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Envista Holdings Corp

NVST

20.587USD

-0.243-1.17%
Horarios del mercado ETCotizaciones retrasadas 15 min
3.43BCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
-99.26%300.00K
29.80%132.40M
-25.97%70.70M
23.97%93.10M
1200.00%40.30M
-7.52%102.00M
104.50%95.50M
238.29%75.10M
-11.43%3.10M
-18.90%110.30M
-47.11%46.70M
-81.61%22.20M
-78.92%3.50M
-29.68%136.00M
-40.38%88.30M
2468.09%120.70M
126.65%16.60M
3.42%193.40M
51.43%148.10M
-96.14%4.70M
-592.22%-62.30M
-1.37%187.00M
21.95%97.80M
--121.70M
---9.00M
--189.60M
--80.20M
Ingresos netos por operaciones continuas
-23.73%18.00M
100.55%1.20M
-61.86%8.20M
-2318.88%-1.15B
-46.12%23.60M
-395.78%-217.40M
-54.83%21.50M
10.19%51.90M
-41.52%43.80M
-14.34%73.50M
-48.76%47.60M
-47.72%47.10M
4.46%74.90M
-20.85%85.80M
160.96%92.90M
196.36%90.10M
516.86%71.70M
93.23%108.40M
-42.67%35.60M
-252.03%-93.50M
-145.38%-17.20M
9.57%56.10M
-3.12%62.10M
--61.50M
--37.90M
--51.20M
--64.10M
Pérdidas de ganancias operativas
-15.20%27.90M
-90.45%27.80M
-11.25%29.20M
3505.09%1.20B
-10.35%32.90M
701.93%291.10M
-10.11%32.90M
-7.48%33.40M
4.26%36.70M
-10.59%36.30M
3.39%36.60M
10.06%36.10M
6.02%35.20M
-16.46%40.60M
-14.49%35.40M
-24.07%32.80M
3.75%33.20M
54.78%48.60M
28.17%41.40M
32.92%43.20M
-0.93%32.00M
-4.56%31.40M
1.25%32.30M
--32.50M
--32.30M
--32.90M
--31.90M
Impuesto diferido
----
148.11%17.80M
---700.00K
---46.10M
----
-27.59%-37.00M
----
----
----
50.85%-29.00M
----
----
----
35.45%-59.00M
----
----
----
-926.97%-91.40M
----
----
----
-623.53%-8.90M
----
----
----
--1.70M
----
Otros artículos no monetarios
-14.06%11.00M
-8.80%11.40M
-68.21%11.70M
90.63%18.30M
33.33%12.80M
28.87%12.50M
115.20%36.80M
-28.36%9.60M
33.33%9.60M
-60.57%9.70M
29.55%17.10M
-3.60%13.40M
-55.83%7.20M
56.69%24.60M
-44.54%13.20M
-54.72%13.90M
108.97%16.30M
-60.35%15.70M
--23.80M
413.27%30.70M
-20.41%7.80M
9800.00%39.60M
----
---9.80M
--9.80M
--400.00K
----
Cambio en el capital de trabajo
-60.75%-64.30M
20.50%62.30M
536.67%13.10M
442.54%62.00M
60.78%-40.00M
291.67%51.70M
95.15%-3.00M
77.00%-18.10M
11.54%-102.00M
-73.12%13.20M
-6.17%-61.90M
-227.92%-78.70M
-3.87%-115.30M
-53.77%49.10M
-237.83%-58.30M
-229.03%-24.00M
-22.11%-111.00M
68.84%106.20M
21250.00%42.30M
-43.12%18.60M
2.36%-90.90M
-36.85%62.90M
98.97%-200.00K
--32.70M
---93.10M
--99.60M
---19.50M
-Cambio en cuentas por cobrar
-30.67%-21.30M
-31.87%10.90M
33.33%-6.00M
238.06%21.40M
-91.76%-16.30M
190.91%16.00M
54.77%-9.00M
61.63%-15.50M
47.53%-8.50M
119.57%5.50M
-46.32%-19.90M
