US Stock MarketDetailed Quotes

SNN Smith & Nephew

Watchlist
  • 28.050
  • +0.102+0.36%
Close Mar 28 16:00 ET
  • 28.050
  • 0.0000.00%
Post 20:01 ET
12.25BMarket Cap29.84P/E (TTM)

Smith & Nephew Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 29, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jul 1, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jul 2, 2022
(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
104.97%619M
104.97%619M
198.95%568M
-13.71%302M
-13.71%302M
-63.18%190M
-72.87%350M
--350M
-62.80%516M
-26.79%1.29B
-Cash and cash equivalents
104.97%619M
104.97%619M
198.95%568M
-13.71%302M
-13.71%302M
-63.18%190M
-72.87%350M
--350M
-62.80%516M
-26.79%1.29B
-Accounts receivable
0.00%1.06B
0.00%1.06B
6.78%1.36B
3.12%1.06B
3.12%1.06B
4.10%1.27B
5.77%1.03B
--1.03B
0.58%1.22B
6.59%971M
-Taxes receivable
3.03%34M
3.03%34M
450.00%44M
-10.81%33M
-10.81%33M
-76.47%8M
-65.09%37M
--37M
-63.44%34M
11.58%106M
-Other receivables
21.31%148M
21.31%148M
----
7.02%122M
7.02%122M
----
20.00%114M
--114M
----
-5.00%95M
Inventory
-0.33%2.39B
-0.33%2.39B
3.32%2.49B
8.62%2.4B
8.62%2.4B
21.16%2.41B
19.58%2.21B
--2.21B
13.71%1.99B
9.05%1.84B
Prepaid assets
38.04%127M
38.04%127M
----
21.05%92M
21.05%92M
----
-3.80%76M
--76M
----
-2.47%79M
Total current assets
9.70%4.42B
9.70%4.42B
14.96%4.46B
4.51%4.03B
4.51%4.03B
3.17%3.88B
-12.84%3.86B
--3.86B
-15.38%3.76B
-5.15%4.42B
Non current assets
Net PPE
-3.27%1.42B
-3.27%1.42B
1.41%1.44B
1.03%1.47B
1.03%1.47B
-2.67%1.42B
-3.83%1.46B
--1.46B
0.48%1.46B
4.42%1.51B
-Gross PPE
0.99%4.28B
0.99%4.28B
----
5.42%4.24B
5.42%4.24B
----
1.44%4.02B
--4.02B
----
5.73%3.97B
-Accumulated depreciation
-3.25%-2.86B
-3.25%-2.86B
----
-7.90%-2.77B
-7.90%-2.77B
----
-4.69%-2.57B
---2.57B
----
-6.56%-2.45B
Goodwill and other intangible assets
-1.07%4.06B
-1.07%4.06B
-0.31%4.22B
-3.87%4.1B
-3.87%4.1B
-2.51%4.23B
-2.74%4.27B
--4.27B
-3.28%4.34B
-0.61%4.39B
-Goodwill
1.14%3.03B
1.14%3.03B
1.80%3.1B
-1.29%2.99B
-1.29%2.99B
0.89%3.05B
1.41%3.03B
--3.03B
1.04%3.02B
2.08%2.99B
-Other intangible assets
-7.03%1.03B
-7.03%1.03B
-5.76%1.11B
-10.19%1.11B
-10.19%1.11B
-10.33%1.18B
-11.59%1.24B
--1.24B
-11.91%1.32B
-5.92%1.4B
Defined pension benefit
-8.70%63M
-8.70%63M
-20.24%67M
-51.06%69M
-51.06%69M
-50.59%84M
-22.53%141M
--141M
8.97%170M
36.84%182M
Other non current assets
33.33%24M
33.33%24M
88.89%17M
50.00%18M
50.00%18M
-40.00%9M
-20.00%12M
--12M
-42.31%15M
-54.55%15M
Total non current assets
-0.40%5.93B
-0.40%5.93B
1.98%6.08B
-2.50%5.96B
-2.50%5.96B
-5.99%5.97B
-5.94%6.11B
--6.11B
-2.23%6.35B
2.33%6.5B
Total assets
3.67%10.35B
3.67%10.35B
7.09%10.54B
0.21%9.99B
0.21%9.99B
-2.58%9.84B
-8.74%9.97B
--9.97B
-7.57%10.11B
-0.84%10.92B
Liabilities
Current liabilities
Payables
7.79%1.34B
7.79%1.34B
9.11%1.25B
-1.89%1.25B
-1.89%1.25B
-6.32%1.14B
-2.31%1.27B
--1.27B
-3.41%1.22B
