Revvity, Inc.

Symbol: RVTY

NYSE

104.34

USD

Trhová cena dnes

  • 85.4676

    Pomer P/E

  • 5.4699

    Pomer PEG

  • 12.89B

    MRK Cap

  • 0.00%

    Výnos DIV

Revvity, Inc. (RVTY) Finančné výkazy

Na grafe môžete vidieť predvolené čísla v dynamike pre Revvity, Inc. (RVTY). Príjmy spoločnosti zobrazuje priemerná hodnota NaN M, ktorá je NaN % gowth. Priemerný hrubý zisk za celé obdobie je NaN M, čo je NaN %. Priemerný pomer hrubého zisku je NaN %. Rast čistého zisku za minuloročné výsledky spoločnosti je NaN %, ktorý sa rovná NaN % % v priemere za celú históriu spoločnosti.,

Súvaha

Keď sa ponoríme do fiškálnej trajektórie spoločnosti Revvity, Inc., pozorujeme priemerný rast aktív. Je zaujímavé, že táto miera predstavuje , čo odráža maximá aj minimá spoločnosti. V porovnaní medzi štvrťrokmi sa tento údaj upraví na . Pohľad späť za minulý rok odhaľuje celkovú zmenu aktív o NaN. Hodnota akcionárov, vyjadrená celkovým vlastným imaním akcionárov, sa oceňuje na NaN v mene vykazovania. Medziročná zmena tohto aspektu je NaN%.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985

balance-sheet.row.cash-and-short-term-investments

01604.3454.4618.3
402
191.9
163.1
202.1
359.3
237.9
174.8
173.2
171.4
142.3
420.1
179.7
179.1
203.3
191.1
502.3
197.5
191.5
130.6
138.3
125.6
126.7
95.6
57.9
47.8
76.2
66.4
72.2
69.8
63
34.2
28.6
41.9
32.1
22.2
17.4

balance-sheet.row.short-term-investments

0689.900
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balance-sheet.row.net-receivables

0632.8612.81023.8
1205.1
725.2
632.7
552.3
425.6
439
470.6
470
457
414
356.8
365.6
327.6
337.7
268.5
250.8
287.3
288.6
304.6
297.4
359.1
346.2
230
244
222.9
211.9
226.3
237.6
261.9
249.7
235.2
237.5
201.8
169.6
160.1
161.8

balance-sheet.row.inventory

0428.1405.5624.7
514.6
356.9
338.3
351.7
246.8
288
285.5
261
247.7
240.8
207.3
215.1
198
202.4
183.3
163.2
193.6
190.9
205.5
242.5
230.8
201.7
128.3
112.9
119.6
114.2
123.3
121.6
114.2
115.7
113.9
117
100.9
84.1
71.7
75.8

balance-sheet.row.other-current-assets

0335.9122.3174
167.2
100.5
100.5
94
99.2
68.2
137.2
140.5
95.6
69.4
100.9
123.4
126
99.5
102
82.6
69.3
95.3
164.1
319.4
177.7
140.5
111.5
73.4
64.4
66.4
65.5
33.6
36.9
27.5
24.3
24.2
19.8
22
10.2
13.4

balance-sheet.row.total-current-assets

03001.13297.82440.8
2288.9
1374.5
1234.6
1200.1
1189.9
1033.2
1068
1044.8
971.8
866.7
1085
883.8
830.7
842.9
744.8
998.9
747.6
766.3
991.3
997.4
893.1
815.1
565.4
488.2
454.7
468.7
481.5
465
482.8
455.9
407.6
407.3
364.4
307.8
264.2
268.4

balance-sheet.row.property-plant-equipment-net

0664.7671.3753.4
575.5
485.5
318.6
298.1
145.5
167
176.2
185.4
210.5
174.6
161.8
203.4
204.4
200.9
182.2
177.4
235.9
268.2
304
261.5
274.8
228
221.8
181.1
192.1
147.5
121.7
106.1
96.2
85.8
70.5
73.1
68.4
52.4
46.1
40.1

