Recent Annual Filings for IART

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,037,424,000 $1,610,527,000 $1,582,116,000 $-19,409,000 $129,382,000 $237,863,000 $-30,027,000
2023 $3,781,988,000 $1,541,573,000 $1,430,047,000 $42,370,000 $139,955,000 $-229,925,000 $-180,259,000
2022 $3,889,758,000 $1,557,666,000 $1,318,746,000 $235,970,000 $264,469,000 $-251,953,000 $-56,787,000
2021 $3,782,383,000 $1,542,448,000 $1,345,218,000 $197,979,000 $312,427,000 $-98,226,000 $43,282,000
2020 $3,615,136,000 $1,371,868,000 $1,220,498,000 $136,235,000 $203,832,000 $121,625,000 $271,255,000
2019 $3,303,240,000 $1,517,557,000 $1,423,797,000 $19,242,000 $231,433,000 $-8,766,000 $60,073,000
2018 $3,107,887,000 $1,472,441,000 $1,361,443,000 $39,165,000 $199,683,000 $-180,872,000 $-36,097,000
2017 $3,211,257,000 $1,188,236,000 $1,143,432,000 $98,090,000 $114,544,000 $1,168,947,000 $72,880,000