11.12%1.3B
-accounts payable
6.50%1.08B
6.50%1.08B
7.23%1.02B
-1.26%1.02B
-1.26%1.02B
-5.73%955M
-1.34%1.03B
--1.03B
-3.15%1.01B
17.06%1.04B
-Total tax payable
6.42%232M
6.42%232M
18.82%221M
1.87%218M
1.87%218M
-9.27%186M
-3.60%214M
--214M
-4.65%205M
7.77%222M
-Other payable
154.55%28M
154.55%28M
----
-57.69%11M
-57.69%11M
----
-23.53%26M
--26M
----
-52.78%34M
Current provisions
-53.65%108M
-53.65%108M
-30.59%152M
-4.12%233M
-4.12%233M
-23.69%219M
-24.53%243M
--243M
37.32%287M
161.79%322M
Current debt and capital lease obligation
-91.76%63M
-91.76%63M
-6.63%380M
378.13%765M
378.13%765M
-33.50%407M
-67.41%160M
--160M
-5.85%612M
45.70%491M
-Current debt
-99.72%2M
-99.72%2M
-8.12%328M
539.64%710M
539.64%710M
-36.48%357M
-74.48%111M
--111M
-5.70%562M
55.91%435M
-Current capital lease obligation
10.91%61M
10.91%61M
4.00%52M
12.24%55M
12.24%55M
0.00%50M
-12.50%49M
--49M
-7.41%50M
-3.45%56M
Current liabilities
-32.58%1.53B
-32.58%1.53B
0.57%1.78B
32.42%2.27B
32.42%2.27B
-16.53%1.77B
-19.52%1.72B
--1.72B
-0.14%2.12B
26.24%2.13B
Non current liabilities
Long term provisions
97.92%95M
97.92%95M
-19.32%71M
-42.86%48M
-42.86%48M
114.63%88M
140.00%84M
--84M
-79.19%41M
-88.10%35M
Long term debt and capital lease obligation
40.49%3.26B
40.49%3.26B
24.43%3.28B
-14.49%2.32B
-14.49%2.32B
15.39%2.63B
-4.78%2.71B
--2.71B
-21.78%2.28B
-15.06%2.85B
-Long term debt
43.59%3.12B
43.59%3.12B
26.28%3.14B
-15.20%2.18B
-15.20%2.18B
15.55%2.49B
-5.25%2.57B
--2.57B
-22.55%2.15B
-15.30%2.71B
-Long term capital lease obligation
-6.25%135M
-6.25%135M
-7.69%132M
-2.04%144M
-2.04%144M
12.60%143M
4.26%147M
--147M
-5.93%127M
-10.19%141M
Derivative product liabilities
--16M
--16M
----
--0
--0
----
--13M
--13M
----
--0
Other non current liabilities
----
----
----
----
----
--1M
----
----
----
----
Total non current liabilities
42.38%3.56B
42.38%3.56B
25.18%3.56B
-16.48%2.5B
-16.48%2.5B
9.68%2.84B
-7.11%2.99B
--2.99B
-25.53%2.59B
-20.37%3.22B
Total liabilities
6.69%5.09B
6.69%5.09B
15.74%5.34B
1.34%4.77B
1.34%4.77B
-2.10%4.61B
-12.05%4.71B
--4.71B
-15.92%4.71B
-6.65%5.35B
Shareholders'equity
Share capital
0.00%175M
0.00%175M
0.00%175M
0.00%175M
0.00%175M
0.00%175M
-1.13%175M
--175M
-1.13%175M
0.00%177M
-common stock
0.00%175M
0.00%175M
0.00%175M
0.00%175M
0.00%175M
0.00%175M
-1.13%175M
--175M
-1.13%175M
0.00%177M
Retained earnings
2.28%5.02B
2.28%5.02B
-0.58%4.93B
-2.39%4.91B
-2.39%4.91B
-3.16%4.96B
-3.81%5.03B
--5.03B
2.81%5.13B
5.39%5.23B
Paid-in capital
0.00%635M
0.00%635M
0.00%635M
0.00%635M
0.00%635M
0.00%635M
0.47%635M
--635M
0.47%635M
0.32%632M
Less: Treasury stock
-29.79%66M
-29.79%66M
-23.36%82M
-20.34%94M
-20.34%94M
0.94%107M
-1.67%118M
--118M
-24.29%106M
-23.57%120M
Total stockholders'equity
0.92%5.27B
0.92%5.27B
-0.54%5.21B
-0.80%5.22B
-0.80%5.22B
-3.00%5.23B
-5.55%5.26B
--5.26B
1.20%5.4B
5.47%5.57B