balance-sheet.row.goodwill

06533.66481.87416.6
3447.1
3111.2
2952.6
2982.2
2248
2279.2
2284.1
2143.1
2122.8
2093.6
1504.8
1468.3
1396.3
1355.7
1117.7
0
0
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0
0
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0
0

balance-sheet.row.intangible-assets

03022.33377.24063.1
1365.7
1283.3
1199.7
1366.9
420.2
490.8
490.3
460.4
529.9
661.6
424.2
459.1
452.5
479.2
404
1401.6
1471.3
1459.7
1439.8
1530.6
951.4
592.4
317.7
79.3
110.4
123.4
127.3
171.7
144.1
119.1
129.3
124
38.9
38.2
29.8
26.6

balance-sheet.row.goodwill-and-intangible-assets

09555.99858.911479.7
4812.8
4394.5
4152.2
4349.1
2668.2
2770
2774.3
2603.6
2652.7
2755.2
1929.1
1927.3
1848.8
1834.9
1521.7
1401.6
1471.3
1459.7
1439.8
1530.6
951.4
592.4
317.7
79.3
110.4
123.4
127.3
171.7
144.1
119.1
129.3
124
38.9
38.2
29.8
26.6

balance-sheet.row.long-term-investments

0114.7144.6110.9
24.7
22.6
0
0
1.7
1.6
1.6
1.3
1.1
1.1
1.4
2.3
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.tax-assets

08.218.518.5
65.5
60
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
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0
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0
0
0
0

balance-sheet.row.other-non-current-assets

0220.1135.6212.2
242.9
207.4
270
244.3
271.4
167.4
114.4
111.6
65.7
41.1
32.1
47.4
47.8
70.6
61.6
115.6
120.6
113.5
101.1
129.6
140.9
79.1
80
83.5
65.7
64.3
62.6
26
26.6
37.1
67.8
39
67.6
117.1
105.1
94.7

balance-sheet.row.total-non-current-assets

010563.61082912574.8
5721.4
5170
4740.8
4891.5
3086.8
3106
3066.5
2901.9
2930
2972
2124.3
2180.5
2101
2106.4
1765.6
1694.6
1827.9
1841.4
1844.9
1921.7
1367.1
899.5
619.5
343.9
368.2
335.2
311.6
303.8
266.9
242
267.6
236.1
174.9
207.7
181
161.4

balance-sheet.row.other-assets

0000
0
0
0
0
0
0
0
0
0
0
0
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0
0
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balance-sheet.row.total-assets

013564.714126.915015.6
8010.3
6544.6
5975.5
6091.6
4276.7
4139.2
4134.5
3946.7
3901.8
3838.7
3209.4
3064.2
2931.8
2949.3
2510.3
2693.5
2575.5
2607.7
2836.2
2919.1
2260.2
1714.6
1184.9
832.1
822.9
803.9
793.1
768.8
749.7
697.9
675.2
643.4
539.3
515.5
445.2
429.8

balance-sheet.row.account-payables

0204.1272.8355.5
327.3
235.9
220.9
222.1
168
152.7
174
167.2
168.9
178.9
161
158.7
169.4
186.4
152.8
147
146.6
154.7
146.3
143.4
151.8
152.9
81.8
73.4
75.7
72.8
66.1
60.8
69.7
63.2
61.9
52
0
0
0
0

balance-sheet.row.short-term-debt

0721.9470.94.2
380.9
10
15.8
215.5
1.2
1.1
1.1
2.6
1.8
0
2.3
0.1
0
0.6
1.2
1.1
9.7
5.2
191.5
125.7
186.2
382.2
157.9
46.2
21.5
5.3
60
43.6
40.3
57.3
88.6
104.5
34.2
59.2
39.5
62.3

balance-sheet.row.tax-payables

088.245.691
97.4
29.9
30.7
10.8
8.2
2.9
9.8
11.8
16.1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.long-term-debt-total

