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Markets
/
Stocks
/
nasdaq-zimv
/
ZimVie Inc
ZIMV
18.900
USD
+0.020
+0.11%
Close 09/18, 16:00(ET)
Quotes delayed by 15 min
0.000
USD
0.000
Pre-market 09/19, 09:30 (ET)
532.92M
Market Cap
Loss
P/E TTM
ZimVie Inc
18.900
+0.020
+0.11%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
Total equity
Cash, cash equivalents and short-term investments
-10.72%
70.18M
53.35%
66.75M
4.84%
74.97M
-11.45%
66.81M
18.71%
78.60M
-34.46%
43.53M
-20.19%
71.51M
-34.96%
75.45M
-49.09%
66.21M
-36.30%
66.41M
-10.76%
89.60M
381.36%
116.01M
--
130.05M
--
104.26M
--
100.40M
--
24.10M
- Cash and cash equivalents
-10.72%
70.18M
53.35%
66.75M
4.84%
74.97M
-11.45%
66.81M
18.71%
78.60M
-34.46%
43.53M
-20.19%
71.51M
-34.96%
75.45M
-49.09%
66.21M
-36.30%
66.41M
-10.76%
89.60M
381.36%
116.01M
--
130.05M
--
104.26M
--
100.40M
--
24.10M
Receivables
19.84%
84.52M
11.25%
76.69M
0.07%
65.21M
-54.80%
69.58M
-58.05%
70.53M
-60.61%
68.93M
-63.27%
65.17M
-10.87%
153.95M
-10.78%
168.12M
-2.85%
175.00M
8.07%
177.44M
1.49%
172.73M
--
188.43M
--
180.13M
--
164.20M
--
170.20M
-Accounts and notes receivable
19.84%
84.52M
11.25%
76.69M
0.07%
65.21M
-54.80%
69.58M
-58.05%
70.53M
-60.61%
68.93M
-61.43%
65.17M
-1.86%
153.95M
0.86%
168.12M
12.07%
175.00M
2.90%
168.96M
-7.84%
156.86M
--
166.69M
--
156.15M
--
164.20M
--
170.20M
-Other receivables
--
--
--
--
--
0.00
--
--
--
--
--
--
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
--
8.48M
--
15.87M
--
21.74M
--
23.97M
--
--
--
--
Inventory
17.56%
84.45M
0.57%
77.67M
-5.76%
75.02M
-63.93%
77.09M
-68.43%
71.83M
-66.58%
77.23M
-65.96%
79.60M
-4.68%
213.74M
0.44%
227.53M
-3.43%
231.08M
-5.25%
233.85M
-18.37%
224.23M
--
226.53M
--
239.28M
--
246.80M
--
274.70M
Prepaid expenses
8.01%
21.07M
1.03%
17.31M
-2.22%
23.30M
-55.83%
24.06M
-57.15%
19.50M
-45.93%
17.13M
-35.55%
23.82M
63.83%
54.48M
57.57%
45.51M
24.52%
31.69M
45.53%
36.96M
46.50%
33.26M
--
28.89M
--
25.45M
--
25.40M
--
22.70M
Total current assets
-4.98%
260.21M
-44.93%
250.66M
-46.72%
257.29M
-46.61%
265.67M
-46.03%
273.85M
-9.73%
455.14M
-10.22%
482.88M
-8.90%
497.62M
-11.59%
507.38M
-8.18%
504.17M
0.20%
537.86M
11.09%
546.22M
--
573.89M
--
549.11M
--
536.80M
--
491.70M
Non-current assets
Net Fixed Assets
-3.17%
48.80M
-9.92%
46.95M
6.87%
57.89M
-59.14%
49.61M
-61.14%
50.39M
-62.58%
52.12M
-63.51%
54.17M
-19.20%
121.43M
-20.40%
129.67M
-18.32%
139.29M
-17.63%
148.44M
-16.83%
150.29M
--
162.90M
--
170.54M
--
180.20M
--
180.70M
-Fixed Assets
3.06%
185.06M
--
177.76M
2.06%
184.51M
-64.95%
181.33M
-65.67%
179.56M
--
--
-66.60%
180.79M
-2.89%
517.29M
-6.35%
523.09M
--
533.17M
