av/smith-and-nephew--big.svg

NYSE:SNN

Smith+Nephew

  • Stock

USD

Last Close

1,078.00

02/05 08:34

Market Cap

94.69M

Beta: 0.35

Volume Today

216.37K

Avg: 930.92K

PE Ratio

111.82

PFCF: 552.76

Dividend Yield

2.69%

Payout:149.54%

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 '14
Apr '21
Jul '21
Sep '21
Dec '21
Apr '22
Jul '22
Sep '22
Dec '22
Apr '23
Jul '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
212M
-
102.50M
51.65%
102.50M
0%
159.50M
55.61%
159.50M
0%
88.50M
44.51%
88.50M
0%
23M
74.01%
23M
0%
86M
273.91%
86M
0%
45.50M
47.09%
45.50M
0%
107M
135.16%
107M
0%
depreciation and amortization
131M
-
147M
12.21%
147M
0%
114M
22.45%
155M
35.96%
154.50M
0.32%
154.50M
0%
98M
36.57%
98M
0%
148.50M
51.53%
148.50M
0%
96M
35.35%
96M
0%
96M
0%
96M
0%
deferred income tax
-104M
-
246.50M
-
246.50M
0%
stock based compensation
9M
-
11.50M
27.78%
11.50M
0%
9M
21.74%
9M
0%
11.50M
27.78%
11.50M
0%
8.50M
26.09%
8.50M
0%
9.50M
11.76%
9.50M
0%
10M
5.26%
10M
0%
10M
0%
10M
0%
change in working capital
44M
-
-42M
195.45%
-42M
0%
-74M
76.19%
-74M
0%
-172M
132.43%
-255M
-
-255M
0%
73M
-
73M
0%
-81.50M
211.64%
-81.50M
0%
accounts receivables
-40.50M
-
-40.50M
0%
-51.50M
-
-51.50M
0%
-24.50M
-
-24.50M
0%
-22M
10.20%
-22M
0%
inventory
-75.50M
-
-75.50M
0%
-203.50M
-
-203.50M
0%
-89M
-
-89M
0%
-59.50M
33.15%
-59.50M
0%
accounts payables
other working capital
-42M
-
-42M
0%
42M
200%
42M
0%
-172M
509.52%
186.50M
-
186.50M
0%
other non cash items
10M
-
-37.50M
475%
-37.50M
0%
48.50M
229.33%
7.50M
84.54%
21M
180%
-151M
819.05%
9.50M
106.29%
9.50M
0%
-187.50M
2,073.68%
-187.50M
0%
23M
112.27%
23M
0%
-12.50M
154.35%
-12.50M
0%
net cash provided by operating activities
302M
-
181.50M
39.90%
181.50M
0%
257M
41.60%
257M
0%
103.50M
59.73%
103.50M
0%
130.50M
26.09%
130.50M
0%
56.50M
56.70%
56.50M
0%
247.50M
338.05%
247.50M
0%
119M
51.92%
119M
0%
investments in property plant and equipment
-118M
-
-87.50M
25.85%
-87.50M
0%
-116.50M
33.14%
-116.50M
0%
-86.50M
25.75%
-86.50M
0%
-92.50M
6.94%
-92.50M
0%
-83.50M
9.73%
-83.50M
0%
-130M
55.69%
-130M
0%
-86M
33.85%
-86M
0%
acquisitions net
-1M
-
-129.50M
12,850%
-129.50M
0%
-13M
89.96%
-13M
0%
-48.50M
273.08%
-3M
-
-3M
0%
-93M
3,000%
-93M
0%
purchases of investments
-4M
-
sales maturities of investments
118M
-
other investing activites
90M
-
1.50M
98.33%
1.50M
0%
-500K
133.33%
-500K