-1222.22%-40.40M
-217.65%-16.20M
-469.74%-28.10M
77.99%-13.60M
-93.22%3.60M
-106.99%-5.10M
-54.76%7.60M
-786.67%-61.80M
473.94%53.10M
5983.33%73.00M
223.08%16.80M
158.06%9.00M
---14.20M
--1.20M
--5.20M
---15.50M
-Cambio en el inventario
17.21%-10.10M
-40.86%15.20M
-104.51%-600.00K
-62.50%1.20M
-71.83%-12.20M
742.50%25.70M
307.81%13.30M
134.78%3.20M
65.02%-7.10M
-463.64%-4.00M
66.67%-6.40M
66.55%-9.20M
0.49%-20.30M
122.45%1.10M
-173.28%-19.20M
-200.73%-27.50M
44.41%-20.40M
-263.33%-4.90M
1035.71%26.20M
355.00%27.30M
-376.62%-36.70M
-84.04%3.00M
67.44%-2.80M
--6.00M
---7.70M
--18.80M
---8.60M
-Cambio en gastos prepago
-105.26%-7.80M
395.24%6.20M
-241.54%-9.20M
104.17%100.00K
-392.31%-3.80M
-121.00%-2.10M
251.16%6.50M
-300.00%-2.40M
107.74%1.30M
-15.97%10.00M
73.46%-4.30M
-185.71%-600.00K
-112.66%-16.80M
-61.98%11.90M
47.40%-16.20M
104.86%700.00K
-169.30%-7.90M
2745.45%31.30M
-1500.00%-30.80M
-212.50%-14.40M
146.15%11.40M
-84.29%1.10M
184.62%2.20M
--12.80M
---24.70M
--7.00M
---2.60M
Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
-99.26%300.00K
29.80%132.40M
-25.97%70.70M
23.97%93.10M
1200.00%40.30M
-7.52%102.00M
104.50%95.50M
238.29%75.10M
-11.43%3.10M
-18.90%110.30M
-47.11%46.70M
-81.61%22.20M
-78.92%3.50M
-29.68%136.00M
-40.38%88.30M
2468.09%120.70M
126.65%16.60M
3.42%193.40M
51.43%148.10M
-96.14%4.70M
-592.22%-62.30M
-1.37%187.00M
21.95%97.80M
--121.70M
---9.00M
--189.60M
--80.20M
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
-50.91%5.40M
304.76%8.50M
-59.78%7.40M
-51.77%6.80M
-37.14%11.00M
-86.18%2.10M
-27.27%18.40M
16.53%14.10M
-11.62%17.50M
74.71%15.20M
328.81%25.30M
-40.10%12.10M
138.55%19.80M
11.54%8.70M
-55.30%5.90M
158.97%20.20M
-38.97%8.30M
-50.94%7.80M
-29.03%13.20M
-70.45%7.80M
-11.11%13.60M
-50.31%15.90M
93.75%18.60M
--26.40M
--15.30M
--32.00M
--9.60M
Gastos de capital
-46.36%5.90M
4.88%8.60M
-59.78%7.40M
-51.77%6.80M
-37.14%11.00M
-51.48%8.20M
-31.60%18.40M
16.53%14.10M
-11.62%17.50M
94.25%16.90M
53.71%26.90M
-40.10%12.10M
138.55%19.80M
-33.59%8.70M
32.58%17.50M
158.97%20.20M
-38.97%8.30M
-17.61%13.10M
-33.33%13.20M
-70.57%7.80M
-12.82%13.60M
-50.31%15.90M
106.25%19.80M
--26.50M
--15.60M
--32.00M
--9.60M
Flujo de efectivo neto por disposición de activos fijos
-50.91%5.40M
304.76%8.50M
-59.78%7.40M
-51.77%6.80M
-37.14%11.00M
-86.18%2.10M
-27.27%18.40M
16.53%14.10M
-11.62%17.50M
74.71%15.20M
328.81%25.30M
-40.10%12.10M
138.55%19.80M
11.54%8.70M
-55.30%5.90M
158.97%20.20M
-38.97%8.30M
-50.94%7.80M
-29.03%13.20M
-70.45%7.80M
-11.11%13.60M
-50.31%15.90M
