Recent Annual Filings for GMED

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,251,750,000 $2,519,355,000 $2,398,633,000 $106,315,000 $520,638,000 $-27,696,000 $317,146,000
2023 $5,086,083,000 $1,568,476,000 $1,403,083,000 $137,311,000 $243,499,000 $-231,821,000 $316,826,000
2022 $2,076,126,000 $1,022,843,000 $779,824,000 $172,311,000 $178,468,000 $-109,962,000 $-42,603,000
2021 $1,957,263,000 $958,102,000 $777,695,000 $138,464,000 $276,274,000 $54,147,000 $-46,328,000
2020 $1,679,485,000 $789,042,000 $663,143,000 $109,138,000 $198,793,000 $-38,663,000 $43,673,000
2019 $1,532,077,000 $785,368,000 $595,422,000 $159,484,000 $171,975,000 $24,439,000 $55,977,000
2018 $1,300,670,000 $712,969,000 $524,364,000 $156,209,000 $181,643,000 $32,570,000 $20,930,000
2017 $1,078,502,000 $635,977,000 $466,049,000 $109,083,000 $159,535,000 $1,626,000 $51,863,000