flow Items -16.867 -26.999 -73.423 -123.714 -75.61 -41.222
Total Cash Dividends Paid -58.96 -61.237 -62.165 -62.828 -63.221 -63.648
Issuance (Retirement) of Debt, Net -42.865 1223.92 -93.5 -253.5 575 -634.5
Foreign Exchange Effects -27.391 61.48 -10.948 -3.286 21.011 -23.13
Net Change in Cash 205.423 -210.231 23.603 -56.078 74.797 69.204
Issuance (Retirement) of Stock, Net 5.571 22.655 21.206 18.994 23.548
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 74.866 158.114 357.295 485.374 77.141
Cash From Operating Activities 110.551 264.704 449.941 651.419 61.983
Cash From Operating Activities 17.513 35.982 53.846 71.758 17.317
Amortization 41.922 83.867 124.832 165.604 40.597
Deferred Taxes 0.425 1.05 -0.067 -110.239 0.409
Non-Cash Items -2.372 23.087 -74.531 -88.423 0.983
Changes in Working Capital -21.803 -37.396 -11.434 127.345 -74.464
Cash From Investing Activities -20.877 -31.756 167.726 156.737 -12.816
Capital Expenditures -19.276 -36.659 -52.09 -71.618 -13.078
Other Investing Cash Flow Items, Total -1.601 4.903 219.816 228.355 0.262
Cash From Financing Activities -131.496 -240.717 -500.415 -715.822 -20.96
Financing Cash Flow Items -13.093 -40.263 -41.162 -41.222 -0.073
Total Cash Dividends Paid -15.893 -31.793 -47.716 -63.648 -15.946
Issuance (Retirement) of Stock, Net -2.51 6.339 22.463 23.548 -4.941
Issuance (Retirement) of Debt, Net -100 -175 -434 -634.5 0
Foreign Exchange Effects -9.427 -6.33 -11.965 -23.13 -6.635
Net Change in Cash -51.249 -14.099 105.287 69.204 21.572

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Teleflex Company profile

About Teleflex Incorporated

Teleflex Incorporated is a provider of medical technology products. The Company primarily designs, develops, manufactures and supplies single-use medical devices used by hospitals and healthcare providers for common diagnostic and therapeutic procedures in critical care and surgical applications. The Company operates through four segments: Americas, Europe, the Middle East and Africa (EMEA), Asia Pacific (Asia) and Original Equipment Manufacturer and Development Services (OEM). OEM segment designs, manufactures and supplies devices and instruments for other medical device manufacturers. It includes the TFX Medical OEM, TFX OEM, Deknatel and HPC Medical brands, provides custom extrusions, micro-diameter film-cast tubing, diagnostic and interventional catheters, balloons and balloon catheters, film-insulated fine wire, coated mandrel wire, conductors, sheath/dilator introducers, specialized sutures and performance fibers, bioabsorbable sutures, yarns and resins.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Teleflex Incorporated revenues increased 11% to $2.81B. Net income before extraordinary items increased 44% to $485.1M. Revenues reflect Americas segment increase of 13% to $1.66B, Asia segment increase of 12% to $297.8M, OEM segment increase of 12% to $245.7M, United States segment increase of 13% to $1.77B, Asia Pacific segment increase of 14% to $263M, All other segment increase of 20% to $112.1M.

Equity composition

Common Stock $1 Par, 03/11, 100M auth., 42,400,000 issd., less 2,192,000 shs. in Treas. @ $131.6M. Insiders Owns 0.68%. PO: 3/83,500K shares @ $33.50 by Kidder, Peabody & Co.

Industry: Medical Equipment, Supplies & Distribution (NEC)

550 E Swedesford Rd Ste 400
WAYNE
PENNSYLVANIA 19087-1601
US

Income Statement

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