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Alcon Inc. ALC PHARMA

Healthcare · Medical Instruments & Supplies · Switzerland
https://www.alcon.com
Company Profile ↓
$69.12
-19.68% 1Y
Mkt Cap$33.41B
P/E52.76
P/B1.53
Div. Yield0.51%
52W High$89.68
52W Low$62.02
Book Value$44.67
EPS (TTM)$1.31

Company Overview

Alcon Inc. researches, develops, manufactures, distributes, and sells eye care products worldwide. The company operates through two segments, Surgical and Vision Care. It offers equipment, instrumentation and diagnostics, intraocular lenses (IOLs), and other implantables; and consumables, including viscoelastics, surgical solutions, incisional instruments, surgical custom packs, and other products for surgical procedures. The company's cataract products include Unity CS, LenSx laser system, Verion reference unit and Verion digital marker, ARGOS biometer, SMARTCATARACT health platform, NGENUITY 3D visualization system, LuxOR surgical ophthalmic microscope, and ORA system for intra-operative measurements; ADI cloud-based platform; and implantable products, including monofocal, Toric, and Presbyopia-Correcting IOLs, as well as delivery systems, such as AutonoMe and UltraSert. In addition, it provides Custom Pak surgical procedure packs vitreoretinal products comprising constellation vision systems, procedure packs, lasers and hand-held microsurgical instruments, Grieshaber, MIVS instruments; scissors, forceps and micro-instruments, medical grade vitreous tamponades, and Hypervit probes; and refractive surgery products, including WaveLight and Contoura Vision used for LASIK refractive procedure. Further, the company offers daily disposable, reusable, and color-enhancing contact lenses; ocular health products, such as dry eye, ocular allergies, glaucoma, and contact lens care, as well as ocular vitamins and redness relievers. The company was formerly known as Alcon Universal S.A. and changed its name to Alcon Inc. in December 2001. Alcon Inc. was founded in 1945 and is headquartered in Geneva, Switzerland.

Why Investors Should Care

Consistent Profit Growth

Net profit has compounded at 43.0% per year over the last five years.

Conservative Balance Sheet

Carries low leverage with a debt-to-equity ratio of 0.25.

Positive Free Cash Flow

Generates positive free cash flow, funding growth and shareholder returns internally.

Recent Developments

  • Dec 2025 Revenue of $10.40B (+4.9% YoY); net profit $980.00M.
  • Trailing 12 Months Year-on-year growth — revenue +8.7%, earnings -44.6%.
  • 5-Year Trend Long-term compounding — revenue CAGR 6.1%, profit CAGR 43.0%.

Growth & Price Performance

Compounded Sales Growth

5 Years:6.06%
1 Year:8.70%

Compounded Profit Growth

5 Years:43.02%
1 Year:-44.60%

Stock Price Performance

1 Year:-19.68%
6 Months:-15.14%
3 Months:+4.55%
1 Month:-3.75%

Highlights auto-generated from reported financials and price data; not investment advice. Verify with official filings before acting.

Technical Snapshot Bearish
52-Week Range 26% of range
$62.02 $89.68
Trend Signals
  • Price vs 50-DMABelow
  • Price vs 200-DMABelow
  • RSI (14)38.07 · Neutral
Price Performance
1M-3.75%
3M+4.55%
6M-15.14%
1Y-19.68%
Valuation vs Sector

P/E of 52.76 is above the sector median of 24.83 — pricier than peers.

Auto-generated from price history and fundamentals; not investment advice.

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Price Chart

Robinhood TradingView

Fundamental Growth Charts

Interactive charts for Revenue, Net Income, EBITDA, Free Cash Flow, EPS, ROE, ROCE, Gross/Net/Operating Margin and more — switch metric and period using the dropdowns above. CAGR is computed across the displayed window (quarterly CAGR is annualised). Visual growth charts make it easy to spot multi-year compounding trends at a glance — far faster than reading raw numbers in a table.

PROS

  • Profit CAGR of 43.0% over 5 years.
  • Generates positive free cash flow.

CONS

  • Trading at a high P/E of 52.8.
  • In a downtrend (50-DMA below 200-DMA).

* The pros and cons are auto-generated from financial metrics.

