St Jude Medical Inc (STJ) Profitability Comparisons, Net Margin, Gross Margin, Tax rate, Cash Flow Margin Comparisons - CSIMarket
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St Jude Medical Inc  (STJ)

St Jude Medical Inc Profitability Comparisons

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STJ Profitability Ratio

Company Industry Sector S&P 500
Gross Profit Margin (Q3 MRQ) 66.98 % 53.62 % 56.81 % 43 %
Gross Margin (Q3 TTM) 66.77 % 53.01 % 55.53 % 41.19 %
Gross Profit Margin 5 Yr. Avg. 71.05 % 49.94 % 54.37 % 35.59 %
EBITDA Margin (Q3 MRQ) 18.95 % 21.49 % 21.44 % 17.43 %
EBITDA Margin (Q3 TTM) 19.85 % 22.55 % 22.06 % 15.64 %
EBITDA Margin 5 Yr. Avg. 23.21 % 20.51 % 22.97 % 22.15 %
Operating Margin (Q3 MRQ) 19.08 % 13.79 % 17.56 % 14.86 %
Operating Margin (Q3 TTM) 15.51 % 12.09 % 14.82 % 11.42 %
Operating Margin 5 Yr. Avg. 19.6 % 15.34 % 20.3 % 13.34 %
Pre-Tax Profit Margin (Q3 MRQ) 16.34 % 11.72 % 11.42 % 10.12 %
Pre-Tax Profit Margin (Q3 TTM) 12.02 % 13.28 % 12.44 % 8.72 %
Pre-Tax Profit Margin 5 Yr. Avg. 17.28 % 13.64 % 14.03 % 10.26 %
Net Margin (Q3 MRQ) 14.14 % 9.21 % 15.19 % 7.47 %
Net Margin (Q3 TTM) 11.05 % 11.35 % 11.14 % 6.36 %
Net Margin 5 Yr. Avg. 14.72 % 10.6 % 11.78 % 7.68 %



Business Segment Profit Margin
 
ICD systems
  Explore ICD systems Segment  -
Pacemaker systems
  Explore Pacemaker systems Segment  -
Cardiac rhythm management
  Explore Cardiac rhythm management Segment  -
Heart valves
  Explore Heart valves Segment  -
Cardiac surgery
  Explore Cardiac surgery Segment  -
Vascular closure devices
  Explore Vascular closure devices Segment  -
Cardiology & vascular access
  Explore Cardiology & vascular access Segment  -
Atrial fibrillation
  Explore Atrial fibrillation Segment  -
Neuromodulation products
  Explore Neuromodulation products Segment  -
 

Company's Cashflow Profitability & Other



Profitability Ratios Company Industry Sector S&P 500
Free Cash Flow Margin (Q3 MRQ) 17.34 % 3.07 % 6.09 % 3.97 %
Free Cash Flow Margin (Q3 TTM) 14.12 % 11.94 % 14.61 % 19.8 %
Free Cash Flow Margin 5 Yr. Avg. - 12.98 % 15.69 % 5.9 %
Net Cash Flow Margin (Q3 MRQ) 4.87 % -2.35 % -5.38 % 0.57 %
Net Cash Flow Margin (Q3 TTM) -8.6 % 0.53 % -0.34 % 0.65 %
Net Cash Flow Margin 5 Yr. Avg. - 0.94 % 1.42 % -0.76 %
Effective Tax Rate (Q3 MRQ) 13.47 % 21.32 % 26.84 % 27.21 %
Effective Tax Rate (Q3 TTM) 8.1 % 18.13 % 22.15 % 29.64 %
Effective Tax Rate 5 Yr. Avg. 14.63 % 27.3 % 24.5 % 26.8 %
Note
To view Detail Information & Trends click on Individual Category.
To see Industry, Sector or S&P 500 Performance, click on each Category respectivly, on the top of the Table.

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