Total equity
0.92%5.27B
0.92%5.27B
-0.54%5.21B
-0.80%5.22B
-0.80%5.22B
-3.00%5.23B
-5.55%5.26B
--5.26B
1.20%5.4B
5.47%5.57B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 29, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jul 1, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jul 2, 2022(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 104.97%619M104.97%619M198.95%568M-13.71%302M-13.71%302M-63.18%190M-72.87%350M--350M-62.80%516M-26.79%1.29B
-Cash and cash equivalents 104.97%619M104.97%619M198.95%568M-13.71%302M-13.71%302M-63.18%190M-72.87%350M--350M-62.80%516M-26.79%1.29B
-Accounts receivable 0.00%1.06B0.00%1.06B6.78%1.36B3.12%1.06B3.12%1.06B4.10%1.27B5.77%1.03B--1.03B0.58%1.22B6.59%971M
-Taxes receivable 3.03%34M3.03%34M450.00%44M-10.81%33M-10.81%33M-76.47%8M-65.09%37M--37M-63.44%34M11.58%106M
-Other receivables 21.31%148M21.31%148M----7.02%122M7.02%122M----20.00%114M--114M-----5.00%95M
Inventory -0.33%2.39B-0.33%2.39B3.32%2.49B8.62%2.4B8.62%2.4B21.16%2.41B19.58%2.21B--2.21B13.71%1.99B9.05%1.84B
Prepaid assets 38.04%127M38.04%127M----21.05%92M21.05%92M-----3.80%76M--76M-----2.47%79M
Total current assets 9.70%4.42B9.70%4.42B14.96%4.46B4.51%4.03B4.51%4.03B3.17%3.88B-12.84%3.86B--3.86B-15.38%3.76B-5.15%4.42B
Non current assets
Net PPE -3.27%1.42B-3.27%1.42B1.41%1.44B1.03%1.47B1.03%1.47B-2.67%1.42B-3.83%1.46B--1.46B0.48%1.46B4.42%1.51B
-Gross PPE 0.99%4.28B0.99%4.28B----5.42%4.24B5.42%4.24B----1.44%4.02B--4.02B----5.73%3.97B
-Accumulated depreciation -3.25%-2.86B-3.25%-2.86B-----7.90%-2.77B-7.90%-2.77B-----4.69%-2.57B---2.57B-----6.56%-2.45B
Goodwill and other intangible assets -1.07%4.06B-1.07%4.06B-0.31%4.22B-3.87%4.1B-3.87%4.1B-2.51%4.23B-2.74%4.27B--4.27B-3.28%4.34B-0.61%4.39B
-Goodwill 1.14%3.03B1.14%3.03B1.80%3.1B-1.29%2.99B-1.29%2.99B0.89%3.05B1.41%3.03B--3.03B1.04%3.02B2.08%2.99B
-Other intangible assets -7.03%1.03B-7.03%1.03B-5.76%1.11B-10.19%1.11B-10.19%1.11B-10.33%1.18B-11.59%1.24B--1.24B-11.91%1.32B-5.92%1.4B
Defined pension benefit -8.70%63M-8.70%63M-20.24%67M-51.06%69M-51.06%69M-50.59%84M-22.53%141M--141M8.97%170M36.84%182M
Other non current assets 33.33%24M33.33%24M88.89%17M50.00%18M50.00%18M-40.00%9M-20.00%12M--12M-42.31%15M-54.55%15M
Total non current assets -0.40%5.93B-0.40%5.93B1.98%6.08B-2.50%5.96B-2.50%5.96B-5.99%5.97B-5.94%6.11B--6.11B-2.23%6.35B2.33%6.5B
Total assets 3.67%10.35B3.67%10.35B7.09%10.54B0.21%9.99B0.21%9.99B-2.58%9.84B-8.74%9.97B--9.97B-7.57%10.11B-0.84%10.92B
Liabilities
Current liabilities
Payables 7.79%1.34B7.79%1.34B9.11%1.25B-1.89%1.25B-1.89%1.25B-6.32%1.14B-2.31%1.27B--1.27B-3.41%1.22B11.12%1.3B
-accounts payable 6.50%1.08B6.50%1.08B7.23%1.02B-1.26%1.02B-1.26%1.02B-5.73%955M-1.34%1.03B--1.03B-3.15%1.01B17.06%1.04B
-Total tax payable 6.42%232M6.42%232M18.82%221M1.87%218M1.87%218M-9.27%186M-3.60%214M--214M-4.65%205M7.77%222M