03177.84093.35165.1
1798.1
2210.4
1875.6
1790.6
1045.3
1011.8
1051.9
932.1
938.8
944.9
424
558.2
509
516.1
151.8
243.3
364.9
544.3
614.1
598.1
583.3
114.9
129.8
114.9
115.1
115.2
65.9
54.2
40.8
2.3
7
8.9
14.8
21.4
20.4
15.8

Deferred Revenue Non Current

00-4323.2-5982.4
-774.5
-224.9
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.deferred-tax-liabilities-non-current

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.other-current-liab

0388.9687.2567.1
600.2
358.7
380.8
347.9
271.2
244.5
255.4
268.3
256.1
423.3
351.9
337.3
346.8
277.5
322.5
346.4
289.6
292.2
359.9
439.1
379.6
317.4
284.4
166
162.6
172.4
155.7
132.7
125.3
120.9
107.4
99.7
139
138.8
122.5
122

balance-sheet.row.total-non-current-liabilities

04241.55167.56655
2572.6
2961.9
2617.9
2643
1519.8
1467.2
1493.1
1351.8
1380.8
1395.3
768.4
939.2
847.6
826.5
456.1
548.4
669.5
806.7
886.2
847.4
814.2
311.3
261.1
218.2
198
186.5
65.9
54.2
40.8
35.8
47.7
38.2
33.8
46.1
46.9
42.1

balance-sheet.row.other-liabilities

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.capital-lease-obligations

0132.7170185.4
188.4
146.4
1.5
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.total-liab

05691.967347885.3
4274.8
3730.7
3390.5
3588.4
2123.1
2028.7
2092.4
1954.6
1962
1997.5
1283.6
1435.3
1363.8
1374.1
932.6
1042.9
1115.4
1258.7
1583.9
1555.6
1531.8
1163.8
785.2
503.8
457.8
437
347.7
291.3
276.1
277.2
305.6
294.4
207
244.1
208.9
226.4

balance-sheet.row.preferred-stock

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.common-stock

0123.4126.3126.2
112.1
111.1
110.6
110.4
109.6
112
112.5
112.6
115
113.2
115.7
117
117.1
117.6
123.3
130.1
129.1
145.1
145.1
145.1
61.5
60.1
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.retained-earnings

05609.249514417.2
3507.3
2812
2602.1
2380.5
2118.7
1991.4
1810.5
1684.4
1548.6
1510.7
1639.6
1288.6
1235.5
1142.1
1040.2
964.7
732.9
672.6
655.1
842
835.9
762
623.6
540.4
532
498.2
459.7
496.1
473.3
444.2
393.9
345.4
298.2
237.4
201.9
173.4

balance-sheet.row.accumulated-other-comprehensive-income-loss

0-276.7-447.5-162.7
-32
-199.6
-176.5
-46.5
-100.9
-46
24.8
77.6
66.6
54.1
-53.5
-27.3
-31.2
57.7
6.9
-1
53.1
27.4
-37.8
-60.9
-39
-14
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.other-total-stockholders-equity

02416.82763.12749.5
148.1
90.4
48.8
58.8
26.1
52.9
94.3
117.5
209.6
163.3
224
250.6
246.5
257.9
407.3
556.7
545
503.9
489.9
437.4
-129.9
-257.3
-223.9
-212.1
-166.9
-131.3
-14.3
-18.6
0.3
-23.5
-24.3
3.6
34.1
34
34.4
30

balance-sheet.row.total-stockholders-equity

07872.77392.97130.2
3735.5
2813.8
2585
2503.2
2153.6
2110.4
2042.1
1992.1
1939.8
1841.2
1925.8
1629
1567.9
1575.3
1577.7
1650.5
1460.1
1349
1252.3
1363.6
728.4
550.8
399.7
328.3
365.1
366.9
445.4
477.5
473.6
420.7
369.6
349
332.3
271.4
236.3
203.4

