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SYK Stryker Corp

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  • 392.150
  • +4.010+1.03%
Close Nov 29 13:00 ET
  • 392.150
  • 0.0000.00%
Post 17:01 ET
149.49BMarket Cap42.03P/E (TTM)

Stryker Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
40.38%1.47B
-7.99%633M
-54.16%204M
41.43%3.71B
52.34%1.53B
18.11%1.05B
30.06%688M
119.21%445M
-19.58%2.62B
0.30%1B
Net income from continuing operations
20.52%834M
11.79%825M
33.11%788M
34.22%3.17B
103.02%1.14B
-15.20%692M
12.50%738M
83.28%592M
18.25%2.36B
-14.95%563M
Depreciation and amortization
2.29%268M
-0.39%258M
1.17%260M
3.01%1.03B
-1.19%250M
4.80%262M
2.37%259M
6.20%257M
0.81%998M
6.30%253M
Deferred tax
266.67%10M
60.00%8M
-1,200.00%-39M
-455.17%-206M
---202M
---6M
--5M
---3M
124.47%58M
----
Other non cash items
--29M
---67M
192.31%76M
89.38%-17M
----
----
----
160.00%26M
-208.11%-160M
----
Change In working capital
582.93%280M
-38.11%-453M
-93.04%-971M
53.18%-500M
3,122.22%290M
118.89%41M
21.34%-328M
-13.54%-503M
-1,494.03%-1.07B
-94.48%9M
-Change in receivables
14.29%-36M
-171.93%-155M
-29.32%258M
69.78%-175M
-12.21%-441M
-55.56%-42M
73.11%-57M
588.68%365M
-53.58%-579M
-69.40%-393M
-Change in inventory
60.36%-132M
83.27%-46M
41.40%-184M
-4.59%-797M
1,662.50%125M
-44.16%-333M
6.46%-275M
-37.12%-314M
-303.17%-762M
-119.05%-8M
-Change in payables and accrued expense
15.98%479M
-992.86%-250M
-87.79%-892M
59.47%606M
21.67%640M
97.61%413M
-41.67%28M
-17.87%-475M
-30.40%380M
24.94%526M
-Change in other working capital
-1,133.33%-31M
91.67%-2M
-93.67%-153M
-25.23%-134M
70.69%-34M
101.79%3M
-158.54%-24M
-158.09%-79M
-127.66%-107M
-70.59%-116M
Cash from discontinued investing activities
Operating cash flow
40.38%1.47B
-7.99%633M
-54.16%204M
41.43%3.71B
52.34%1.53B
18.11%1.05B
30.06%688M
119.21%445M
-19.58%2.62B
0.30%1B
Investing cash flow
Cash flow from continuing investing activities
-1,397.93%-2.17B
78.05%-117M
-209.09%-408M
67.10%-962M
6.17%-152M
-301.39%-145M
-250.66%-533M
95.08%-132M
-240.40%-2.92B
48.41%-162M
Net PPE purchase and sale
-14.86%-170M
0.00%-152M
-28.46%-167M
2.21%-575M
22.87%-145M
-7.25%-148M
-6.29%-152M
-9.24%-130M
-12.00%-588M
8.74%-188M
Net business purchase and sale
---1.26B
77.44%-88M
---246M
84.78%-390M
--0
--0
---390M
--0
-656.05%-2.56B
--0
Net investment purchase and sale
-75,100.00%-750M
830.00%93M
266.67%5M
-98.94%2M
0.00%-6M
-99.51%1M
190.91%10M
-250.00%-3M
3,033.33%188M
-700.00%-6M
Net other investing changes
--12M
----
----
-97.44%1M
-103.13%-1M
----
----
150.00%1M
4,000.00%39M
700.00%32M
Cash from discontinued investing activities
Investing cash flow
-1,397.93%-2.17B
78.05%-117M
-209.09%-408M
67.10%-962M
6.17%-152M
-301.39%-145M
-250.66%-533M
95.08%-132M
-240.40%-2.92B
