Medtronic Total Long-Term Assets 2010-2024 | MDT

Medtronic total long-term assets from 2010 to 2024. Total long-term assets can be defined as the sum of all assets classified as non-current
  • Medtronic total long-term assets for the quarter ending July 31, 2024 were $67.801B, a 1.61% decline year-over-year.
  • Medtronic total long-term assets for 2024 were $68.046B, a 1.77% decline from 2023.
  • Medtronic total long-term assets for 2023 were $69.274B, a 1.99% increase from 2022.
  • Medtronic total long-term assets for 2022 were $67.921B, a 3.7% decline from 2021.
Medtronic Annual Total Long-Term Assets
(Millions of US $)
2024 $68,046
2023 $69,274
2022 $67,921
2021 $70,534
2020 $68,658
2019 $67,727
2018 $68,413
2017 $74,984
2016 $76,044
2015 $75,841
2014 $16,733
2013 $17,048
2012 $16,482
2011 $21,525
2010 $18,251
2009 $16,136
Medtronic Quarterly Total Long-Term Assets
(Millions of US $)
2024-07-31 $67,801
2024-04-30 $68,046
2024-01-31 $68,323
2023-10-31 $68,006
2023-07-31 $68,908
2023-04-30 $69,274
2023-01-31 $68,770
2022-10-31 $67,844
2022-07-31 $67,779
2022-04-30 $67,921
2022-01-31 $68,501
2021-10-31 $69,025
2021-07-31 $69,368
2021-04-30 $70,534
2021-01-31 $70,922
2020-10-31 $69,850
2020-07-31 $69,397
2020-04-30 $68,658
2020-01-31 $68,779
2019-10-31 $68,400
2019-07-31 $68,563
2019-04-30 $67,727
2019-01-31 $67,853
2018-10-31 $66,497
2018-07-31 $67,261
2018-04-30 $68,413
2018-01-31 $69,193
2017-10-31 $69,296
2017-07-31 $75,471
2017-04-30 $74,984
2017-01-31 $75,155
2016-10-31 $75,880
2016-07-31 $75,103
2016-04-30 $76,044
2016-01-31 $75,137
2015-10-31 $76,222
2015-07-31 $75,479
2015-04-30 $75,841
2015-01-31 $17,072
2014-10-31 $17,183
2014-07-31 $16,784
2014-04-30 $16,733
2014-01-31 $16,845
2013-10-31 $16,985
2013-07-31 $16,882
2013-04-30 $17,048
2013-01-31 $25,788
2012-10-31 $24,525
2012-07-31 $24,069
2012-04-30 $16,482
2012-01-31 $22,603
2011-10-31 $22,739
2011-07-31 $21,806
2011-04-30 $21,525
2011-01-31 $20,611
2010-10-31 $19,417
2010-07-31 $18,663
2010-04-30 $18,251
2010-01-31 $17,189
2009-10-31 $16,972
2009-07-31 $16,290
2009-04-30 $16,136
2009-01-31 $15,558
Sector Industry Market Cap Revenue
Medical Medical Products Manufacturing $113.026B $32.364B
Medtronic, Inc. acquired Ireland-based Covidien plc. The acquisition resulted in the formation of a new holding company incorporated in Ireland - Medtronic plc. The company currently generates revenues from four major segments - namely Cardiovascular Portfolio, Medical Surgical Portfolio, Neuroscience Portfolio and Diabetes. The Cardiovascular Portfolio, formerly reported as the Cardiac and Vascular Group, includes the Cardiac Rhythm & Heart Failure, Structural Heart & Aortic and Coronary & Peripheral Vascular divisions. The Medical Surgical Portfolio, formerly reported as the Minimally Invasive Therapies Group, includes the Surgical Innovations and the Respiratory, Gastrointestinal & Renal divisions. Neuroscience consists of Cranial & Spinal Technologies, Specialty The Neuroscience Portfolio, formerly reported as the Restorative Therapies Group, includes the Cranial & Spinal Technologies, Specialty Therapies, and Neuromodulation divisions.