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Valuation

Stock P/E
52.76
Industry PE
24.83
Forward P/E
17.37
PEG Ratio
1.25
Book Value
$44.67
Price to Book
1.53
P/S
3.05
EV/EBITDA
15.50
Dividend Yield
0.51%

Growth (CAGR)

Revenue 5Y
6.06%
Profit 5Y
43.02%
Revenue (YoY)
8.70%
Earnings (YoY)
-44.60%

Profitability & Returns

ROCE
4.77%
ROE
2.94%
ROA
2.80%
Profit Margin
5.92%
Op Margin
14.63%
Gross Margin
57.22%
EPS (Latest Qtr)
$0.39
EPS (TTM)
$1.31

Balance Sheet & Liquidity

Debt/Equity
0.25
Quick Ratio
1.12
Current Ratio
2.09
Debt
$5.30B
Total Assets
$31.62B
Current Assets
$6.62B
Working Capital
$3.40B

Ownership

Promoter Holding
0.20%
Chg in Prom Hold
0.01%
FII / Inst Holding
63.75%
Chg in FII Hold
-2.28%

Financial Snapshot

Enterprise Value
$33.41B
Total Revenue (TTM)
$10.86B
EBITDA
$2.40B
Free Cash Flow
$1.27B
Operating Cash Flow
$2.31B
Shares Outstanding
483.40M
Gross Margin
57.22%
Payout Ratio
27.03%

Peer comparison

Peer companies in the same sector (Healthcare).

#NameCMP $P/E Mkt CapDiv Yld % ROCE %ROE % Rev CAGR 5Y %Profit CAGR 5Y %
1 ALC Alcon Inc. PHARMA 69.12 52.76 $33.41B 0.51% 4.77% 2.94% 6.06% 43.02%
2 LLY Eli Lilly and Company SPXR3KPHARMA 1,123.91 37.80 $1.00T 0.60% - 102.29% 7.20% 11.41%
3 JNJ Johnson & Johnson SPXR3KPHARMA 269.12 31.22 $648.55B 1.98% 14.88% 25.74% 2.43% 4.76%
4 ABBV AbbVie Inc. SPXR3KPHARMA 248.78 70.48 $439.62B 2.78% 10.47% -129.24% 1.75% -29.06%
5 MRK Merck & Co., Inc. SPXR3KPHARMA 148.46 118.77 $366.28B 2.31% - 6.96% 5.64% 10.01%
6 UNH UnitedHealth Group Incorporated SPXR3KPHARMA 400.84 25.74 $359.79B 2.47% 9.74% 14.15% 10.40% 5.43%
7 NVS Novartis AG PHARMA 137.70 20.80 $261.73B 3.36% 21.09% 30.35% 9.25% 26.22%
8 AZN AstraZeneca PLC NDXPHARMA 160.04 23.99 $248.20B 2.00% 15.97% 21.96% 9.82% 45.96%
9 TMO Thermo Fisher Scientific Inc. SPXR3KPHARMA 603.02 32.49 $222.97B 0.29% 8.14% 13.51% 8.81% 12.95%
Financial Statements Quarterly Results · Profit & Loss · Balance Sheet · Cash Flows · Ratios

Quarterly Results

Figures in USD.

Metric Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Revenue 2.47B2.60B2.61B2.72B2.71B
Cost of Revenue 1.09B1.21B1.16B1.20B1.18B
Gross Profit 1.38B1.39B1.46B1.52B1.52B
Operating Expenses 915.00M1.14B1.13B1.20B1.23B
Operating Income 468.00M247.00M332.00M313.00M292.00M
EBITDA 773.00M612.00M521.00M793.00M614.00M
Interest Expense 49.00M51.00M51.00M53.00M52.00M
Pretax Income 414.00M199.00M283.00M264.00M240.00M
Tax Provision 64.00M23.00M46.00M47.00M51.00M
Net Income 350.00M176.00M237.00M217.00M189.00M
Diluted EPS 0.700.350.480.440.39

Profit & Loss (Annual)

Figures in USD.

Metric Dec 2022Dec 2023Dec 2024Dec 2025
Revenue 8.72B9.46B9.91B10.40B
Cost of Revenue 3.97B4.21B4.40B4.66B
Gross Profit 4.75B5.25B5.51B5.75B
Operating Expenses 4.08B4.21B4.10B4.38B
Operating Income 672.00M1.04B1.41B1.36B
EBITDA 1.72B2.24B2.68B2.70B
Interest Expense 134.00M189.00M192.00M204.00M
Pretax Income 463.00M832.00M1.26B1.16B
Tax Provision 128.00M-142.00M238.00M180.00M
Net Income 335.00M974.00M1.02B980.00M
Diluted EPS 0.681.962.051.98

Balance Sheet (Annual)

Figures in USD.

Metric Dec 2021Dec 2022Dec 2023Dec 2024Dec 2025
Total Assets -29.16B29.61B30.35B31.55B
Current Assets -5.19B5.65B6.31B6.45B
Cash & Equivalents 1.57B980.00M1.09B1.68B-
Inventory -2.11B2.32B2.27B2.39B
Receivables 1.59B1.77B1.89B1.85B-
Total Liabilities -9.49B8.99B30.35B31.55B
Current Liabilities -2.74B2.40B2.28B3.05B
Long Term Debt 3.97B4.54B4.68B4.54B-
Total Debt -5.07B5.13B497.00M509.00M
Total Equity -19.68B20.62B21.53B22.01B
Shares Outstanding -497.99M499.64M499.70M499.73M

Cash Flows (Annual)

Figures in USD.