48.41%-162M
Financing cash flow
Cash flow from continuing financing activities
728.67%2.65B
-138.52%-966M
13.10%-418M
-112.82%-1.59B
35.87%-286M
22.28%-422M
46.22%-405M
-148.44%-481M
68.33%-749M
-54.86%-446M
Net issuance payments of debt
2,883.18%2.98B
-481.55%-599M
99.02%-1M
-158.69%-277M
123.33%35M
57.20%-107M
77.51%-103M
-107.67%-102M
140.94%472M
-971.43%-150M
Cash dividends paid
-7.02%-305M
-7.02%-305M
-7.04%-304M
-8.37%-1.14B
-8.37%-285M
-8.37%-285M
-8.37%-285M
-8.40%-284M
-10.63%-1.05B
-10.97%-263M
Net other financing activities
33.33%-20M
-264.71%-62M
-18.95%-113M
-4.71%-178M
-9.09%-36M
0.00%-30M
46.88%-17M
-26.67%-95M
35.11%-170M
10.81%-33M
Cash from discontinued financing activities
Financing cash flow
728.67%2.65B
-138.52%-966M
13.10%-418M
-112.82%-1.59B
35.87%-286M
22.28%-422M
46.22%-405M
-148.44%-481M
68.33%-749M
-54.86%-446M
Net cash flow
Beginning cash position
33.76%1.87B
39.44%2.33B
61.12%2.97B
-37.36%1.84B
30.99%1.86B
34.20%1.4B
14.61%1.67B
-37.36%1.84B
0.03%2.94B
-44.60%1.42B
Current changes in cash
304.76%1.96B
-80.00%-450M
-270.24%-622M
210.10%1.16B
175.95%1.09B
15.55%483M
33.51%-250M
88.69%-168M
-2,789.74%-1.05B
-0.75%395M
Effect of exchange rate changes
187.50%21M
70.00%-6M
-280.00%-19M
45.10%-28M
-27.59%21M
42.86%-24M
47.37%-20M
---5M
-34.21%-51M
270.59%29M
End cash Position
106.99%3.85B
33.76%1.87B
39.44%2.33B
61.12%2.97B
61.12%2.97B
30.99%1.86B
34.20%1.4B
14.61%1.67B
-37.36%1.84B
-37.36%1.84B
Free cash flow
44.57%1.3B
-10.26%481M
-88.25%37M
54.03%3.14B
69.69%1.38B
20.11%902M
38.86%536M
275.00%315M
-25.64%2.04B
2.64%815M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 40.38%1.47B-7.99%633M-54.16%204M41.43%3.71B52.34%1.53B18.11%1.05B30.06%688M119.21%445M-19.58%2.62B0.30%1B
Net income from continuing operations 20.52%834M11.79%825M33.11%788M34.22%3.17B103.02%1.14B-15.20%692M12.50%738M83.28%592M18.25%2.36B-14.95%563M
Depreciation and amortization 2.29%268M-0.39%258M1.17%260M3.01%1.03B-1.19%250M4.80%262M2.37%259M6.20%257M0.81%998M6.30%253M
Deferred tax 266.67%10M60.00%8M-1,200.00%-39M-455.17%-206M---202M---6M--5M---3M124.47%58M----
Other non cash items --29M---67M192.31%76M89.38%-17M------------160.00%26M-208.11%-160M----
Change In working capital 582.93%280M-38.11%-453M-93.04%-971M53.18%-500M3,122.22%290M118.89%41M21.34%-328M-13.54%-503M-1,494.03%-1.07B-94.48%9M
-Change in receivables 14.29%-36M-171.93%-155M-29.32%258M69.78%-175M-12.21%-441M-55.56%-42M73.11%-57M588.68%365M-53.58%-579M-69.40%-393M
-Change in inventory 60.36%-132M83.27%-46M41.40%-184M-4.59%-797M1,662.50%125M-44.16%-333M6.46%-275M-37.12%-314M-303.17%-762M-119.05%-8M
-Change in payables and accrued expense 15.98%479M-992.86%-250M-87.79%-892M59.47%606M21.67%640M97.61%413M-41.67%28M-17.87%-475M-30.40%380M24.94%526M
