TAK Dividend: Takeda Pharmaceutical Co Ltd Yield Insights
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Takeda Pharmaceutical Co Ltd (TAK) Price
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Takeda Pharmaceutical Co Ltd
$14
2.11%
$0.28
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Income
Balance sheet
Cash flow
Annual
Quarterly
TAK Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
4,417,004
4,581,551
4,263,762
4,027,478
3,569,006
3,197,812
Revenue Growth (YoY)
-3%
7%
6%
13%
12%
-3%
Cost of Revenue
1,563,688
1,580,217
1,426,678
1,244,072
1,106,846
994,308
Gross Profit
2,853,316
3,001,334
2,837,084
2,783,406
2,462,160
2,203,504
Selling, General & Admin
1,075,890
1,104,766
1,053,819
997,309
886,361
875,663
Research & Development
691,573
730,227
729,924
633,325
526,087
455,833
Operating Expenses
2,479,739
2,464,303
2,406,297
2,232,511
1,916,672
1,867,782
Other Non Operating Income (Expenses)
1
0
1
--
1
--
Pretax Income
97,912
175,084
52,791
375,090
302,571
366,235
Income Tax Expense
64,625
66,941
-91,406
58,052
72,405
-9,936
Net Income
33,075
107,928
144,067
317,017
230,059
376,005
Net Income Growth
-89%
-25%
-55%
38%
-39%
750%
Shares Outstanding (Diluted)
1,577.46
1,578.87
1,564.45
1,569.87
1,577.16
1,573.53
Shares Change (YoY)
-2%
1%
0%
0%
0%
0%
EPS (Diluted)
20.96
68.35
92.08
201.93
145.86
238.95
EPS Growth
-88%
-26%
-54%
38%
-39%
746%
Free Cash Flow
922,298
709,341
235,614
343,467
937,068
774,463
Free Cash Flow Per Share
584.67
449.27
150.6
218.78
594.14
492.17
Gross Margin
64.59%
65.5%
66.53%
69.11%
68.98%
68.9%
Operating Margin
8.45%
11.72%
10.1%
13.67%
15.28%
10.49%
Profit Margin
0.74%
2.35%
3.37%
7.87%
6.44%
11.75%
Free Cash Flow Margin
20.88%
15.48%
5.52%
8.52%
26.25%
24.21%
EBITDA
920,352
1,100,500
952,312
1,093,338
1,018,403
757,586
EBITDA Margin
20.83%
24.02%
22.33%
27.14%
28.53%
23.69%
D&A For EBITDA
546,775
563,469
521,525
542,443
472,915
421,864
EBIT
373,577
537,031
430,787
550,895
545,488
335,722
EBIT Margin
8.45%
11.72%
10.1%
13.67%
15.28%
10.49%
Effective Tax Rate
66%
38.23%
-173.14%
15.47%
23.92%
-2.71%
Follow-Up Questions
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