balance-sheet.row.total-liabilities-and-stockholders-equity

013564.714126.915015.6
8010.3
6544.6
5975.5
6091.6
4276.7
4139.2
4134.5
3946.7
3901.8
3838.7
3209.4
3064.2
2931.8
2949.3
2510.3
2693.5
2575.5
2607.7
2836.2
2919.1
2260.2
1714.6
1184.9
832.1
822.9
803.9
793.1
768.8
749.7
697.9
675.2
643.4
539.3
515.5
445.2
429.8

balance-sheet.row.minority-interest

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.total-equity

07872.77392.97130.2
3735.5
2813.8
2585
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.total-liabilities-and-total-equity

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

Total Investments

0689.9144.6110.9
24.7
22.6
0
0
1.7
1.6
1.6
1.3
1.1
1.1
1.4
2.3
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.total-debt

04032.44564.25169.3
2179.1
2220.4
1891.5
2006.1
1046.4
1012.9
1053
934.7
940.6
944.9
426.3
558.3
509.1
516.6
152.9
244.4
374.6
549.5
805.5
723.9
769.5
497.1
287.7
161.1
136.6
120.5
125.9
97.8
81.1
59.6
95.6
113.4
49
80.6
59.9
78.1

balance-sheet.row.net-debt

031184109.94551
1777
2028.5
1728.4
1804
687.2
775
878.1
761.5
769.2
802.6
6.2
378.6
330
313.3
-38.1
-257.9
177.1
358
674.9
585.6
644
370.4
192.1
103.2
88.8
44.3
59.5
25.6
11.3
-3.4
61.4
84.8
7.1
48.5
37.7
60.7

Výkaz peňažných tokov

Finančné prostredie spoločnosti Revvity, Inc. zaznamenalo za posledné obdobie pozoruhodnú zmenu voľného peňažného toku, ktorý vykazuje posun NaN. Spoločnosť nedávno rozšírila svoje základné imanie vydaním NaN, čo v porovnaní s predchádzajúcim rokom znamená rozdiel NaN. Výsledkom investičnej činnosti spoločnosti bolo čisté použitie hotovosti vo výške NaN v mene vykazovania. V porovnaní s predchádzajúcim rokom ide o posun o NaN. V tom istom období spoločnosť zaznamenala NaN, NaN a NaN, ktoré sú významné pre pochopenie investičných a splátkových stratégií spoločnosti. Finančné aktivity spoločnosti viedli k čistému použitiu hotovosti vo výške NaN, pričom medziročný rozdiel predstavoval NaN. Okrem toho spoločnosť vyčlenila NaN na výplatu dividend svojim akcionárom. Zároveň uskutočnila ďalšie finančné manévre, označované ako NaN, ktoré tiež výrazne ovplyvnili jej peňažný tok v tomto období. Tieto zložky spolu vytvárajú komplexný obraz o finančnej situácii spoločnosti a strategickom prístupe k riadeniu peňažných tokov.

common:word.in-mln

USD
Growth
TTM20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989

cash-flows.row.net-income

0179.5579.2932.2
727.9
227.8
237.5
156.9
215.7
212.7
161.2
165.5
68.4
0.2
135.9
92.7
126.4
131.7
119.6
66.5
96
53
-151.9
34.5
90.5
154.3
102
33.6
60.2
68
-5.6
79.6
87.8
81.2
74
69.9

cash-flows.row.depreciation-and-amortization

0431.8427358
246.5
214
180.6
105
100
112
116.7
128.5
126.9
110.9
89.2
91.8
88.3
80.8
69.5
124.4
84.3
89.8
96.1
84.3
87.7
66.1
50.4
44.6
40.9
39.4
36.8
37.8
36.3
33.7
29.9
25.5

cash-flows.row.deferred-income-tax

0-123.7-107.4-36.4
-27.9
-53.1
-34.3
29
-6.8
-11.9
-41
-64.4
-64.2
79.7
-25.5
27.7
-12.1
-21.8
-10
1.4
21.9
-11.8
-35.4
0
0
0
11.3
0
0
0
0
0
0
0
0
0

cash-flows.row.stock-based-compensation

041.451.532.8
29.1
31.5
28.8
25.4
17.2
17.7
14.5
14.1
21
15.5
12.4
14.8
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.change-in-working-capital