93.75%18.60M
--26.40M
--15.30M
--32.00M
--9.60M
Flujo de efectivo neto de transacciones comerciales
----
----
----
----
----
-100.00%0.00
100.00%0.00
100.00%0.00
-100.00%0.00
-95.46%14.10M
---95.40M
---569.80M
--30.00M
--310.40M
--0.00
-100.00%0.00
100.00%0.00
--0.00
--0.00
--900.00K
---41.60M
----
----
----
--0.00
----
----
Flujo de efectivo neto de productos de inversión
--0.00
--300.00K
---23.80M
-96.26%400.00K
----
--0.00
--0.00
--10.70M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Flujo de efectivo neto de otras actividades de inversión
-1233.33%-3.40M
83.81%-1.70M
109.09%600.00K
-16.67%500.00K
106.67%300.00K
---10.50M
-112.94%-6.60M
106.19%600.00K
11.76%-4.50M
100.00%0.00
1721.43%51.00M
-434.48%-9.70M
-282.14%-5.10M
-585.19%-13.10M
-22.22%2.80M
-25.64%2.90M
-26.32%2.80M
2600.00%2.70M
271.43%3.60M
2050.00%3.90M
--3.80M
103.33%100.00K
---2.10M
---200.00K
--0.00
---3.00M
--0.00
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
17.76%-8.80M
41.27%-7.40M
-22.40%-30.60M
-110.71%-5.90M
51.36%-10.70M
-1045.45%-12.60M
64.13%-25.00M
99.53%-2.80M
-531.37%-22.00M
-100.38%-1.10M
-2148.39%-69.70M
-3319.65%-591.60M
192.73%5.10M
5758.82%288.60M
67.71%-3.10M
-476.67%-17.30M
89.30%-5.50M
67.72%-5.10M
53.62%-9.60M
88.72%-3.00M
-235.95%-51.40M
54.86%-15.80M
-115.63%-20.70M
---26.60M
---15.30M
---35.00M
---9.60M
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
-576.92%-17.60M
-127.27%-900.00K
-187.77%-100.50M
-88.46%300.00K
-73.33%-2.60M
104.83%3.30M
55.36%114.50M
44.44%2.60M
-128.30%-1.50M
-3894.44%-68.30M
1813.95%73.70M
-72.31%1.80M
101.13%5.30M
-52.63%1.80M
98.24%-4.30M
-98.63%6.50M
-281.66%-469.60M
102.57%3.80M
-319.78%-244.40M
599.05%474.60M
963.79%258.50M
4.20%-148.10M
257.51%111.20M
---95.10M
--24.30M
---154.60M
---70.60M
Flujo de efectivo neto por emisión/amortización de deuda
----
100.00%0.00
-186.43%-100.00M
----
--0.00
99.57%-300.00K
65.29%115.70M
--0.00
100.00%0.00
---69.70M
70100.00%70.00M
100.00%0.00
99.96%-200.00K
--0.00
99.96%-100.00K
-100.02%-100.00K
-290.43%-475.50M
100.00%0.00
-118.94%-249.90M
--496.80M
--249.70M
---3.50M
--1.32B
----
--0.00
----
--0.00
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
---14.60M
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
----
----
----
----
----
--0.00
--643.40M
----
----
----
--0.00
Procedimientos de la opción de stock ejercida por los empleados
-38.46%800.00K
-89.47%400.00K
-93.75%100.00K
-53.85%600.00K
-71.74%1.30M
100.00%3.80M
-64.44%1.60M
-43.48%1.30M
-64.89%4.60M
-45.71%1.90M
104.55%4.50M
-72.94%2.30M
