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Envista Holdings Corp

NVST

20.440USD

-0.390-1.87%
Horarios del mercado ETCotizaciones retrasadas 15 min
3.41BCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
7.18%1.11B
13.58%1.08B
13.73%1.07B
20.27%991.30M
59.00%1.04B
62.08%948.50M
54.89%940.00M
44.98%824.20M
24.58%651.70M
-45.73%585.20M
-43.47%606.90M
-11.01%568.50M
-5.56%523.10M
144.40%1.08B
20.78%1.07B
-8.85%638.80M
-32.65%553.90M
24.77%441.20M
320.88%888.90M
262.73%700.80M
--822.40M
--353.60M
--211.20M
--193.20M
----
Efectivo y equivalentes de efectivo
7.18%1.11B
13.58%1.08B
13.73%1.07B
20.27%991.30M
59.00%1.04B
62.08%948.50M
54.89%940.00M
44.98%824.20M
24.58%651.70M
-45.73%585.20M
-43.47%606.90M
-11.01%568.50M
-5.56%523.10M
144.40%1.08B
20.78%1.07B
-8.85%638.80M
-32.65%553.90M
24.77%441.20M
320.88%888.90M
262.73%700.80M
--822.40M
--353.60M
--211.20M
--193.20M
----
Por cobrar
11.09%422.80M
-4.82%393.10M
-10.92%363.00M
-5.99%392.10M
-8.33%380.60M
2.79%413.00M
3.56%407.50M
6.35%417.10M
11.37%415.20M
17.28%401.80M
18.56%393.50M
27.59%392.20M
5.01%372.80M
-4.33%342.60M
-8.06%331.90M
-15.87%307.40M
15.86%355.00M
-2.13%358.10M
-18.62%361.00M
-19.94%365.40M
-35.02%306.40M
--365.90M
--443.60M
--456.40M
--471.50M
-Cuentas y pagarés por cobrar
11.09%422.80M
-4.82%393.10M
-10.92%363.00M
-5.99%392.10M
-8.33%380.60M
2.79%413.00M
3.56%407.50M
6.35%417.10M
11.37%415.20M
17.28%401.80M
18.56%393.50M
27.59%392.20M
5.01%372.80M
-4.33%342.60M
-8.06%331.90M
-15.87%307.40M
15.86%355.00M
-2.13%358.10M
-18.62%361.00M
-19.94%365.40M
-35.02%306.40M
--365.90M
--443.60M
--456.40M
--471.50M
Inventario
6.86%281.90M
-2.28%261.30M
-6.88%241.00M
-4.73%265.60M
-11.18%263.80M
-12.96%267.40M
-13.96%258.80M
-4.29%278.80M
3.85%297.00M
9.56%307.20M
14.03%300.80M
6.20%291.30M
-8.19%286.00M
-0.99%280.40M
-1.16%263.80M
6.52%274.30M
10.93%311.50M
-9.32%283.20M
-3.96%266.90M
-7.51%257.50M
0.39%280.80M
--312.30M
--277.90M
--278.40M
--279.70M
Gastos prepago
-15.36%119.60M
-17.48%118.00M
-16.16%115.20M
22.72%148.00M
13.04%141.30M
19.07%143.00M
11.35%137.40M
5.79%120.60M
-38.21%125.00M
-39.16%120.10M
-20.03%123.40M
46.34%114.00M
148.83%202.30M
144.31%197.40M
109.36%154.30M
-15.78%77.90M
-24.79%81.30M
5.48%80.80M
6.66%73.70M
106.47%92.50M
103.96%108.10M
--76.60M
--69.10M
--44.80M
--53.00M
Total de activos corrientes
6.20%1.93B
4.39%1.85B
2.56%1.79B
9.53%1.80B
22.37%1.82B
25.28%1.77B
22.40%1.74B
20.11%1.64B
7.25%1.49B
-25.91%1.41B
-22.40%1.42B
-22.67%1.37B
6.65%1.39B
64.09%1.91B
