Recent Annual Filings for NVST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,350,500,000 $2,510,600,000 $3,595,300,000 $-1,272,500,000 $336,500,000 $-103,700,000 $129,100,000
2023 $6,605,100,000 $2,566,500,000 $2,621,400,000 $-92,300,000 $275,700,000 $118,900,000 $333,100,000
2022 $6,587,000,000 $2,569,100,000 $2,285,200,000 $161,500,000 $182,700,000 $12,500,000 $-466,700,000
2021 $6,574,200,000 $2,508,900,000 $2,254,400,000 $288,800,000 $361,600,000 $-465,600,000 $184,700,000
2020 $6,876,000,000 $2,282,000,000 $2,312,100,000 $85,700,000 $283,900,000 $492,500,000 $677,700,000
2019 $6,158,300,000 $2,751,600,000 $2,476,100,000 $151,600,000 $397,500,000 $-107,700,000 $211,200,000