147.17%13.10M
-31.37%3.50M
-40.54%2.20M
400.00%8.50M
60.61%5.30M
--5.10M
--3.70M
--1.70M
--3.30M
----
----
----
--0.00
----
----
Flujo de efectivo neto de otras actividades de financiación
2.56%-3.80M
-550.00%-1.30M
78.57%-600.00K
-123.08%-300.00K
36.07%-3.90M
60.00%-200.00K
-250.00%-2.80M
360.00%1.30M
19.74%-6.10M
70.59%-500.00K
87.50%-800.00K
73.68%-500.00K
-1366.67%-7.60M
-30.77%-1.70M
-455.56%-6.40M
92.05%-1.90M
-89.09%600.00K
99.10%-1.30M
100.10%1.80M
---23.90M
-77.37%5.50M
6.47%-144.60M
-2522.24%-1.85B
----
--24.30M
---154.60M
---70.60M
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
-576.92%-17.60M
-127.27%-900.00K
-187.77%-100.50M
-88.46%300.00K
-73.33%-2.60M
104.83%3.30M
55.36%114.50M
44.44%2.60M
-128.30%-1.50M
-3894.44%-68.30M
1813.95%73.70M
-72.31%1.80M
101.13%5.30M
-52.63%1.80M
98.24%-4.30M
-98.63%6.50M
-281.66%-469.60M
102.57%3.80M
-319.78%-244.40M
599.05%474.60M
963.79%258.50M
4.20%-148.10M
257.51%111.20M
---95.10M
--24.30M
---154.60M
---70.60M
Flujo de efectivo neto
Saldo de efectivo inicial
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
--0.00
--0.00
--0.00
--0.00
--0.00
Cambios en el flujo de efectivo del período actual
-3.53%8.20M
-32.82%77.80M
-126.03%-44.90M
31.88%87.70M
139.17%8.50M
201.56%115.80M
279.96%172.50M
111.98%66.50M
-561.70%-21.70M
-91.17%38.40M
-46.53%45.40M
-592.64%-555.20M
101.05%4.70M
131.15%434.80M
169.82%84.90M
-75.96%112.70M
-414.40%-447.70M
945.00%188.10M
-162.94%-121.60M
--468.80M
--142.40M
--18.00M
--193.20M
--0.00
--0.00
--0.00
--0.00
Efecto de los cambios del tipo de cambio
285.41%34.30M
-300.43%-46.30M
224.00%15.50M
102.38%200.00K
-1323.08%-18.50M
1024.00%23.10M
-135.85%-12.50M
-167.74%-8.40M
85.87%-1.30M
-129.76%-2.50M
-232.50%-5.30M
342.86%12.40M
-185.19%-9.20M
310.00%8.40M
125.48%4.00M
137.33%2.80M
550.00%10.80M
21.57%-4.00M
-420.41%-15.70M
---7.50M
---2.40M
---5.10M
--4.90M
----
--0.00
----
----
Saldo de efectivo final
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
--0.00
--0.00
--0.00
--0.00
Flujo de caja libre
-119.11%-5.60M
31.98%123.80M
-17.90%63.30M
41.48%86.30M
303.47%29.30M
0.43%93.80M
289.39%77.10M
503.96%61.00M
11.66%-14.40M
-26.63%93.40M
-72.03%19.80M
-89.95%10.10M
-296.39%-16.30M
-29.40%127.30M
-47.52%70.80M
3341.94%100.50M
110.94%8.30M
5.38%180.30M
72.95%134.90M
-103.26%-3.10M
-208.54%-75.90M
8.57%171.10M
10.48%78.00M
--95.20M
---24.60M
--157.60M
--70.60M
Unidad monetaria
USD
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Opiniones de evaluación
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