bf/NYSE:DHR_icon.png

COM:DANAHER

Danaher Corporation

  • Stock

Last Close

233.10

21/11 21:00

Market Cap

179.39B

Beta: -

Volume Today

2.54M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
2.69B
-
2.60B
3.58%
2.60B
0.01%
2.15B
17.14%
2.47B
14.69%
2.65B
7.33%
2.43B
8.25%
3.65B
49.90%
6.35B
74.08%
7.21B
13.58%
4.22B
41.45%
depreciation and amortization
895M
-
938.50M
4.86%
1.05B
12.02%
1.13B
7.31%
1.24B
9.77%
1.31B
5.60%
1.19B
9.04%
1.77B
49.22%
2.17B
22.14%
2.22B
2.49%
2.17B
2.52%
deferred income tax
254.60M
-
177.30M
30.36%
-151.30M
185.34%
-383.90M
153.73%
-426.90M
11.20%
-195.10M
54.30%
-415.20M
112.81%
-462M
11.27%
-318M
31.17%
-559M
75.79%
-1.20B
115.38%
stock based compensation
117.70M
-
121.10M
2.89%
139M
14.78%
129.80M
6.62%
139.40M
7.40%
151.40M
8.61%
158.80M
4.89%
187M
17.76%
218M
16.58%
336M
54.13%
306M
8.93%
change in working capital
242.30M
-
256.90M
6.03%
51.40M
79.99%
-279.20M
643.19%
-353M
26.43%
-90.10M
74.48%
-123.20M
36.74%
605M
591.07%
-658M
208.76%
-1.52B
130.85%
-393M
74.13%
accounts receivables
-48.70M
-
-142.20M
191.99%
-52.10M
63.36%
-183.10M
251.44%
-161.40M
11.85%
-58.30M
63.88%
-156.40M
168.27%
-264M
68.80%
-611M
131.44%
-477M
21.93%
322M
167.51%
inventory
62.90M
-
50.60M
19.55%
119.70M
136.56%
9.40M
92.15%
-27.40M
391.49%
-143.30M
422.99%
-21.90M
84.72%
-123M
461.64%
-502M
308.13%
-486M
3.19%
185M
138.07%
accounts payables
182.60M
-
118.40M
35.16%
103.90M
12.25%
78.10M
24.83%
-54.40M
169.65%
225.80M
515.07%
18.10M
91.98%
227M
1,154.14%
549M
141.85%
5M
99.09%
-149M
3,080%
other working capital
45.50M
-
230.10M
405.71%
-120.10M
152.19%
-183.60M
52.87%
-109.80M
40.20%
-114.30M
4.10%
37M
132.37%
765M
1,967.57%
-94M
112.29%
-561M
496.81%
-751M
33.87%
other non cash items
-619.30M
-
-333.80M
46.10%
112.70M
133.76%
773.60M
586.42%
410.20M
46.98%
197.20M
51.93%
709.40M
259.74%
457M
35.58%
601M
31.51%
830M
38.10%
2.07B
149.16%
net cash provided by operating activities
3.59B
-
3.76B
4.83%
3.80B
1.15%
3.52B
7.36%
3.48B
1.25%
4.02B
15.65%
3.95B
1.75%
6.21B
57.10%
8.36B
34.63%
8.52B
1.93%
7.16B
15.91%
investments in property plant and equipment
-538.10M
-
-465.40M
13.51%
-512.90M
10.21%
-589.60M
14.95%
-570.70M
3.21%
-584M
2.33%
-635.50M
8.82%
-791M
24.47%
-1.29B
63.59%
-1.15B
10.97%
-1.38B
20.05%
acquisitions net
-249.80M
-
-3.13B
1,153.36%
-14.30B
356.90%
-4.88B
65.89%
-385.80M
92.09%
-2.17B
463.32%
-331.30M
84.76%
-20.14B
5,980.59%
-10.94B
45.72%
-637M
94.17%
-5.61B
780.69%
purchases of investments
-1.40M
-
2.88B
205,607.14%
-87.10M
103.03%
4.62B
5,398.85%
247.90M
94.63%
-148.90M
160.06%
-241M
61.85%
-342M
41.91%
-934M
173.10%
-523M
44.00%
-172M
67.11%
sales maturities of investments
251.20M
-
253.80M
1.04%
43M
83.06%
264.80M
515.81%
137.90M
47.92%
22.20M
83.90%