Metric Dec 2021Dec 2022Dec 2023Dec 2024Dec 2025
Operating Cash Flow -1.22B1.39B2.08B2.27B
Investing Cash Flow --1.86B-1.09B-1.17B-1.34B
Financing Cash Flow --8.00M-211.00M-322.00M-1.12B
Capital Expenditure --745.00M-851.00M-670.00M-663.00M
Free Cash Flow -472.00M537.00M1.41B1.61B
Net Change in Cash --656.00M83.00M588.00M-192.00M

Ratios (Annual)

Figures in %.

Metric Dec 2022Dec 2023Dec 2024Dec 2025
Gross Margin % 54.5%55.5%55.6%55.2%
Operating Margin % 7.7%11.0%14.3%13.1%
Net Margin % 3.8%10.3%10.3%9.4%
ROE % 1.7%4.7%4.7%4.5%
ROCE % 2.5%3.8%5.0%4.8%

Shareholding Pattern

Insiders
0.20%
Institutions
63.75%
Public Float
63.87%

Top Institutional Holders

#Holder% HeldSharesValue
1 Vanguard Capital Management LLC 2.95% 14.75M $959.31M
2 Bank Of New York Mellon Corporation 2.61% 13.06M $849.29M
3 NORGES BANK 2.20% 10.98M $713.92M
4 Invesco Ltd. 2.08% 10.38M $675.14M
5 Aristotle Capital Management, LLC 2.00% 9.98M $649.04M
6 AKO Capital LLP 1.94% 9.68M $629.78M
7 Zurcher Kantonalbank (Zurich Cantonalbank) 1.58% 7.92M $514.84M
8 FMR, LLC 1.53% 7.66M $498.40M
9 UBS Group AG 1.43% 7.16M $465.45M
10 Amundi 1.33% 6.64M $431.71M

Analyst View

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Latest News

Recent headlines for ALC

Yahoo Finance Fri, 04 Sep 2026

Is it a Prudent Move to Retain ALC Stock in Your Portfolio Now?

Alcon's acquisitions, partnerships and new product launches support growth, but tariffs and intense competition remain key risks.

Yahoo Finance hu, 03 Sep 2026

Alcon Launches UNITY M, a Premium Ophthalmic Microscope Delivering Precise Control

GENEVA, September 03, 2026--Alcon Launches UNITY® M, a Premium Ophthalmic Microscope Delivering Precise Control

Yahoo Finance Wed, 02 Sep 2026

Platauro Metals Corp. - Star Project, Utah

Vancouver, British Columbia--(Newsfile Corp. - September 2, 2026) - Platauro Metals Corp. (TSXV: PURO) (OTCQB: MEXGF) ("Platauro" or the "Company") announces that its wholly-owned subsidiary, Alcon Silver Corp. ("Alcon"), is party to an opt…

Yahoo Finance Wed, 02 Sep 2026

Alcon (SWX:ALC), What Is Behind The Fresh Attention?

Alcon stock reacts to US Medicaid drug pricing agreement New US Medicaid drug pricing agreements involving Alcon (SWX:ALC) and eight other healthcare companies have put the stock in focus for investors assessing potential implications for i…

Yahoo Finance ue, 01 Sep 2026

Mid-cap biotechs join Trump’s latest round of drug pricing deals

Focused on Medicaid, the new pacts now involve more than just large pharmaceutical companies, but still aren’t expected to meaningfully impact drugmaker profits.

Yahoo Finance ue, 01 Sep 2026

Trump's Pharma Pricing Deal Expands as Healthcare Stocks Keep Climbing

Trump expanded his drug pricing deal to 26 pharma firms as UBS says healthcare stocks still have room to climb.

ALC — Frequently Asked Questions

What is the current share price of Alcon Inc. (ALC)?

As of 2026-09-19 21:16 PDT, Alcon Inc. (ALC) trades at $69.12 on NYSE. Its 52-week range is $62.02 to $89.68.

What is the market capitalisation of ALC?

Alcon Inc. (ALC) has a market capitalisation of $33.41B on NYSE.

What is the P/E ratio of ALC?

ALC trades at a trailing price-to-earnings (P/E) ratio of 52.76. The industry average P/E is 24.83. Its price-to-book (P/B) ratio is 1.53.

Does ALC pay a dividend?

Alcon Inc. (ALC) currently offers a dividend yield of 0.51%.

What is the return on equity (ROE) of ALC?

ALC has a return on equity (ROE) of 2.94%. Its return on capital employed (ROCE) is 4.77%.

Is ALC a good stock to buy?

This page provides a data-driven analysis of Alcon Inc. (ALC), including valuation ratios, profitability, growth trends, auto-generated pros and cons, peer comparison and AI exposure. Review these fundamentals alongside your own research and risk tolerance. This is informational content, not investment advice.

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