Recent Annual Filings for LIVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,506,389,000 $1,253,437,000 $1,165,127,000 $10,947,000 $183,038,000 $18,551,000 $145,684,000
2023 $2,429,563,000 $1,153,545,000 $1,234,771,000 $37,782,000 $74,914,000 $21,484,000 $62,254,000
2022 $2,294,773,000 $1,021,805,000 $1,096,947,000 $-127,188,000 $69,921,000 $280,130,000 $307,626,000
2021 $2,200,951,000 $1,035,365,000 $1,159,837,000 $-170,804,000 $102,544,000 $-181,483,000 $-44,840,000
2020 $2,411,351,000 $934,241,000 $1,278,228,000 $-297,807,000 $-79,422,000 $310,756,000 $191,695,000
2019 $2,411,797,000 $1,084,170,000 $1,269,864,000 $-150,092,000 $-91,142,000 $146,581,000 $13,933,000
2018 $2,549,701,000 $1,106,961,000 $1,354,408,000 $-259,188,000 $120,489,000 $-42,348,000 $-46,411,000
2017 $2,503,891,000 $1,012,277,000 $891,139,000 $88,711,000 $91,339,000 $11,294,000 $53,826,000