bf/NYSE:BDX_icon.jpeg

NYSE:BDX

BD

  • Stock

USD

Last Close

233.72

02/05 20:00

Market Cap

68.52B

Beta: 0.56

Volume Today

3.31M

Avg: 1.08M

PE Ratio

54.49

PFCF: 25.60

Dividend Yield

1.56%

Payout:88.22%

Sep '13
Sep '14
Sep '15
Sep '16
Sep '17
Sep '18
Sep '19
Sep '20
Sep '21
Sep '22
Sep '23
net income
929M
-
1.19B
27.56%
695M
41.35%
976M
40.43%
1.10B
12.70%
311M
71.73%
1.22B
292.28%
874M
28.36%
2.09B
139.36%
1.78B
14.96%
1.53B
14.00%
depreciation and amortization
546M
-
562M
2.93%
891M
58.54%
1.11B
25.03%
1.09B
2.33%
1.98B
81.80%
2.25B
13.90%
2.15B
4.39%
2.27B
5.52%
2.23B
1.94%
2.29B
2.65%
deferred income tax
36M
-
-32M
188.89%
-336M
950%
-426M
26.79%
-236M
44.60%
-240M
1.69%
-381M
58.75%
-302M
20.73%
-304M
0.66%
-120M
60.53%
-622M
418.33%
stock based compensation
100M
-
113M
13%
166M
46.90%
196M
18.07%
174M
11.22%
322M
85.06%
261M
18.94%
244M
6.51%
237M
2.87%
233M
1.69%
259M
11.16%
change in working capital
160M
-
-117M
173.13%
274M
334.19%
399M
45.62%
-371M
192.98%
897M
341.78%
-143M
115.94%
512M
458.04%
282M
44.92%
-1.39B
594.33%
-828M
40.60%
accounts receivables
-1M
-
-7M
600%
-2M
71.43%
-128M
6,300%
-93M
27.34%
-170M
82.80%
-51M
70%
-48M
5.88%
-95M
97.92%
32M
133.68%
-290M
1,006.25%
inventory
-145M
-
-189M
30.34%
200M
205.82%
69M
65.50%
-46M
166.67%
246M
634.78%
-149M
160.57%
-125M
16.11%
-104M
16.80%
-631M
506.73%
-15M
97.62%
accounts payables
366M
-
199M
45.63%
145M
27.14%
368M
153.79%
134M
63.59%
867M
547.01%
-470M
154.21%
205M
143.62%
687M
235.12%
-473M
168.85%
-517M
9.30%
other working capital
-60M
-
-120M
100%
-69M
42.50%
90M
230.43%
-366M
506.67%
-46M
87.43%
527M
1,245.65%
480M
8.92%
-206M
142.92%
-322M
56.31%
-6M
98.14%
other non cash items
-264M
-
33M
112.50%
39M
18.18%
300M
669.23%
795M
165%
-403M
150.69%
120M
129.78%
57M
52.50%
67M
17.54%
-94M
240.30%
362M
485.11%
net cash provided by operating activities
1.51B
-
1.74B
15.73%
1.73B
0.86%
2.56B
48.00%
2.55B
0.35%
2.87B
12.35%
3.33B
16.23%
3.54B
6.28%
4.65B
31.31%
2.63B
43.34%
2.99B
13.52%
investments in property plant and equipment
-588M
-
-653M
11.05%
-633M
3.06%
-718M
13.43%
-727M
1.25%
-895M
23.11%
-957M
6.93%
-810M
15.36%
-1.23B
51.98%
-973M
20.96%
-874M
10.17%
acquisitions net
600M
-
-40M
106.67%
-8.41B
20,935%
158M
101.88%
-9M
105.70%
-14.75B
163,755.56%
477M
103.23%
-164M
134.38%
-508M
209.76%
-2.07B
307.48%
540M
126.09%
purchases of investments
-225M
-
-171M
24%
633M
470.18%
-1M
100.16%