-9.52%
541.33M
-10.11%
532.70M
--
558.55M
--
--
--
598.30M
--
592.60M
-Accumulated depreciation
5.49%
136.26M
--
130.82M
-0.00%
126.62M
-66.73%
131.72M
-67.17%
129.16M
--
--
-67.77%
126.62M
3.52%
395.86M
-0.56%
393.42M
--
393.88M
-6.03%
392.89M
-7.16%
382.41M
--
395.65M
--
--
--
418.10M
--
411.90M
Goodwill and other intangible assets
-2.79%
352.69M
-5.34%
350.10M
-6.94%
350.34M
-57.56%
361.02M
-59.04%
362.81M
-59.14%
369.84M
-58.85%
376.46M
-4.85%
850.60M
-6.23%
885.83M
-9.39%
905.16M
-11.51%
914.96M
-16.20%
893.95M
--
944.64M
--
999.01M
--
1.03B
--
1.07B
Long-term debt
12.65%
67.89M
--
65.93M
--
64.64M
--
63.07M
--
60.27M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Other non-current assets
-4.13%
28.63M
-2.66%
26.30M
-40.21%
15.99M
-18.29%
31.27M
-20.71%
29.86M
-31.49%
27.02M
-34.43%
26.75M
-1.61%
38.27M
-26.38%
37.66M
-29.08%
39.43M
-46.12%
40.79M
-44.27%
38.90M
--
51.16M
--
55.60M
--
75.70M
--
69.80M
Total non-current assets
-3.47%
498.01M
-30.89%
495.12M
-31.29%
496.39M
-48.80%
517.27M
-51.01%
515.93M
-33.90%
716.47M
-34.57%
722.47M
-6.72%
1.01B
-9.11%
1.05B
-11.53%
1.08B
-14.40%
1.10B
-17.77%
1.08B
--
1.16B
--
1.23B
--
1.29B
--
1.32B
Total assets
-4.00%
758.22M
-36.35%
745.78M
-37.47%
753.67M
-48.08%
782.95M
-49.39%
789.79M
-26.22%
1.17B
-26.60%
1.21B
-7.45%
1.51B
-9.93%
1.56B
-10.49%
1.59B
-10.11%
1.64B
-9.93%
1.63B
--
1.73B
--
1.77B
--
1.83B
--
1.81B
Liabilities
Current liabilities
-Other payables
7.96%
61.99M
-2.56%
57.21M
-6.43%
59.00M
-50.04%
53.92M
-50.54%
57.43M
-49.80%
58.72M
-57.78%
63.05M
-26.36%
107.94M
-28.99%
116.10M
-14.14%
116.97M
23.73%
149.34M
34.72%
146.58M
--
163.49M
--
136.23M
--
120.70M
--
108.80M
Short-term debt and lease liabilities
--
--
--
--
--
0.00
--
--
--
--
--
7.01M
--
0.00
--
--
--
--
--
--
--
--
-57.50%
14.03M
--
14.03M
--
14.03M
--
0.00
--
33.00M
Other current liabilities
7.96%
61.99M
-2.56%
57.21M
-6.43%
59.00M
-50.04%
53.92M
-50.54%
57.43M
-49.80%
58.72M
-57.78%
63.05M
-26.36%
107.94M
-28.99%
116.10M
-14.14%
116.97M
23.73%
149.34M
34.72%
146.58M
--
163.49M
--
136.23M
--
120.70M
--
108.80M
Total current liabilities
-22.33%
109.61M
-30.95%
117.14M
-22.85%
133.94M
-20.20%
136.64M
-25.62%
141.12M
-13.68%
169.65M
-20.11%
173.61M
-21.28%
171.22M
-23.12%
189.74M
-10.49%
196.53M
17.72%
217.31M
7.83%
217.49M
--
246.79M
--
219.55M
--
184.60M
--
201.70M
Non-current liabilities
Long-term debt and lease liabilities
-5.75%
230.86M
-55.29%
228.85M
-55.84%
228.67M
-56.88%
229.76M
-54.63%
244.94M
-5.67%
511.85M
-6.61%
517.88M
-4.71%
532.83M
-6.55%
539.85M
-7.00%
542.64M
1124.11%
554.52M
996.46%
559.19M
--
577.67M
--
583.49M
--
45.30M
--
51.00M
