Recent Annual Filings for ISRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,743,200,000 $8,352,100,000 $5,678,300,000 $2,297,700,000 $2,415,000,000 $150,900,000 $-707,700,000
2023 $15,441,500,000 $7,124,100,000 $5,165,200,000 $1,967,300,000 $1,813,800,000 $-287,600,000 $1,169,400,000
2022 $12,974,000,000 $6,222,200,000 $4,615,400,000 $1,204,300,000 $1,490,800,000 $-2,572,300,000 $294,700,000
2021 $13,555,000,000 $5,710,100,000 $3,819,800,000 $1,655,500,000 $2,089,400,000 $43,000,000 $-332,500,000
2020 $11,168,900,000 $4,358,400,000 $3,151,400,000 $1,073,100,000 $1,484,800,000 $-85,700,000 $455,900,000
2019 $9,733,200,000 $4,478,500,000 $2,976,300,000 $25,400,000 $1,598,200,000 $-168,400,000 $273,200,000
2018 $7,846,700,000 $3,724,200,000 $2,444,700,000 $1,130,100,000 $1,169,600,000 $126,300,000 $246,200,000
2017 $5,758,000,000 $3,128,900,000 $2,032,400,000 $653,400,000 $1,143,900,000 $-1,913,100,000 $-388,400,000