Recent Annual Filings for CNMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,306,247,000 $1,307,015,000 $1,143,986,000 $123,736,000 $166,968,000 $-151,000,000 $163,000
2023 $2,300,021,000 $1,244,744,000 $1,163,916,000 $72,147,000 $125,348,000 $-110,432,000 $-4,646,000
2022 $2,297,592,000 $1,045,472,000 $1,116,334,000 $-84,237,000 $33,365,000 $225,000,000 $8,095,000
2021 $1,766,017,000 $1,010,635,000 $937,530,000 $72,020,000 $111,770,000 $-101,548,000 $-6,509,000
2020 $1,751,673,000 $862,459,000 $860,856,000 $5,113,000 $64,531,000 $-52,059,000 $1,500,000
2019 $1,775,095,000 $955,097,000 $923,872,000 $25,080,000 $95,133,000 $300,881,000 $8,345,000
2018 $1,369,138,000 $859,634,000 $808,981,000 $40,144,000 $74,701,000 $-72,265,000 $-15,111,000
2017 $1,357,961,000 $796,392,000 $767,660,000 $64,935,000 $65,566,000 $-34,881,000 $5,194,000