CONMED Corporation

NYSE:CNMD

70.47 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 24.29628.94220.84727.35625.85617.51132.62227.42872.50466.33254.44323.7226.04812.4179.18811.81111.6953.8313.4544.1895.9865.6261.4023.473.75.913.520.21.53.627.64.50.20.32.74.60.3
Kortetermijnbeleggingen 00000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 24.29628.94220.84727.35625.85617.51132.62227.42872.50466.33254.44323.7226.04812.4179.18811.81111.6953.8313.4544.1895.9865.6261.4023.473.75.913.520.21.53.627.64.50.20.32.74.60.3
Nettovorderingen 242.279191.345183.882177.152189.097181.55167.037148.244133.863129.87144.231139.315135.641145.35126.16296.51582.06775.1283.32774.59360.44958.09351.18878.62676.466.847.427.122.613.111.58.696.45.12.42.51.7
Voorraad 318.324332.32231.644194.868164.616154.599141.436135.869166.894148.149143.211156.228168.438172.796164.275159.976164.969151.687152.428127.935120.945120.443107.39104.61289.778.157.923.220.99.69974.35.83.62.31.8
Overige vlottende activa 30.7528.61923.7517.27817.79420.69115.68818.97131.13122.45117.04514.99316.31411.15310.29325.9620.2914.03316.30616.22513.7269.5044.5695.3236.98.83.11.34.221.80.54.70.31.10.20.20.1
Totaal vlottende activa 615.649581.226460.123416.654397.363374.351356.783330.512404.392381.15372.132346.187356.724350.192324.7294.262279.022249.883255.515222.942201.106193.666164.549192.031176.7159.6121.971.849.228.324.325.725.211.212.38.99.63.9
Niet-vlottende activa:
Materiële vaste activa, netto 137.328115.611108.863111.407118.883113.245116.229122.029128.547133.429138.985139.041139.187140.895143.502143.737123.679116.48104.224101.46597.38395.60891.02662.4557.860.859.426.519.716.216.412.18.785.94.33.32.4
Goodwill 806.844815.429617.528618.44618.042400.44401.954397.664260.651256.232248.428256.821234.815295.068290.505290.245289.508290.512335.65100000000041.4000000000
Immateriële activa 649.484681.799471.049501.537532.8413.193414.94419.549308.171316.44319.44190.809195.531190.091190.849195.939191.807191.135527.053529.717484.531442.665440.892420.809427.6404.4369.570.646.417.614.53.43.42.93.3000
Goodwill en immateriële activa 1,456.3281,497.2281,088.5771,119.9771,150.842813.633816.894817.213568.822572.672567.868447.63430.346485.159481.354486.184481.315481.647527.053529.717484.531442.665440.892420.809427.6404.4369.570.646.417.614.53.43.42.93.3000
Langetermijnbeleggingen 0000000-3.712-1.332000000-14.742-11.6970-12.8870000000000000000000
Belastingvorderingen 11.2119.659.6576.8425.6595.1624.7213.7121.3321.3981.1831.0572.3892.0091.95314.74211.697012.8870000000000000000000
Overige niet-vlottende activa 79.50593.87798.79796.793102.34862.74763.33459.22911.1839.54510.34150.5476.9487.5185.9947.4789.93513.56116.99118.70122.03810.2015.1414.2810.1410.81.24.102.10.710.10.40.30.10.1
Totaal niet-vlottende activa 1,684.3721,716.3661,305.8941,335.0191,377.732994.7871,001.178998.471708.552717.044718.376738.275578.87635.581632.803637.399614.929611.688648.268649.883603.952548.474537.059487.54485.5469.2439.798.370.233.83316.213.1119.64.63.42.5
Totaal activa 2,300.0212,297.5921,766.0171,751.6731,775.0951,369.1381,357.9611,328.9831,112.9441,098.1941,090.5081,084.462935.594985.773957.503931.661893.951861.571903.783872.825805.058742.14701.608679.571662.2628.8561.6170.1119.462.157.341.938.322.221.913.5136.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 88.22473.39358.19753.3155.96853.49842.04441.64734.7223.75227.44823.62221.16221.69226.2135.88738.98741.82331.08428.91318.3222.07419.87720.3516.519.69.62.42.41.51.30.71.11.10000
Kortlopende schulden 8.21769.74612.24925.88413.59618.33614.69910.2021.3391.2341.141.0554.557110.4332.1743.1853.3493.1484.2084.0374.1432.63173.42936.06832.92311062.52.50.10.10.520.10.60.1
