Recent Annual Filings for ZBH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,365,300,000 $7,678,600,000 $6,392,900,000 $832,000,000 $1,499,400,000 $-484,500,000 $126,800,000
2023 $21,496,900,000 $7,394,200,000 $6,116,500,000 $1,012,300,000 $1,581,600,000 $-763,500,000 $39,200,000
2022 $21,066,000,000 $6,939,900,000 $6,243,600,000 $222,600,000 $1,284,700,000 $-843,800,000 $-88,300,000
2021 $23,456,400,000 $7,836,200,000 $7,056,100,000 $468,300,000 $1,499,200,000 $-1,306,000,000 $-310,400,000
2020 $24,417,700,000 $7,024,500,000 $7,112,300,000 $-193,300,000 $1,204,500,000 $-421,800,000 $168,900,000
2019 $24,638,700,000 $7,982,200,000 $6,844,700,000 $1,077,000,000 $1,585,800,000 $-779,900,000 $76,600,000
2018 $24,126,800,000 $7,932,900,000 $7,899,100,000 $-440,600,000 $1,747,400,000 $-1,302,200,000 $28,600,000
2017 $25,964,500,000 $7,824,100,000 $7,015,900,000 $2,164,200,000 $1,582,300,000 $-1,210,500,000 $-109,700,000