1,756.5 MXN
98.2
5.29%
Last update Dec 16, 8:44 AM CST
Market closed
Day range
1,756.5
1,756.5
Previous close
1,854.69995
Open
1,756.5
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Medtronic plc
1,756.50
98.20
5.29%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2025 2024 2023 2022
Operating activities 120.9B 5.9B 5.2B 6.6B
Net income 84.5B 3.7B 3.8B 5.1B
Depreciation 51.5B 2.6B 2.7B 2.7B
Deferred taxes -5.7B -508M -226M -604M
StockBased compensation 7.7B 393M 355M 359M
Other non cash items 5.6B 573M 270M 138M
Accounts receivable -7.8B -391M -576M -477M
Accounts payable
Other assets liabilities -14.9B -484M -1.1B -625M
Investing activities -34.9B -2.4B -3.5B -1.7B
Capital expenditures -33.5B -1.6B -1.5B -1.4B
Net intangibles
Net acquisitions -1.8B -211M -1.9B -91M
Purchase of investments -148.1B -7.7B -7.5B -9.9B
Sale of investments 153.0B 7.4B 7.3B 9.7B
Other investing activity -4.5B -261M 4M -10M
Financing activities -97.8B -4.5B -7.2B -5.3B
Long term debt issuance 57.8B 0 5.4B 0
Long term debt payments -19.3B 0 -8.3B -1M
Short term debt issuance -19.3B 1.1B 5M 0
Common stock issuance 9.1B 284M 308M 429M
Common stock repurchase -58.3B -2.1B -645M -2.5B
Common dividends -64.6B -3.7B -3.6B -3.4B
Other financing charges -3.3B -3M -409M 163M
End cash position 39.9B 1.3B 1.5B 3.7B
Income tax paid 32.8B 1.6B 1.5B 996M
Interest paid 13.7B 826M 606M 540M
Free cash flow 93.4B 5.2B 4.6B 6.0B
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