Belastingschulden 000000002.9032.6682.11606.470.9730.6771.279004.7060000000000000000000
Uitgestelde opbrengsten 6.1539.6560.48850.17153.6942.92434.25832.03634.726-23.752-27.448-23.622-21.162-21.692-26.2121.40820.41918.43913.55613.40310.96514.2570000000000000000
Overige kortlopende verplichtingen 208.135143.76365.71260.83664.83346.18659.00230.06748.933114.722110.125121.45876.62769.43376.02314.43414.52911.79513.28416.70821.42719.01226.53121.85817.823.6103.43.56.25.11.11.91.72.71.31.21.2
Totaal kortlopende verplichtingen 310.729296.552196.646190.201188.087160.944150.003113.952119.718115.956111.265122.508131.184179.86678.19774.91477.28475.20562.13263.06154.85557.974119.83778.27667.266.230.65.811.910.28.91.93.13.34.71.41.81.3
Langlopende verplichtingen:
Langetermijnschulden 971.483985.076672.407749.977755.211438.564471.744488.288269.471240.201214.435160.80288.95285.182182.195196.19219.485264.676302.643290.485260.448254.756262.5342.68361.8361.9354027.86.99.400.14.95.30.50.60.7
Uitgestelde opbrengsten niet-vlottend 11.55466.72500000-119.143-114.62300000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 60.90266.72568.53757.87574.48881.06177.668119.143114.623112.223113.199107.51892.785106.04697.91683.49871.18851.00462.55451.43346.14328.44618.65512.1543.3000010.70.60.50.60.60.60.50.3
Overige niet-vlottende verplichtingen 111.131136.96942.99244.58246.84226.29927.114146.167138.68248.51645.2986.63649.60228.11622.6845.32520.99230.33223.44819.86310.12214.02516.98215.85818.618.514.35.74.70.90.80.70.60.610.100.2
Totaal niet-vlottende verplichtingen 1,155.071,255.495783.936852.434876.541545.924576.526634.455408.153400.94372.924354.956231.339219.344302.791325.013311.665346.012388.645361.781316.713297.227298.137370.692383.7380.4368.35.732.58.810.91.31.26.16.91.21.11.2
Totaal passiva 1,465.7991,552.047980.5821,042.6351,064.628706.868726.529748.407527.871516.896484.189477.464362.523399.21380.988399.927388.949421.217450.777424.842371.568355.201417.974448.968450.9446.6398.911.544.41919.83.24.39.411.62.62.92.5
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000000000
Gewone aandelen 0.3130.3130.3130.3130.3130.3130.3130.3130.313214.975228.002256.672244.98248.404263.550.3130.3130.3130.3110.3010.2910.2880.2530.1530.20000.1000000000
Ingehouden winsten 452.531412.631496.605457.417470.844464.851440.085406.932414.506406.145395.889377.907354.439354.02325.37327.471284.85247.425259.932227.938194.473162.391128.24103.83484.557.439.646.630.319.514.115.511.47.455.64.83.7
Overige gereserveerde algehele resultaten -50.17-57.858-54.203-63.681-59.277-55.737-49.078-58.526-53.894-39.822-17.572-27.581-26.348-15.861-12.405-31.032-0.505-8.612-9.736-6.3992.069-7.153-5.197-1.027-0.4-29.4-21.3-17.4-14.2-12.1-10.2-8.6-7.1-5.8-5-2.8-2.1-1.7
Overige totale aandeelhoudersvermogen 431.548390.459342.72314.989298.587252.843240.112231.857224.148000000234.982220.344201.228202.499226.143236.657231.413160.338127.643127154.2144.4129.458.835.733.631.829.711.210.38.17.41.9
Totaal eigen vermogen van aandeelhouders 834.222745.545785.435709.038710.467662.27631.432580.576585.073581.298606.319606.998573.071586.563576.515531.734505.002440.354453.006447.983433.49386.939283.634230.603211.3182.2162.7158.67543.137.538.73412.810.310.910.13.9
Totaal eigen vermogen 834.222745.545785.435709.038710.467662.27631.432580.576585.073581.298606.319606.998573.071586.563576.515531.734505.002440.354453.006447.983433.49386.939283.634230.603211.3182.2162.7158.67543.137.538.73412.810.310.910.13.9
Totaal passiva en aandeelhoudersvermogen 2,300.0212,297.5921,766.0171,751.6731,775.0951,369.1381,357.9611,328.9831,112.9441,098.1941,090.5081,084.462935.594985.773957.503931.661893.951861.571903.783872.825805.058742.14701.608679.571662.2628.8561.6170.1119.462.157.341.938.322.221.913.5136.4