0-391.3-382.1104.4
-115.8
-173.3
-148.2
-37.7
-35
-84.2
-105.1
-177.6
-206.1
-67.8
-62.9
-65.3
-9
8.5
-61.4
4.3
-14.7
22.4
49.1
-34.9
-26.9
-17.2
-15.4
-59.6
-20.5
35.7
-6.5
-2.1
3.9
-11.1
30.3
-36.1

cash-flows.row.account-receivables

0-966.1155.4
-423.9
-100.6
-94.5
-36.6
-19
6.8
-17
-14.4
-44.6
-24.8
-38.1
-28.1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.inventory

0-14.1-48.62.4
-122.5
-9.6
-30.2
-17.9
6.8
-28.7
-24.6
-13.9
-8.2
-2.2
-22.6
-5.8
-10.4
0.3
-11.1
-0.3
1.9
28.2
48.2
-39.5
-23.4
12.1
1.4
0.7
-6.7
12.1
1.6
-2
11.2
-2.1
3.9
-5.1

cash-flows.row.account-payables

0-76.4-43.80.8
62.8
7.4
8.9
34.3
30.7
-16.1
8.1
-1.8
-7.9
4
27.8
-14.1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.other-working-capital

0-291.8-355.8-54.2
367.8
-70.4
-32.4
-17.4
-53.5
-46.2
-71.6
-147.5
-145.4
-44.9
-30
-17.2
1.4
8.2
-50.3
4.6
-16.6
-5.8
0.9
4.6
-3.5
-29.3
-16.8
-60.3
-13.8
23.6
-8.1
-0.1
-7.3
-9
26.4
-31

cash-flows.row.other-non-cash-items

0-46.4111.619.9
32.4
116.6
46.7
9.8
59.6
40.8
135.3
92.5
206.1
86.5
15.2
-13.1
24.2
5.9
9.8
11.4
13.2
14.2
143.6
39.5
-5.8
-87.4
-78.7
16.2
-0.4
7.1
71.2
-3.2
-0.2
0.6
-5
-6.9

cash-flows.row.net-cash-provided-by-operating-activities

0000
0
0
0
0
0
0
0
0
0
0
0
0
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0
0
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0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.investments-in-property-plant-an-equipment

0-81.4-85.6-99.9
-77.5
-81.3
-93.3
-39.1
-31.7
-29.6
-29.1
-39
-42.4
-30.6
-33.6
-31.7
-43.3
-47
-44.5
-25.1
-19
-17.5
-67.8
-88.7
-70.6
-343.4
-264.5
-48.7
-80.5
-61.8
-37.3
-27.9
-22.4
-26.6
-19.8
-23.3

cash-flows.row.acquisitions-net

0-1.97-3989.8
-407.2
-399.9
-59.7
-1526.1
-50.9
-72
-271.5
-15.7
-40.9
-914
-150.4
0
-90.5
-315.9
-133.1
-17.6
2.8
0.5
-22.5
45.5
-397.4
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.purchases-of-investments