0%
1M
300%
-47.50M
4,850%
-9.50M
80%
-9.50M
0%
-7.50M
21.05%
-7.50M
0%
-1M
-
-1M
0%
net cash used for investing activites
85M
-
-215.50M
353.53%
-215.50M
0%
-130M
39.68%
-130M
0%
-134M
3.08%
-134M
0%
-102M
23.88%
-102M
0%
-91M
10.78%
-91M
0%
-133M
46.15%
-133M
0%
-180M
35.34%
-180M
0%
debt repayment
-307M
-
common stock issued
12M
-
common stock repurchased
-20M
-
-66.50M
-
-66.50M
0%
-12.50M
81.20%
-12.50M
0%
-500K
-
-500K
0%
dividends paid
-98M
-
-101.50M
3.57%
-101.50M
0%
-63M
37.93%
-63M
0%
-101M
60.32%
-101M
0%
-62.50M
38.12%
-62.50M
0%
-100.50M
60.80%
-100.50M
0%
-63M
37.31%
-63M
0%
-101M
60.32%
-101M
0%
other financing activites
-13M
-
-49.50M
280.77%
-49.50M
0%
-108.50M
119.19%
-108.50M
0%
-184.50M
70.05%
-251M
36.04%
-36M
85.66%
-36M
0%
57.50M
259.72%
57.50M
0%
6.50M
88.70%
6.50M
0%
287M
4,315.38%
287M
0%
net cash used provided by financing activities
-426M
-
-151M
64.55%
-151M
0%
-171.50M
13.58%
-171.50M
0%
-352M
105.25%
-352M
0%
-111M
68.47%
-111M
0%
-43M
61.26%
-43M
0%
-57M
32.56%
-57M
0%
186M
426.32%
186M
0%
effect of forex changes on cash
-2M
-
-1M
50%
-1M
0%
-2.50M
150%
-2.50M
0%
-4M
60%
-4M
0%
-1.50M
62.50%
-1.50M
0%
-3M
100%
-3M
0%
1M
133.33%
1M
0%
-2.50M
350%
-2.50M
0%
net change in cash
-41M
-
-186M
353.66%
-186M
0%
-47M
74.73%
-47M
0%
-386.50M
722.34%
-386.50M
0%
-84M
78.27%
-84M
0%
-80.50M
4.17%
-80.50M
0%
58.50M
172.67%
58.50M
0%
122.50M
109.40%
122.50M
0%
cash at beginning of period
106M
-
1.75B
1,551.89%
1.56B
10.62%
1.38B
11.88%
1.33B
3.41%
1.28B
3.53%
898.50M
30.08%
512M
43.02%
cash at end of period
65M
-
1.56B
2,307.69%
1.38B
11.88%
1.33B
3.41%
1.28B
3.53%
898.50M
30.08%
512M
43.02%
428M
16.41%
-84M
119.63%
-80.50M
4.17%
-80.50M
0%
58.50M
172.67%
58.50M
0%
122.50M
109.40%
122.50M
0%
operating cash flow
302M
-
181.50M
39.90%
181.50M
0%
257M
41.60%
257M
0%
103.50M
59.73%
103.50M
0%
130.50M
26.09%
130.50M
0%
56.50M
56.70%
56.50M
0%
247.50M
338.05%
247.50M
0%
119M
51.92%
119M
0%
capital expenditure
-118M
-
-87.50M
25.85%
-87.50M
0%
-116.50M
33.14%
-116.50M
0%
-86.50M
25.75%
-86.50M
0%
-92.50M
6.94%
-92.50M
0%
-83.50M
9.73%
-83.50M
0%
-130M
55.69%
-130M
0%
-86M
33.85%
-86M
0%
free cash flow
184M
-
94M
48.91%
94M
0%
140.50M
49.47%
140.50M
0%
17M
87.90%
17M
0%
38M
123.53%
38M
0%
-27M
171.05%
-27M
0%
117.50M
535.19%
117.50M
0%
33M
71.91%
33M
0%

All numbers in USD (except ratios and percentages)