15.42%1.84B
24.73%1.77B
-14.23%1.30B
4.41%1.16B
58.75%1.59B
44.73%1.42B
88.72%1.52B
--1.11B
--1.00B
--978.50M
--804.20M
Activos no corrientes
Activos fijos netos
3.15%428.90M
-3.04%418.40M
-3.43%419.80M
0.60%433.20M
-3.23%415.80M
0.23%431.50M
2.19%434.70M
5.20%430.60M
8.90%429.70M
10.05%430.50M
8.47%425.40M
-1.82%409.30M
-13.81%394.60M
-13.30%391.20M
-16.25%392.20M
-12.03%416.90M
-5.26%457.80M
-6.51%451.20M
-4.51%468.30M
-2.27%473.90M
72.39%483.20M
--482.60M
--490.40M
--484.90M
--280.30M
-Activos fijos
7.42%821.80M
2.18%793.20M
1.06%783.90M
4.63%797.30M
1.14%765.00M
3.49%776.30M
5.15%775.70M
5.80%762.00M
6.85%756.40M
5.98%750.10M
4.25%737.70M
-2.86%720.20M
-20.71%707.90M
-19.32%707.80M
-21.05%707.60M
-16.61%741.40M
0.50%892.80M
-0.39%877.30M
--896.30M
--889.10M
--888.40M
--880.70M
----
----
----
-Depreciación acumulada
12.51%392.90M
8.70%374.80M
6.77%364.10M
9.87%364.10M
6.89%349.20M
7.88%344.80M
9.19%341.00M
6.59%331.40M
4.28%326.70M
0.95%319.60M
-0.98%312.30M
-4.19%310.90M
-27.98%313.30M
-25.70%316.60M
-26.31%315.40M
-21.84%324.50M
7.35%435.00M
7.03%426.10M
--428.00M
--415.20M
--405.20M
--398.10M
----
----
----
Fondo de comercio y otros activos intangibles
1.81%3.04B
-29.31%2.95B
-31.43%2.91B
-32.06%3.03B
-34.28%2.98B
-8.60%4.18B
-7.35%4.25B
-0.09%4.46B
1.59%4.54B
11.58%4.57B
9.69%4.58B
6.16%4.46B
-2.38%4.47B
-10.55%4.10B
-10.91%4.18B
-9.44%4.20B
-0.31%4.57B
0.64%4.58B
2.14%4.69B
1.50%4.64B
-1.66%4.59B
--4.55B
--4.59B
--4.57B
--4.67B
Otros activos no actuales
21.18%264.90M
40.31%244.70M
27.76%230.60M
63.90%250.60M
44.10%218.60M
10.17%174.40M
17.44%180.50M
-11.72%152.90M
-28.58%151.70M
-9.49%158.30M
-8.40%153.70M
-0.52%173.20M
44.49%212.40M
37.72%174.90M
31.81%167.80M
139.48%174.10M
95.48%147.00M
79.63%127.00M
71.10%127.30M
-9.91%72.70M
-70.85%75.20M
--70.70M
--74.40M
--80.70M
--258.00M
Total de activos no actuales
3.13%3.73B
-24.41%3.62B
-26.72%3.56B
-26.36%3.71B
-29.35%3.62B
-7.29%4.78B
-5.83%4.86B
-0.06%5.04B
0.90%5.12B
10.66%5.16B
8.95%5.16B
5.22%5.05B
-2.06%5.07B
-9.60%4.66B
-10.35%4.74B
-7.59%4.80B
0.62%5.18B
0.62%5.16B
2.50%5.29B
0.96%5.19B
-1.10%5.15B
--5.13B
--5.16B
--5.14B
--5.20B
Total de activos
4.16%5.66B
-16.62%5.47B
-18.99%5.35B
-17.55%5.51B
-17.69%5.44B
-0.28%6.56B
0.27%6.61B
4.24%6.68B
2.26%6.61B
0.04%6.58B
0.19%6.59B
-2.29%6.41B
-0.31%6.46B
3.96%6.57B
-4.39%6.57B
-0.66%6.56B
-2.76%6.48B
1.30%6.32B
11.65%6.88B
7.96%6.61B
10.92%6.67B
--6.24B
--6.16B
--6.12B
--6.01B
Pasivos
Pasivos corrientes
Gastos acumulados
7.07%331.80M
12.05%322.70M