0-1227.9-47.2-23.1
-20.1
-6.4
-7
-10.8
0
0
0
0
0
0
0
-122.7
0
0
0
0
0
0
0
0
-20.5
0
0
0
0
0
-2.7
-2.5
-1.1
-3.4
-4.7
-3.9

cash-flows.row.sales-maturities-of-investments

055085.699.9
77.5
81.3
93.3
36.5
0
0
0
0
0
0
0
0
0
0
23.6
0
0
0
0
0
0
6.1
7.6
4.1
9.4
10.6
5.1
7.8
5.3
14.5
5
33.9

cash-flows.row.other-investing-activites

02074.7-92.7-99.8
-77.2
-81.3
-93.2
290
-18.2
0.8
4.7
53.5
3
34.8
479.2
0.5
-1.9
13.5
14.5
365.9
4.5
194.2
-65.7
109.8
87
193.4
210.4
46.5
-0.2
12.4
-30
-22.6
-55.6
1.9
-24.1
-80.9

cash-flows.row.net-cash-used-for-investing-activites

01313.5-132.9-4112.8
-504.5
-487.6
-159.9
-1249.4
-100.8
-100.9
-295.9
-1.2
-80.3
-909.9
295.1
-153.9
-135.7
-349.3
-139.5
323.3
-11.7
177.2
-156
66.5
-401.4
-143.9
-46.5
1.9
-71.3
-38.8
-64.9
-45.2
-73.8
-13.6
-43.6
-74.2

cash-flows.row.debt-repayment

0-517.5-799.2-1912.4
-902.2
-2237.7
-1292.4
-238.8
-903.6
-486.1
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-435.9
-765.3
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-363.2
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.common-stock-issued

04.314.125.1
37.7
19.7
0
0
0
0
0
0
0
23.7
29
6.2
43.7
32.4
21.5
19.4
15
3.6
19.1
39.5
46.9
28.9
28.3
6.7
4.8
3.7
1.2
26.2
28.6
21.7
16.1
13

cash-flows.row.common-stock-repurchased

0-388.9-80.6-73.1
-6.9
-6.3
-57.4
-3.8
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-76.4
-65.5
-127.4
-2.1
-110
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-14.6
-75.5
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-190.1
-24.4
0
0
-5.9
-1.8
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-1
-41.2
-28.1
-30.8
-135.1
-19.1
-45
-28.6
-24.2
-55.7
-49

cash-flows.row.dividends-paid

0-35-35.3-32.4
-31.2
-31.1
-31
-30.8
-30.8
-31.6
-31.6
-31.6
-31.9
-31.8
-33
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-33.1
-33.7
-35.5
-36.3
-35.8
-35.4
-35.3
-28.3
-27.5
-25.5
-25.4
-25.7
-26.6
-29.3
-31
-29.4
-27.6
-23.5
-21.7
-19.9

cash-flows.row.other-financing-activites

0-10.1239.24934.4
699.8
2405.5
1201.6
1055.7
971.2
486.9
484.1
704
425.7
1280.6
367.4
406.7
-36.2
353.2
-109.5
-176.5
-175.2
-266.6
52.8
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251
59.6
52.3
24.4
16.1
57.8
10.9
-14.8
-17.8
-35.5
-18.8
64.3

cash-flows.row.net-cash-used-provided-by-financing-activities

0-947.1-661.82941.7
-202.9
150.1
-179.2
782.2
-115
-107.1
30.9
-154.2
-44.2
397.2
-218.4
2.4
-101.1
148.9
-313.5
-217.9
-195.9
-298.4
30.7
-170.3
259.8
62
14
-22.7
-36.5
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-38
-63
-45.4
-61.5
-80.1
8.4

cash-flows.row.effect-of-forex-changes-on-cash

0-14-33.7-22.9
25.9
-0.4
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21.6
-13.4
-16
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-1.4
1.4
10
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3.3
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7.6
14.4
-8.8
12.9
14.5
16.2
-5.5
-5
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0.5
-4
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1.3
1.2
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-1.9
-0.5
0
0

cash-flows.row.net-change-in-cash

0459-148.6216.7
210.7
25.6
-36.1
-157.1
121.3
63.1
1.6
1.8
29.1
-277.7
240.4
0.6
-24.2
12.3
-311.2
304.8
6
60.9
-7.6
14
-1.1
31.1
37.6
10
-28.3
9.8
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2.4
6.7
28.8
5.5
-13.4

