Recent Annual Filings for XRAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,753,000,000 $3,793,000,000 $4,729,000,000 $-1,004,000,000 $461,000,000 $-302,000,000 $-62,000,000
2023 $7,370,000,000 $3,965,000,000 $4,140,000,000 $-140,000,000 $377,000,000 $-307,000,000 $-31,000,000
2022 $7,643,000,000 $3,922,000,000 $4,977,000,000 $-986,000,000 $517,000,000 $-329,000,000 $26,000,000
2021 $9,220,000,000 $4,251,000,000 $3,692,000,000 $291,000,000 $657,000,000 $-379,000,000 $-99,000,000
2020 $9,342,000,000 $3,342,000,000 $3,402,000,000 $54,000,000 $635,000,000 $490,000,000 $33,000,000
2019 $8,602,900,000 $4,029,200,000 $3,683,800,000 $142,800,000 $632,800,000 $-466,100,000 $95,300,000
2018 $8,687,000,000 $3,986,300,000 $4,944,700,000 $-1,198,400,000 $499,800,000 $-249,800,000 $-11,000,000
2017 $10,374,500,000 $3,993,400,000 $5,596,900,000 $-1,135,300,000 $601,900,000 $-400,800,000 $-63,300,000