-Other payable 154.55%28M154.55%28M-----57.69%11M-57.69%11M-----23.53%26M--26M-----52.78%34M
Current provisions -53.65%108M-53.65%108M-30.59%152M-4.12%233M-4.12%233M-23.69%219M-24.53%243M--243M37.32%287M161.79%322M
Current debt and capital lease obligation -91.76%63M-91.76%63M-6.63%380M378.13%765M378.13%765M-33.50%407M-67.41%160M--160M-5.85%612M45.70%491M
-Current debt -99.72%2M-99.72%2M-8.12%328M539.64%710M539.64%710M-36.48%357M-74.48%111M--111M-5.70%562M55.91%435M
-Current capital lease obligation 10.91%61M10.91%61M4.00%52M12.24%55M12.24%55M0.00%50M-12.50%49M--49M-7.41%50M-3.45%56M
Current liabilities -32.58%1.53B-32.58%1.53B0.57%1.78B32.42%2.27B32.42%2.27B-16.53%1.77B-19.52%1.72B--1.72B-0.14%2.12B26.24%2.13B
Non current liabilities
Long term provisions 97.92%95M97.92%95M-19.32%71M-42.86%48M-42.86%48M114.63%88M140.00%84M--84M-79.19%41M-88.10%35M
Long term debt and capital lease obligation 40.49%3.26B40.49%3.26B24.43%3.28B-14.49%2.32B-14.49%2.32B15.39%2.63B-4.78%2.71B--2.71B-21.78%2.28B-15.06%2.85B
-Long term debt 43.59%3.12B43.59%3.12B26.28%3.14B-15.20%2.18B-15.20%2.18B15.55%2.49B-5.25%2.57B--2.57B-22.55%2.15B-15.30%2.71B
-Long term capital lease obligation -6.25%135M-6.25%135M-7.69%132M-2.04%144M-2.04%144M12.60%143M4.26%147M--147M-5.93%127M-10.19%141M
Derivative product liabilities --16M--16M------0--0------13M--13M------0
Other non current liabilities ----------------------1M----------------
Total non current liabilities 42.38%3.56B42.38%3.56B25.18%3.56B-16.48%2.5B-16.48%2.5B9.68%2.84B-7.11%2.99B--2.99B-25.53%2.59B-20.37%3.22B
Total liabilities 6.69%5.09B6.69%5.09B15.74%5.34B1.34%4.77B1.34%4.77B-2.10%4.61B-12.05%4.71B--4.71B-15.92%4.71B-6.65%5.35B
Shareholders'equity
Share capital 0.00%175M0.00%175M0.00%175M0.00%175M0.00%175M0.00%175M-1.13%175M--175M-1.13%175M0.00%177M
-common stock 0.00%175M0.00%175M0.00%175M0.00%175M0.00%175M0.00%175M-1.13%175M--175M-1.13%175M0.00%177M
Retained earnings 2.28%5.02B2.28%5.02B-0.58%4.93B-2.39%4.91B-2.39%4.91B-3.16%4.96B-3.81%5.03B--5.03B2.81%5.13B5.39%5.23B
Paid-in capital 0.00%635M0.00%635M0.00%635M0.00%635M0.00%635M0.00%635M0.47%635M--635M0.47%635M0.32%632M
Less: Treasury stock -29.79%66M-29.79%66M-23.36%82M-20.34%94M-20.34%94M0.94%107M-1.67%118M--118M-24.29%106M-23.57%120M
Total stockholders'equity 0.92%5.27B0.92%5.27B-0.54%5.21B-0.80%5.22B-0.80%5.22B-3.00%5.23B-5.55%5.26B--5.26B1.20%5.4B5.47%5.57B
Total equity 0.92%5.27B0.92%5.27B-0.54%5.21B-0.80%5.22B-0.80%5.22B-3.00%5.23B-5.55%5.26B--5.26B1.20%5.4B5.47%5.57B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Market Insights

Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.

Unlock Now
Discussing
Trump 2.0 Era: How will global markets evolve?
🎙️Discussion: 1. How will tariff policies affect the movement of key assets such as U.S. stocks, gold, and Bitcoin? 2. Given this context, Show More