727M
72,800%
895M
23.11%
sales maturities of investments
-1.12B
-
653M
158.36%
840M
28.64%
718M
14.52%
13M
98.19%
11M
15.38%
other investing activites
1.02B
-
-737M
172.18%
-744M
0.95%
-826M
11.02%
-887M
7.38%
-1.09B
23.22%
-261M
76.12%
-258M
1.15%
-141M
45.35%
-188M
33.33%
-382M
103.19%
net cash used for investing activites
-311M
-
-948M
204.82%
-8.32B
777.43%
-669M
91.96%
-883M
31.99%
-15.83B
1,692.64%
-741M
95.32%
-1.23B
66.26%
-1.88B
52.60%
-3.23B
71.86%
-716M
77.84%
debt repayment
-6M
-
-752M
12,433.33%
-3.98B
429.26%
-4.00B
0.40%
-4.74B
18.72%
-5.15B
8.54%
-5.11B
0.72%
-805M
84.25%
-2.15B
167.70%
common stock issued
485M
-
2.92B
501.44%
4.87B
66.92%
common stock repurchased
2.22B
-
3.39B
52.38%
-1.75B
151.64%
-500M
71.43%
dividends paid
-386M
-
-421M
9.07%
-485M
15.20%
-562M
15.88%
-677M
20.46%
-927M
36.93%
-984M
6.15%
-1.03B
4.27%
-1.05B
2.14%
-1.08B
3.24%
-1.11B
2.96%
other financing activites
-582M
-
-386M
33.68%
6.68B
1,831.09%
-446M
106.67%
15.63B
3,605.61%
4.87B
68.88%
-205M
104.21%
-109M
46.83%
-265M
143.12%
1.80B
777.74%
1.31B
26.95%
net cash used provided by financing activities
-968M
-
-807M
16.63%
6.19B
867.16%
-1.76B
128.43%
10.98B
723.75%
-57M
100.52%
-3.22B
5,556.14%
22M
100.68%
-3.31B
15,127.27%
-591M
82.12%
-1.96B
231.13%
effect of forex changes on cash
-7M
-
-20M
185.71%
-38M
90%
-12M
68.42%
-6M
50%
-17M
183.33%
-12M
29.41%
-3M
75%
15M
600%
-45M
400%
5M
111.11%
net change in cash
219M
-
-29M
113.24%
-437M
1,406.90%
117M
126.77%
12.64B
10,701.71%
-13.04B
203.17%
-646M
95.05%
2.33B
460.22%
-525M
122.56%
-1.23B
134.86%
322M
126.12%
cash at beginning of period
1.67B
-
1.89B
13.11%
1.86B
1.53%
1.42B
23.48%
1.54B
8.22%
14.18B
820.12%
1.24B
91.28%
590M
52.27%
2.92B
394.41%
2.39B
18.00%
1.16B
51.55%
cash at end of period
1.89B
-
1.86B
1.53%
1.42B
23.48%
1.54B
8.22%
14.18B
820.12%
1.14B
91.96%
590M
48.25%
2.92B
394.41%
2.39B
18.00%
1.16B
51.55%
1.48B
27.78%
operating cash flow
1.51B
-
1.74B
15.73%
1.73B
0.86%
2.56B
48.00%
2.55B
0.35%
2.87B
12.35%
3.33B
16.23%
3.54B
6.28%
4.65B
31.31%
2.63B
43.34%
2.99B
13.52%
capital expenditure
-588M
-
-653M
11.05%
-633M
3.06%
-718M
13.43%
-727M
1.25%
-895M
23.11%
-957M
6.93%
-810M
15.36%
-1.23B
51.98%
-973M
20.96%
-874M
10.17%
free cash flow
919M
-
1.09B
18.72%
1.10B
0.46%
1.84B
67.97%
1.82B
0.98%
1.97B
8.06%
2.37B
20.46%
2.73B
15.00%
3.42B
25.17%
1.66B
51.41%
2.12B
27.41%

All numbers in USD (except ratios and percentages)