-59.20M
366.67%
13M
121.96%
126M
869.23%
18M
85.71%
61M
238.89%
other investing activites
-14.40M
-
-2.98B
20,586.81%
-89M
97.01%
-4.65B
5,128.54%
-272.70M
94.14%
-65M
76.16%
28.90M
144.46%
26M
10.03%
50M
92.31%
60M
20%
23M
61.67%
net cash used for investing activites
-552.50M
-
-3.44B
523.40%
-14.95B
334.08%
-5.24B
64.93%
-843.40M
83.91%
-2.95B
249.66%
-1.24B
58.02%
-21.24B
1,615.45%
-12.99B
38.85%
-2.23B
82.80%
-7.08B
216.97%
debt repayment
-967.80M
-
-414.70M
57.15%
-35.50M
91.44%
-2.67B
7,417.46%
-668.40M
74.95%
-507.80M
24.03%
-1.57B
209.37%
-5.96B
279.50%
-1.28B
78.50%
-965M
24.73%
-620M
35.75%
common stock issued
177.40M
-
132.90M
25.08%
249M
87.36%
164.50M
33.94%
68.80M
58.18%
96M
39.53%
2.22B
2,209.06%
1.88B
15.10%
86M
95.43%
31M
63.95%
68M
119.35%
common stock repurchased
790.40M
-
281.80M
64.35%
-213.50M
175.76%
2.50B
1,272.93%
599.60M
76.06%
411.80M
31.32%
16.51B
3,910.25%
5.70B
65.46%
3.25B
43.04%
934M
71.25%
1.01B
7.71%
dividends paid
-52.10M
-
-227.70M
337.04%
-354.10M
55.51%
-399.80M
12.91%
-378.30M
5.38%
-433M
14.46%
-750.70M
73.37%
-615M
18.08%
-742M
20.65%
-818M
10.24%
-1.25B
52.57%
other financing activites
-1.55B
-
9.50M
100.61%
9.40B
98,892.63%
2.44B
74.03%
-2.72B
211.37%
-364M
86.62%
-43.30M
88.10%
-3M
93.07%
-16M
433.33%
-1.75B
10,850%
521M
129.74%
net cash used provided by financing activities
-1.61B
-
-218.20M
86.41%
9.05B
4,247.66%
2.04B
77.43%
-3.10B
251.69%
-797M
74.28%
16.37B
2,153.44%
1.01B
93.85%
1.29B
28.73%
-2.57B
298.46%
-273M
89.38%
effect of forex changes on cash
9.50M
-
-205.50M
2,263.16%
-115.80M
43.65%
-148.60M
28.32%
130.70M
187.95%
-118M
190.28%
45.10M
138.22%
148M
228.16%
-115M
177.70%
-306M
166.09%
59M
119.28%
net change in cash
1.44B
-
-109.60M
107.63%
-2.21B
1,920.80%
172.90M
107.81%
-333.40M
292.83%
157.70M
147.30%
19.12B
12,027.14%
-13.88B
172.56%
-3.45B
75.15%
3.41B
198.84%
-131M
103.84%
cash at beginning of period
1.68B
-
3.12B
85.57%
3.01B
3.52%
790.80M
73.69%
963.70M
21.86%
630.30M
34.60%
787.80M
24.99%
19.91B
2,427.55%
6.04B
69.69%
2.59B
57.15%
6.00B
131.83%
cash at end of period
3.12B
-
3.01B
3.52%
790.80M
73.69%
963.70M
21.86%
630.30M
34.60%
788M
25.02%
19.91B
2,426.94%
6.04B
69.69%
2.59B
57.15%
6.00B
131.83%
5.86B
2.19%
operating cash flow
3.59B
-
3.76B
4.83%
3.80B
1.15%
3.52B
7.36%
3.48B
1.25%
4.02B
15.65%
3.95B
1.75%
6.21B
57.10%
8.36B
34.63%
8.52B
1.93%
7.16B
15.91%
capital expenditure
-538.10M
-
-465.40M
13.51%
-512.90M
10.21%
-589.60M
14.95%
-570.70M
3.21%
-584M
2.33%
-635.50M
8.82%
-791M
24.47%
-1.29B
63.59%
-1.15B
10.97%
-1.38B
20.05%
free cash flow
3.05B
-
3.29B
8.07%
3.29B
0.12%
2.93B
10.85%
2.91B
0.86%
3.44B
18.26%
3.32B
3.55%
5.42B
63.35%
7.06B
30.40%
7.37B
4.29%
5.78B
21.53%

All numbers in (except ratios and percentages)