-Long-term debt
-6.09%
220.79M
-56.06%
220.62M
-56.67%
220.45M
-57.27%
220.28M
-54.98%
235.11M
-3.82%
502.06M
-4.40%
508.80M
-3.72%
515.53M
-3.05%
522.27M
-3.67%
521.99M
--
532.23M
10827.65%
535.46M
--
538.68M
--
541.90M
--
0.00
--
4.90M
-Long-term lease liabilities
2.39%
10.07M
-15.91%
8.24M
-9.49%
8.22M
-45.22%
9.48M
-44.07%
9.84M
-52.58%
9.79M
-59.26%
9.08M
-27.12%
17.30M
-54.91%
17.58M
-50.34%
20.66M
-50.80%
22.29M
-48.51%
23.74M
--
38.99M
--
41.59M
--
45.30M
--
46.10M
Other non-current liabilities
-47.17%
4.84M
-50.42%
4.63M
1.95%
9.23M
19.42%
9.27M
-11.25%
9.17M
-1.84%
9.34M
-33.23%
9.05M
-44.61%
7.76M
-32.32%
10.33M
-18.97%
9.52M
-14.71%
13.56M
-32.30%
14.01M
--
15.27M
--
11.74M
--
15.90M
--
20.70M
Total non-current liabilities
-7.37%
235.81M
-61.95%
233.51M
-61.75%
238.02M
-61.74%
239.67M
-60.41%
254.56M
-5.29%
613.63M
-6.59%
622.24M
-7.61%
626.50M
-10.85%
642.96M
-12.71%
647.93M
249.31%
666.14M
230.94%
678.09M
--
721.24M
--
742.26M
--
190.70M
--
204.90M
Total liabilities
-12.70%
345.42M
-55.23%
350.66M
-53.26%
371.97M
-52.83%
376.31M
-52.48%
395.69M
-7.24%
783.28M
-9.92%
795.85M
-10.93%
797.72M
-13.98%
832.70M
-12.20%
844.46M
135.40%
883.45M
120.26%
895.59M
--
968.03M
--
961.81M
--
375.30M
--
406.60M
Shareholders' equity
Common equity
1.61%
945.77M
1.73%
941.27M
1.69%
938.91M
2.16%
934.01M
2.42%
930.75M
2.61%
925.30M
2.90%
923.27M
2.61%
914.25M
2.61%
908.77M
2.56%
901.74M
-39.95%
897.29M
-37.77%
890.95M
--
885.70M
--
879.21M
--
1.49B
--
1.43B
Retained earnings
-4.30%
-472.06M
-4.35%
-468.11M
-5.86%
-466.64M
-329.28%
-454.87M
-348.67%
-452.59M
-478.81%
-448.57M
-827.40%
-440.81M
-516.49%
-105.96M
-459.81%
-100.87M
-732.71%
-77.50M
--
-47.53M
--
-17.19M
--
-18.02M
--
-9.31M
--
--
--
--
Capital reserves
1.61%
945.49M
1.73%
940.99M
1.69%
938.63M
2.16%
933.74M
2.42%
930.47M
2.61%
925.03M
2.89%
923.00M
2.62%
913.98M
2.61%
908.51M
2.56%
901.48M
--
897.03M
--
890.69M
--
885.43M
--
878.95M
--
--
--
--
Gains losses not affecting retained earnings
27.54%
-60.91M
11.72%
-78.04M
-24.12%
-90.56M
26.08%
-72.50M
-5.00%
-84.06M
-9.63%
-88.40M
19.96%
-72.96M
29.93%
-98.08M
22.37%
-80.06M
-40.37%
-80.64M
-112.98%
-91.15M
-376.13%
-139.98M
--
-103.12M
--
-57.45M
--
-42.80M
--
-29.40M
Non-controlling interests
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
Total equity
4.75%
412.80M
1.75%
395.12M
-6.79%
381.71M
-42.74%
406.64M
-45.85%
394.10M
-47.78%
388.33M
-46.02%
409.49M
-3.21%
710.20M
-4.80%
727.84M
-8.47%
743.60M
-47.73%
758.60M
-47.67%
733.78M
--
764.56M
--
812.46M
--
1.45B
--
1.40B
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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