Fisher & Paykel Healthcare Corporation Limited

  • IPO date:
  • Sector: Healthcare
  • GIC Group: Health Care Equipment & Services
  • Industry: Medical Instruments & Supplies
  • Company website

Company description

Fisher & Paykel Healthcare Corporation Limited, together with its subsidiaries, designs, manufactures, markets, and sells medical device products and systems worldwide. It also provides its products for use in acute and chronic respiratory care, and surgery, as well as the treatment of obstructive sleep apnea (OSA) in the home and hospital. The company offers adult respiratory products, including optiflow nasal high flow therapy, invasive ventilation, and noninvasive ventilation. In addition, it provides infant respiratory products, such as resuscitation, invasive ventilation, continuous positive airway pressure (CPAP) therapy, and nasal high flow therapy products. Further, the company offers hospital products, including humidification products, breathing circuits, chambers, masks, nasal cannulas, surgical, accessories, and interfaces; and homecare products that include masks, CPAP devices, software and data management products, humidifiers, and accessories. Fisher & Paykel Healthcare Corporation Limited was founded in 1934 and is headquartered in Auckland, New Zealand.

Financial highlights

Market Capitalization$11483.109 million
P/E Ratio49.94
P/E Growth Ratio4.4677
Book Value3.027
Dividend Per Share0.405
Earnings Per Share0.4
EBITDA409,500
Profit Margin0.1583
Operating Margin TTM0.2101
Return on Assets TTM0.0963
Return on Equity TTM0.1458
Revenue TTM1,581,100.032

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2000-03-31 423,235 0 423,235 0
2001-03-31 192,846 0 192,846 63,265
2002-03-31 214,351 65,811 148,540 73,322
2003-03-31 208,420 67,568 208,420 142,983
2004-03-31 214,865 62,590 214,865 144,230
2005-03-31 241,136 67,243 173,893 92,425
2006-03-31 289,547 121,365 289,547 220,385
2007-03-31 349,242 149,094 200,148 131,022
2008-03-31 345,966 177,811 168,155 137,452
2009-03-31 485,516 212,087 273,429 164,541
2010-03-31 474,755 231,939 242,816 190,263
2011-03-31 467,680 228,372 239,308 203,232
2012-03-31 466,726 241,651 225,075 207,184
2013-03-31 507,250 248,406 258,844 223,917
2014-03-31 568,602 258,049 310,553 255,492
2015-03-31 644,013 261,369 382,644 277,544
2016-03-31 818,492 293,840 524,652 350,770
2017-03-31 869,506 303,980 565,526 394,374
2018-03-31 964,500 330,400 634,100 430,200
2019-03-31 1,072,100 354,600 717,500 469,900
2020-03-31 1,273,400 427,900 845,500 517,500
2021-03-31 1,948,200 725,600 1,222,600 618,300
2022-03-31 1,642,400 629,000 1,013,400 643,100
2023-03-31 1,588,600 642,700 945,900 705,200

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2000-03-31 2,622 459,219 267,796 94,465 110,988
2001-03-31 102,174 236,686 84,592 77,052 73,838 152,094
2002-03-31 73,310 215,333 43,450 2,727 670 171,883
2003-03-31 13,336 228,752 35,935 3,106 171,065
2004-03-31 30,578 224,173 32,948 6,326 174,558
2005-03-31 23,057 230,310 38,279 8,065 195,622
2006-03-31 16,554 267,470 63,477 23,841 204,239
2007-03-31 7,742 274,667 81,153 40,845 193,514
2008-03-31 5,263 331,667 136,003 65,007 3,647
2009-03-31 5,465 413,737 209,436 23,447 4,076
2010-03-31 6,891 475,059 181,895 24,502 13,000
2011-03-31 6,110 517,608 204,317 17,110 38,719
2012-03-31 6,253 572,054 223,902 80,230 63,305
2013-03-31 7,709 618,597 246,366 17,136 91,280
2014-03-31 10,438 630,325 224,203 45,786 66,076 120,373
2015-03-31 13,621 669,816 198,626 14,154 55,404 145,871
2016-03-31 18,741 766,803 225,134 16,286 46,853 163,244
2017-03-31 61,251 878,191 216,566 21,091 39,950 181,830
2018-03-31 31,900 1,025,100 263,700 29,900 52,500 198,400
2019-03-31 48,200 1,206,700 293,500 17,300 69,000 219,200
2020-03-31 67,100 1,435,000 461,200 92,200 22,000 225,400
2021-03-31 97,300 2,075,000 554,100 26,600 62,800 249,100
2022-03-31 89,900 2,107,000 427,300 17,000 63,000 261,200
2023-03-31 121,000 2,204,500 451,100 21,300 79,100 303,700

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2000-03-31 28,117 45,317 -6,634 31,838
2001-03-31 9,707 45,941 7,988 1,706 6,537
2002-03-31 48,128 56,101.59676 70,337 1,706 72,043 78,955
2003-03-31 72,904 -59,813 72,043 12,230 52,828
2004-03-31 54,699 52,455.54393 12,022 12,230 24,252 56,082
2005-03-31 61,405 66,380.45279 -7,436 24,252 16,816 58,720
2006-03-31 69,965 82,443.58974 -5,768 16,816 11,048 61,989
2007-03-31 57,605 -8,765 11,048 2,283 68,532
2008-03-31 35,276 38,375.876090000005 -5,577 2,283 -3,294 68,022
2009-03-31 62,233 51,318.83579 3,092 -3,294 -202 66,302
2010-03-31 71,631 106,508.33009999999 -921 -202 -1,123 68,094
2011-03-31 52,466 52,244.85294 -9,877 -1,123 -11,000 68,716
2012-03-31 64,110 73,981.87548999999 2,595 -11,000 -8,405 70,201
2013-03-31 77,053 69,349.32606 -1,022 -8,405 -9,427 71,067
2014-03-31 97,053 97,644.68624 5,666 -9,427 -3,761 72,113
2015-03-31 113,173 144,023.54095 3,228 -3,761 -533 47,901
2016-03-31 143,425 130,246.84684999999 2,988 -533 2,455 68,191
2017-03-31 169,152 176,774.42922 43,120 2,455 45,575 89,364
2018-03-31 190,200 247,800 -29,800 45,600 15,800 102,500
2019-03-31 209,200 253,300 15,100 15,800 30,900 114,600
2020-03-31 287,300 321,400 5,500 30,900 36,400 146,400
2021-03-31 524,200 625,300 49,000 36,400 85,400 181,300
2022-03-31 376,900 96,000 -800 85,400 84,600 224,900
2023-03-31 250,300 250,300 32,200 84,600 116,800 195,700