12.73%348.80M
11.60%341.60M
5.55%309.90M
2.09%288.00M
-11.70%309.40M
-15.14%306.10M
-30.82%293.60M
-32.74%282.10M
-19.36%350.40M
-3.27%360.70M
8.46%424.40M
21.18%419.40M
0.37%434.50M
-13.32%372.90M
7.56%391.30M
7.02%346.10M
12.27%432.90M
22.42%430.20M
-15.67%363.80M
--323.40M
--385.60M
--351.40M
--431.40M
Deuda a corto plazo y pasivos por arrendamiento
-100.00%0.00
0.61%116.20M
0.61%116.00M
0.61%115.80M
-77.38%115.70M
-77.39%115.50M
-77.39%115.30M
-80.13%115.10M
0.57%511.50M
0.59%510.80M
17.95%510.00M
35.76%579.30M
20.66%508.60M
21.95%507.80M
-51.24%432.40M
11128.95%426.70M
66.27%421.50M
11797.14%416.40M
22638.46%886.80M
-97.50%3.80M
--253.50M
--3.50M
--3.90M
--152.00M
----
-Deuda a corto plazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--144.50M
----
Pasivos diferidos
59.66%180.10M
39.98%162.10M
37.69%146.50M
35.98%137.20M
9.94%112.80M
23.06%115.80M
34.85%106.40M
41.32%100.90M
44.92%102.60M
28.38%94.10M
31.28%78.90M
25.26%71.40M
25.53%70.80M
31.60%73.30M
23.66%60.10M
31.03%57.00M
30.86%56.40M
15.80%55.70M
-7.60%48.60M
-9.56%43.50M
--43.10M
--48.10M
--52.60M
--48.10M
----
Otros pasivos corrientes
59.66%180.10M
39.98%162.10M
37.69%146.50M
35.98%137.20M
9.94%112.80M
23.06%115.80M
34.85%106.40M
41.32%100.90M
44.92%102.60M
28.38%94.10M
31.28%78.90M
25.26%71.40M
25.53%70.80M
31.60%73.30M
23.66%60.10M
31.03%57.00M
30.86%56.40M
15.80%55.70M
-7.60%48.60M
-9.56%43.50M
--43.10M
--48.10M
--52.60M
--48.10M
----
Total pasivos corrientes
-3.35%793.90M
11.78%873.30M
12.54%878.70M
15.89%865.50M
-28.62%821.40M
-32.04%781.30M
-36.86%780.80M
-40.65%746.80M
-8.39%1.15B
-8.45%1.15B
2.36%1.24B
-0.86%1.26B
8.00%1.26B
10.51%1.26B
-28.28%1.21B
86.95%1.27B
40.11%1.16B
86.62%1.14B
137.55%1.68B
-10.75%678.90M
33.07%830.20M
--608.90M
--709.20M
--760.70M
--623.90M
Pasivos no corrientes
Provisiones a largo plazo
43.28%34.10M
26.21%31.30M
-1.33%29.70M
61.94%25.10M
43.37%23.80M
54.04%24.80M
72.00%30.10M
-58.45%15.50M
-57.65%16.60M
-59.85%16.10M
-58.03%17.50M
-36.35%37.30M
-56.78%39.20M
-54.84%40.10M
-54.43%41.70M
-36.24%58.60M
0.89%90.70M
2.07%88.80M
--91.50M
--91.90M
--89.90M
--87.00M
----
----
----
Deuda a largo plazo y pasivos por arrendamiento
4.53%1.56B
-5.91%1.41B
-7.35%1.40B
-4.71%1.42B
50.39%1.49B
50.54%1.50B
52.00%1.51B
53.16%1.49B
0.50%992.40M
-0.24%995.10M
-1.17%992.10M
-5.11%975.00M
-4.49%987.50M
-3.60%997.50M
-5.44%1.00B
-46.54%1.03B
-45.53%1.03B
-40.06%1.03B
-29.56%1.06B
28.89%1.92B
--1.90B
--1.73B
--1.51B
--1.49B
--0.00
-Deuda a largo plazo
4.06%1.45B