cash-flows.row.cash-at-end-of-period

0914.4470.7619.3
402.6
191.9
166.3
202.1
359.3
237.9
174.8
173.2
171.4
142.3
420.1
179.7
179.1
203.3
191.1
502.3
197.5
191.5
130.6
139.5
125.6
126.7
95.5
57.8
47.9
76.2
66.4
72.2
69.7
63
34.1
28.5

cash-flows.row.cash-at-beginning-of-period

0455.4619.3402.6
191.9
166.3
202.4
359.3
237.9
174.8
173.2
171.4
142.3
420.1
179.7
179.1
203.3
191.1
502.3
197.5
191.5
130.6
138.3
125.6
126.7
95.6
57.9
47.8
76.2
66.4
72.2
69.8
63
34.2
28.6
41.9

cash-flows.row.operating-cash-flow

091.3679.81410.8
892.2
363.5
311
288.5
350.6
287.1
281.6
158.6
152.2
224.9
164.3
148.7
217.8
205.1
127.4
208.1
200.8
167.5
101.5
123.3
145.5
115.8
69.6
34.8
80.2
150.2
95.9
112.1
127.8
104.4
129.2
52.4

cash-flows.row.capital-expenditure

0-81.4-85.6-99.9
-77.5
-81.3
-93.3
-39.1
-31.7
-29.6
-29.1
-39
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-30.6
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-31.7
-43.3
-47
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-25.1
-19
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-48.7
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-27.9
-22.4
-26.6
-19.8
-23.3

cash-flows.row.free-cash-flow

09.9594.21310.9
814.7
282.1
217.8
249.4
318.9
257.5
252.5
119.6
109.8
194.3
130.6
117
174.5
158.1
83
183
181.8
149.9
33.7
34.6
75
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-194.9
-13.9
-0.3
88.4
58.6
84.2
105.4
77.8
109.4
29.1

Riadok výkazu ziskov a strát

Príjmy Revvity, Inc. zaznamenali v porovnaní s predchádzajúcim obdobím zmenu o NaN%. Hrubý zisk spoločnosti RVTY sa vykazuje vo výške NaN. Prevádzkové náklady spoločnosti sú NaN, ktoré vykazujú zmenu o NaN% oproti minulému roku. Náklady na odpisy sú NaN, čo predstavuje NaN% zmenu oproti poslednému účtovnému obdobiu. Prevádzkové náklady sa vykazujú vo výške NaN, ktorá vykazuje NaN% medziročnú zmenu. Výdavky na predaj a marketing predstavujú NaN, čo je NaN% zmena oproti predchádzajúcemu roku. EBITDA na základe posledných čísel je NaN, čo predstavuje NaN% medziročný nárast. Prevádzkový zisk je NaN, ktorý vykazuje NaN% zmenu v porovnaní s predchádzajúcim rokom. Zmena čistého príjmu je NaN%. Čistý príjem za posledný rok bol NaN.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985

income-statement-row.row.total-revenue

02750.63311.85067.2
3782.7
2883.7
2778
2257
2115.5
2262.4
2237.2
2166.2
2115.2
1921.3
1704.3
1812.2
1937.5
1787.3
1546.4
1473.8
1687.2
1535.2
1505
1330.1
1695.3
1363.1
1407.9
1460.8
1427.3
1419.6
1332.6
2697.9
2788.8
2688.5
2474.3
1650.2
1406.3
1235.9
1145.1
1155.1

income-statement-row.row.cost-of-revenue

0157613222215.9
1672.9
1487.6
1437.1
1184
1102.2
1237.9
1232.6
1189.3
1152
1070.7
945.7
1032.4
1107.4
1062.6
918.3
859.3
1006.7
906.3
904.1
721.7
918.4
787.3
991.3
1040.1
1007.8
1012.6
957.8
2304.7
2387.3
2306.5
2140.8
1346.4
1114.3
984
935.3
927.9

