
AstraZeneca PLC
NASDAQ•AZN
CEO: Mr. Pascal Soriot D.V.M., M.B.A.
Sector: Healthcare
Industry: Drug Manufacturers - General
Listing Date: 1993-05-12
AstraZeneca PLC, a biopharmaceutical company, focuses on the discovery, development, manufacture, and commercialization of prescription medicines. The company's marketed products include Tagrisso, Imfinzi, Lynparza, Calquence, Enhertu, Orpathys, Truqap, Zoladex, Faslodex, Farxiga, Brilinta, Lokelma, Roxadustat, Andexxa, Crestor, Seloken, Onglyza, Bydureon, Fasenra, Breztri, Symbicort, Saphnelo, Tezspire, Pulmicort, Bevespi, and Daliresp for cardiovascular, renal, metabolism, and oncology. Its marketed products also comprise Vaxzevria, Beyfortus, Synagis, FluMist, Soliris, Ultomiris, Strensiq, Koselugo, and Kanuma for covid-19 and rare disease. The company serves primary care and specialty care physicians through distributors and local representative offices in the United Kingdom, rest of Europe, the Americas, Asia, Africa, and Australasia. It has a collaboration agreement with Neurimmune AG to develop and commercialize NI006; BenevolentAI for drug discovery for systemic lupus erythematosus; Lunit for developing AI-Powered Digital Pathology Risk Assessment Tools for NSCLC; and Absci Corporation for AI-driven drug discovery against an oncology target. The company was formerly known as Zeneca Group PLC and changed its name to AstraZeneca PLC in April 1999. AstraZeneca PLC was incorporated in 1992 and is headquartered in Cambridge, the United Kingdom.
Contact Information
1 Francis Crick Avenue, Cambridge Biomedical Campus, Cambridge, CB2 0AA, United Kingdom
44-20-3749-5000
Market Cap
$276.26B
P/E (TTM)
32.7
23.2
Dividend Yield
1.5%
52W High
$89.43
52W Low
$61.24
52W Range
3.9
F-Score
Modified Piotroski Analysis
Based on 10-year fundamentals
Weak • 3.9 / 9 points
Scoring Range (0-9)
8-9: Excellent Value
6-7: Strong Fundamentals
4-5: Average Quality
0-3: Weak Performance
Data Period: 2015-2024
Financial Dashboard
Q3 2025 Data
Revenue
$15.19B+11.99%
4-Quarter Trend
EPS
$0.82+78.26%
4-Quarter Trend
FCF
$4.45B+119.65%
4-Quarter Trend
2024 Annual Earnings Highlights
Key Highlights
Strong Total Revenue Growth Total Revenue reached 54.07B USD, up 18.0%; growth balanced across focus therapy areas and key geographies.
Operating Profit Exceeds 10B Operating Profit increased 22.1% to 10.00B USD, reflecting strong underlying demand and operational efficiency gains.
Oncology Portfolio Drives Sales Oncology sales grew 18% to 20.28B USD, driven by Tagrisso, Imfinzi, and Calquence performance across global markets.
US Market Sales Surge US Product Sales increased 21% to 21.66B USD, reflecting strong growth in Oncology, Ultomiris, and Symbicort demand.
Risk Factors
Pipeline Delivery and Launch Risk Failure or delay in new drug development damages R&D reputation, adversely affecting future business and results of operations.
Pricing and Affordability Pressure Global cost-containment measures, including US IRA, reduce product value sooner than planned, impacting R&D pipeline yield.
Supply Chain and Quality Failure Inability to maintain compliant supply leads to product shortages, lost sales, negative regulatory findings, and reputational damage.
Intellectual Property Erosion Risk Loss of patent protection due to challenges accelerates generic competition, potentially causing material adverse impact on financial results.
Outlook
Robust Late-Stage Pipeline Progress Pipeline features 18 Phase III/Pivotal Phase II assets, focusing on Oncology, CVRM, and Rare Disease indications for future growth.
Strategic Pipeline Acquisitions Completed Completed Gracell (1.04B USD) and Fusion (2.20B USD) acquisitions in 2024, strengthening cell therapy and radioconjugate pipelines.
Emerging Markets Growth Focus Emerging Markets sales grew 15% (23% CER) to 13.54B USD, driven by Oncology and CVRM demand expansion.
Shareholder Return Commitment Declared and paid 4.60B USD in dividends (2.97 USD/share) in 2024, maintaining commitment to shareholder return policy.
Peer Comparison
Revenue (TTM)
GSK$297.24B
JNJ$92.15B
MRK$64.24B
Gross Margin (Latest Quarter)
LLY82.9%
MRK81.9%
AZN81.2%
Key Metrics
Symbol | Market Cap | P/E (TTM) | ROE (TTM) | Debt to Assets |
|---|---|---|---|---|
| LLY | $920.99B | 49.9 | 102.3% | 37.0% |
| JNJ | $472.05B | 18.9 | 32.7% | 3.3% |
| ABBV | $410.63B | 172.0 | 498.8% | 51.3% |
Long-Term Trends
Last 4 Quarters
Revenue
Net Income
Operating Cash Flow
4Q Revenue CAGR
+0.7%
Moderate Growth
4Q Net Income CAGR
+19.1%
Profitability Improved
Cash Flow Stability
100%
Strong Cash Flow
Research & Insights
Reports
All Years
Form 20-F - FY 2024
Period End: Dec 31, 2024|Filed: Feb 18, 2025|Revenue: $54.07B+18.0%|EPS: $1.14-40.4%BeatForm 20-F - FY 2023
Period End: Dec 31, 2023|Filed: Feb 20, 2024|Revenue: $45.81B+3.3%|EPS: $1.91+79.7%BeatForm 20-F - FY 2022
Period End: Dec 31, 2022|Filed: Feb 21, 2023|Revenue: $44.35B+18.5%|EPS: $1.06+2550.0%BeatForm 20-F - FY 2021
Period End: Dec 31, 2021|Filed: Feb 22, 2022|Revenue: $37.42B+40.6%|EPS: $0.04-96.7%MissForm 20-F - FY 2020
Period End: Dec 31, 2020|Filed: Feb 16, 2021|Revenue: $26.62B+9.2%|EPS: $1.22+136.9%Miss