-Change in other working capital -1,133.33%-31M91.67%-2M-93.67%-153M-25.23%-134M70.69%-34M101.79%3M-158.54%-24M-158.09%-79M-127.66%-107M-70.59%-116M
Cash from discontinued investing activities
Operating cash flow 40.38%1.47B-7.99%633M-54.16%204M41.43%3.71B52.34%1.53B18.11%1.05B30.06%688M119.21%445M-19.58%2.62B0.30%1B
Investing cash flow
Cash flow from continuing investing activities -1,397.93%-2.17B78.05%-117M-209.09%-408M67.10%-962M6.17%-152M-301.39%-145M-250.66%-533M95.08%-132M-240.40%-2.92B48.41%-162M
Net PPE purchase and sale -14.86%-170M0.00%-152M-28.46%-167M2.21%-575M22.87%-145M-7.25%-148M-6.29%-152M-9.24%-130M-12.00%-588M8.74%-188M
Net business purchase and sale ---1.26B77.44%-88M---246M84.78%-390M--0--0---390M--0-656.05%-2.56B--0
Net investment purchase and sale -75,100.00%-750M830.00%93M266.67%5M-98.94%2M0.00%-6M-99.51%1M190.91%10M-250.00%-3M3,033.33%188M-700.00%-6M
Net other investing changes --12M---------97.44%1M-103.13%-1M--------150.00%1M4,000.00%39M700.00%32M
Cash from discontinued investing activities
Investing cash flow -1,397.93%-2.17B78.05%-117M-209.09%-408M67.10%-962M6.17%-152M-301.39%-145M-250.66%-533M95.08%-132M-240.40%-2.92B48.41%-162M
Financing cash flow
Cash flow from continuing financing activities 728.67%2.65B-138.52%-966M13.10%-418M-112.82%-1.59B35.87%-286M22.28%-422M46.22%-405M-148.44%-481M68.33%-749M-54.86%-446M
Net issuance payments of debt 2,883.18%2.98B-481.55%-599M99.02%-1M-158.69%-277M123.33%35M57.20%-107M77.51%-103M-107.67%-102M140.94%472M-971.43%-150M
Cash dividends paid -7.02%-305M-7.02%-305M-7.04%-304M-8.37%-1.14B-8.37%-285M-8.37%-285M-8.37%-285M-8.40%-284M-10.63%-1.05B-10.97%-263M
Net other financing activities 33.33%-20M-264.71%-62M-18.95%-113M-4.71%-178M-9.09%-36M0.00%-30M46.88%-17M-26.67%-95M35.11%-170M10.81%-33M
Cash from discontinued financing activities
Financing cash flow 728.67%2.65B-138.52%-966M13.10%-418M-112.82%-1.59B35.87%-286M22.28%-422M46.22%-405M-148.44%-481M68.33%-749M-54.86%-446M
Net cash flow
Beginning cash position 33.76%1.87B39.44%2.33B61.12%2.97B-37.36%1.84B30.99%1.86B34.20%1.4B14.61%1.67B-37.36%1.84B0.03%2.94B-44.60%1.42B
Current changes in cash 304.76%1.96B-80.00%-450M-270.24%-622M210.10%1.16B175.95%1.09B15.55%483M33.51%-250M88.69%-168M-2,789.74%-1.05B-0.75%395M
Effect of exchange rate changes 187.50%21M70.00%-6M-280.00%-19M45.10%-28M-27.59%21M42.86%-24M47.37%-20M---5M-34.21%-51M270.59%29M
End cash Position 106.99%3.85B33.76%1.87B39.44%2.33B61.12%2.97B61.12%2.97B30.99%1.86B34.20%1.4B14.61%1.67B-37.36%1.84B-37.36%1.84B
Free cash flow 44.57%1.3B-10.26%481M-88.25%37M54.03%3.14B69.69%1.38B20.11%902M38.86%536M275.00%315M-25.64%2.04B2.64%815M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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