income-statement-row.row.gross-profit

01174.61989.82851.3
2109.9
1396.1
1340.9
1073
1013.4
1024.5
1004.6
977
963.2
850.6
758.6
779.8
830.1
724.7
628.1
614.5
680.6
629
600.9
608.3
776.8
575.8
416.6
420.7
419.5
407
374.8
393.2
401.5
382
333.5
303.8
292
251.9
209.8
227.2

income-statement-row.row.gross-profit-ratio

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income-statement-row.row.research-development

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-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
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-
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-
-
-
-
-
-
-
-

income-statement-row.row.selling-general-administrative

0---
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-
-
-
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income-statement-row.row.selling-and-marketing-expenses

0---
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income-statement-row.row.other-expenses

0-1925.336.4
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33.6
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87.7
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36.8
37.8
36.3
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29.9
25.5
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21.2
16.4
15.1

income-statement-row.row.operating-expenses

08741247.11502.5
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755.6
725.2
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780.5
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765.4
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586.1
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630.9
540.7
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503.5
495.2
540.9
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464.4
322.7
332.9
331.8
324.3
315
272.4
278.3
256.8
225.8
205.4
193.9
172.6
149.6
145.2

income-statement-row.row.cost-and-expenses

024502569.13718.4
2796.2
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1827.3
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1908.1
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1531.8
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1401.5
1445
1214.2
1511.2
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income-statement-row.row.interest-income

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income-statement-row.row.interest-expense

098.8104102.1
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41.5
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49.9
45.8
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15.9
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income-statement-row.row.ebitda-ratio-caps

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income-statement-row.row.other-operating-expenses

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income-statement-row.row.total-operating-expenses

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income-statement-row.row.interest-expense

098.8104102.1
49.7
63.6
67
43.9
41.5
38
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49.9
45.8
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income-statement-row.row.depreciation-and-amortization

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153.8
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121.5
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103.5
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30.5
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income-statement-row.row.ebitda-caps

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income-statement-row.row.operating-income

0300.6742.71332.4
978.6
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323.9
304.8
283.1
286.1
210.7
217.4
195.7
89.7
153.6
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income-statement-row.row.income-before-tax

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257.7
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88.6

income-statement-row.row.income-tax-expense

03.5129.2347.6
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9.4
20.2
139.8
28.4
31.3
8.4
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31.8
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33.3
39.1
33.2
29.9
28.7
25.5
27.4
32.9

income-statement-row.row.net-income

0179.5569.2943.2
727.9
227.6
237.9
156.9
234.3
212.4
157.8
164.8
69.9
0.2
135.9
85.6
126.4
131.7
119.6
66.5
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28.4
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68.7
55.5
44.9
55.7

Často kladené otázky

Čo je Revvity, Inc. (RVTY) celkové aktíva?

Revvity, Inc. (RVTY) celkové aktíva sú 13564665000.000.

Aký je ročný obrat podniku?

Ročné príjmy sú N/A.

Aké je ziskové rozpätie podniku?

Zisková marža firmy je 0.489.

Aký je voľný peňažný tok podniku?

Voľný peňažný tok je 0.778.

Aká je čistá zisková marža podniku?

Čistá zisková marža je 0.056.

Aké sú celkové výnosy podniku?

Celkové príjmy sú 0.099.

Aká je Revvity, Inc. (RVTY) čistý zisk (čistý príjem)?

Čistý zisk (čistý príjem) je 179503000.000.

Aký je celkový dlh firmy?

Celkový dlh je 4032389000.000.

Aké je číslo prevádzkových nákladov?

Prevádzkové výdavky sú 874016000.000.

Aký je údaj o hotovosti spoločnosti?

Peňažné prostriedky podniku sú 0.000.