-6.81%1.30B
-8.57%1.28B
-5.46%1.31B
58.60%1.39B
59.13%1.39B
60.57%1.40B
62.17%1.38B
1.33%875.60M
-0.35%873.80M
-1.44%870.70M
-4.08%851.60M
-3.26%864.10M
-1.71%876.90M
-2.68%883.40M
-49.43%887.80M
-48.14%893.20M
-42.32%892.20M
-31.29%907.70M
34.57%1.76B
--1.72B
--1.55B
--1.32B
--1.30B
----
-Pasivos por arrendamiento a largo plazo
10.79%115.00M
5.77%113.70M
8.19%118.90M
4.54%117.40M
-11.13%103.80M
-11.38%107.50M
-9.47%109.90M
-9.00%112.30M
-5.35%116.80M
0.58%121.30M
0.83%121.40M
-11.67%123.40M
-12.30%123.40M
-15.37%120.60M
-21.72%120.40M
-16.10%139.70M
-20.06%140.70M
-20.61%142.50M
-17.31%153.80M
-10.82%166.50M
--176.00M
--179.50M
--186.00M
--186.70M
----
Pasivos diferidos
14.80%22.50M
142.68%19.90M
141.67%20.30M
163.29%20.80M
136.14%19.60M
-2.38%8.20M
-2.33%8.40M
-11.24%7.90M
-6.74%8.30M
47.37%8.40M
68.63%8.60M
97.78%8.90M
64.81%8.90M
23.91%5.70M
6.25%5.10M
-19.64%4.50M
38.46%5.40M
15.00%4.60M
--4.80M
--5.60M
--3.90M
--4.00M
----
----
----
Gastos acumulados a largo plazo
10.28%114.80M
-7.14%96.30M
-13.57%89.80M
-18.33%103.80M
-17.64%104.10M
-18.22%103.70M
-17.01%103.90M
-27.16%127.10M
-17.49%126.40M
-47.69%126.80M
-51.36%125.20M
-31.60%174.50M
-46.43%153.20M
-17.33%242.40M
-17.63%257.40M
-26.59%255.10M
-17.60%286.00M
-7.74%293.20M
--312.50M
--347.50M
--347.10M
--317.80M
----
----
----
Beneficios de empleado
43.28%34.10M
26.21%31.30M
-1.33%29.70M
61.94%25.10M
43.37%23.80M
54.04%24.80M
72.00%30.10M
-58.45%15.50M
-57.65%16.60M
-59.85%16.10M
-58.03%17.50M
-36.35%37.30M
-56.78%39.20M
-54.84%40.10M
-54.43%41.70M
-36.24%58.60M
0.89%90.70M
2.07%88.80M
--91.50M
--91.90M
--89.90M
--87.00M
----
----
----
Pasivos derivados
----
----
----
----
----
----
----
----
-80.90%1.70M
----
--0.00
--0.00
-73.19%8.90M
-100.00%0.00
--0.00
--0.00
--33.20M
58.88%17.00M
----
----
----
--10.70M
----
----
----
Otros pasivos no corrientes
30.41%56.60M
55.15%51.20M
29.87%50.00M
96.15%45.90M
74.30%43.40M
34.69%33.00M
47.51%38.50M
-49.35%23.40M
-36.48%24.90M
-46.51%24.50M
-44.23%26.10M
-26.78%46.20M
-59.21%39.20M
-50.96%45.80M
-51.40%46.80M
-35.28%63.10M
2.45%96.10M
2.64%93.40M
-75.88%96.30M
-72.34%97.50M
-82.26%93.80M
--91.00M
--399.30M
--352.50M
--528.80M
Total pasivos no corrientes
5.58%1.73B
-4.75%1.56B
-6.87%1.54B
-4.33%1.57B
43.18%1.64B
42.59%1.63B
44.34%1.65B
37.48%1.64B
-3.65%1.15B
-10.83%1.15B
-12.58%1.14B
-11.15%1.20B
-17.97%1.19B
-10.61%1.29B
-11.04%1.31B
-43.15%1.35B
-38.04%1.45B
-32.97%1.44B
-22.87%1.47B
28.38%2.37B
342.34%2.34B
--2.15B
--1.91B
--1.84B
--528.80M
Total pasivos
2.60%2.53B
0.59%2.43B
-0.64%2.42B
1.99%2.44B
7.19%2.46B
5.23%2.42B
2.15%2.43B
-2.58%2.39B
-6.09%2.30B
-9.66%2.30B
-5.41%2.38B
-6.15%2.45B
-6.41%2.44B
-1.29%2.54B
-20.25%2.52B
-14.15%2.61B
-17.57%2.61B
-6.53%2.57B
20.63%3.15B
16.95%3.05B
174.95%3.17B
--2.75B
--2.62B
--2.60B
--1.15B
Capital de los accionistas
Capital ordinario
2.30%3.86B
2.19%3.85B
0.89%3.79B
0.89%3.78B
1.46%3.78B
1.47%3.77B
1.60%3.76B
1.63%3.75B
1.11%3.72B
1.22%3.71B
-0.90%3.70B
-0.73%3.69B
-0.79%3.68B
-0.63%3.67B
1.31%3.73B
1.15%3.72B
1.14%3.71B
2.64%3.69B
2.64%3.69B
1.68%3.68B
--3.67B
--3.60B
--3.59B
--3.62B
----
Ganancias retenidas
10.83%-443.00M
-171.69%-469.40M
-177.22%-487.40M
-157.58%-488.60M
-160.07%-496.80M
-15.53%654.80M
-13.70%631.20M
28.99%848.60M
35.52%827.10M
37.64%775.20M
56.65%731.40M
72.63%657.90M
111.76%610.30M
184.30%563.20M
269.38%466.90M
2017.22%381.10M
1737.50%288.20M
161.00%198.10M
35.77%126.40M
-51.35%18.00M
-100.36%-17.60M
--75.90M
--93.10M
--37.00M
--4.94B
Reservas de capital
2.30%3.86B
2.19%3.85B
0.89%3.79B
0.89%3.78B
1.46%3.77B
1.47%3.77B
1.60%3.76B
1.63%3.75B
1.11%3.72B
1.22%3.71B
-0.90%3.70B
-0.73%3.69B
-0.79%3.68B
-0.63%3.67B
1.31%3.73B
1.15%3.72B
1.14%3.71B
2.64%3.69B
2.64%3.68B
1.68%3.67B
--3.67B
--3.60B
--3.59B
--3.61B
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Menos: Acciones en tesorería
--156.50M
--73.10M
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Pérdidas de ganancias que no afectan a las ganancias retenidas
59.05%-123.50M
3.70%-273.10M
-70.86%-371.10M
27.12%-223.60M
-27.31%-301.60M
-34.66%-283.60M
3.51%-217.20M
21.57%-306.80M
13.63%-236.90M
-4.36%-210.60M
-56.86%-225.10M
-156.36%-391.20M
-112.80%-274.30M
-40.24%-201.80M
-56.32%-143.50M
-12.04%-152.60M
17.64%-128.90M
24.22%-143.90M
36.34%-91.80M
3.34%-136.20M
-83.26%-156.50M
---189.90M
---144.20M
---140.90M
---85.40M
Intereses no controladores
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
0.00%400.00K
-81.82%400.00K
-84.00%400.00K
-84.62%400.00K
-84.62%400.00K
-18.52%2.20M
-13.79%2.50M
--2.60M
--2.60M
--2.70M
--2.90M
Capital total
5.45%3.14B
-26.67%3.04B
-29.69%2.93B
-28.43%3.07B
-30.95%2.98B
-3.24%4.14B
-0.78%4.17B
8.47%4.29B
7.35%4.31B
6.15%4.28B
3.67%4.21B
0.27%3.96B
3.80%4.02B
7.57%4.03B
9.06%4.06B
10.88%3.95B
10.67%3.87B
7.49%3.75B
5.03%3.72B
1.30%3.56B
-28.01%3.50B
--3.49B
--3.54B
--3.51B
--4.86B
Unidad monetaria
USD
USD
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Opiniones de evaluación
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KeyAI