Stock Name Country Market Cap PE Ratio
Abbott Laboratories (ABT) United States $199.879B 25.82
Stryker (SYK) United States $137.705B 32.18
Boston Scientific (BSX) United States $121.595B 37.03
EssilorLuxottica (ESLOY) France $104.378B 0.00
Haleon (HLN) United Kingdom $48.118B 35.17
Lonza Group Ag (LZAGY) Switzerland $45.437B 0.00
ResMed (RMD) United States $34.974B 30.79
Koninklijke Philips (PHG) Netherlands $29.016B 22.05
Terumo (TRUMY) Japan $27.876B 39.37
Zimmer Biomet Holdings (ZBH) United States $21.644B 13.63
Baxter (BAX) United States $20.086B 13.62
Insulet (PODD) United States $16.555B 69.65
Smith & Nephew SNATS (SNN) United Kingdom $13.426B 0.00
Bio-Rad Laboratories (BIO) United States $9.489B 31.44
Demant (WILYY) Denmark $9.197B 0.00
BellRing Brands (BRBR) United States $7.672B 32.44
Lantheus Holdings (LNTH) United States $7.508B 18.02
ICU Medical (ICUI) United States $4.304B 41.08
TG Therapeutics (TGTX) United States $3.909B 41.39
Haemonetics (HAE) United States $3.870B 19.14
Perrigo (PRGO) Ireland $3.841B 12.14
GN Store Nord (GNNDY) Denmark $3.758B 22.64
Neogen (NEOG) United States $3.736B 39.18
Prestige Consumer Healthcare (PBH) United States $3.644B 18.16
Envista Holdings (NVST) United States $3.298B 17.60
QuidelOrtho (QDEL) United States $3.108B 19.59
Agios Pharmaceuticals (AGIO) United States $2.591B 0.00
Maravai LifeSciences Holdings (MRVI) United States $2.311B 0.00
Green Thumb Industries (GTBIF) United States $2.171B 36.43
LeMaitre Vascular (LMAT) United States $1.996B 53.20
AdaptHealth (AHCO) United States $1.524B 11.00
InMode (INMD) Israel $1.466B 9.34
Warby Parker (WRBY) United States $1.466B 0.00
AtriCure (ATRC) United States $1.363B 0.00
Owens & Minor (OMI) United States $1.219B 9.41
Verano Holdings (VRNOF) United States $1.114B 0.00
BioLife Solutions (BLFS) United States $1.094B 0.00
Evolus (EOLS) United States $1.023B 0.00
PetIQ (PETQ) United States $0.920B 23.32
Phibro Animal Health (PAHC) United States $0.897B 18.61
National Vision Holdings (EYE) United States $0.864B 27.48
Cresco Labs (CRLBF) United States $0.801B 0.00
Surmodics (SRDX) United States $0.561B 119.09
Quanterix (QTRX) United States $0.543B 0.00
ZimVie (ZIMV) United States $0.454B 42.23
VAREX IMAGING (VREX) United States $0.451B 13.62
Valneva SE (VALN) France $0.422B 0.00
Canopy Growth (CGC) Canada $0.406B 0.00
Jin Medical (ZJYL) China $0.397B 0.00
TerrAscend (TSNDF) Canada $0.333B 0.00
Cerus (CERS) United States $0.330B 0.00
OraSure Technologies (OSUR) United States $0.321B 8.29
Aurora Cannabis (ACB) Canada $0.320B 0.00
Biote (BTMD) United States $0.319B 14.70
Viemed Healthcare (VMD) United States $0.287B 30.79
Sanara MedTech (SMTI) United States $0.272B 0.00
Zynex (ZYXI) United States $0.260B 45.44
Utah Medical Products (UTMD) United States $0.234B 15.52
Ayr Wellness (AYRWF) United States $0.232B 0.00
Omeros (OMER) United States $0.228B 0.00
MacroGenics (MGNX) United States $0.207B 0.00
Organigram Holdings (OGI) Canada $0.196B 0.00
High Tide (HITI) Canada $0.170B 70.33
Capricor Therapeutics (CAPR) United States $0.167B 0.00
FitLife Brands (FTLF) United States $0.153B 20.62
Brainsway (BWAY) Israel $0.140B 168.00
TriSalus Life Sciences (TLSI) United States $0.135B 0.00
Rockwell Medical (RMTI) United States $0.125B 0.00
Quipt Home Medical (QIPT) United States $0.124B 0.00
Veru (VERU) United States $0.113B 0.00
Fonar (FONR) United States $0.110B 11.15
Jushi Holdings (JUSHF) United States $0.103B 0.00
Oramed Pharmaceuticals (ORMP) United States $0.099B 24.20
InterCure (INCR) Israel $0.085B 14.31
Safety Shot (SHOT) United States $0.082B 0.00
Cytosorbents (CTSO) United States $0.077B 0.00
Zevia PBC (ZVIA) United States $0.076B 0.00
Cellectar Biosciences (CLRB) United States $0.075B 0.00
Modular Medical (MODD) United States $0.073B 0.00
MariMed (MRMD) United States $0.065B 0.00
Eagle Pharmaceuticals (EGRX) United States $0.056B 3.63
Exagen (XGN) United States $0.049B 0.00
Allurion Technologies (ALUR) United States $0.041B 0.00
Apyx Medical (APYX) United States $0.036B 0.00
Bright Green (BGXX) United States $0.028B 0.00
ImmuCell (ICCC) United States $0.028B 0.00
Meihua Medical Technologies (MHUA) China $0.026B 0.00
Nephros (NEPH) United States $0.019B 0.00
GlucoTrack (GCTK) United States $0.016B 0.00
Flora Growth (FLGC) United States $0.014B 0.00
GUARDION HEALTH (GHSI) United States $0.013B 0.00
Innovative Eyewear (LUCY) United States $0.013B 0.00
Trinity Biotech (TRIB) Ireland $0.011B 0.00
Agape ATP (ATPC) $0.008B 0.00
NeuroMetrix (NURO) United States $0.008B 0.00
Sharps Technology (STSS) United States $0.007B 0.00
IM Cannabis (IMCC) Canada $0.005B 0.00
Leafly Holdings (LFLY) United States $0.005B 0.00
Senestech (SNES) United States $0.001B 0.00
InVivo Therapeutics Holdings (NVIVQ) United States $0.001B 0.00
Akanda (AKAN) United Kingdom $0.000B 0.00
Smart For Life (SMFL) United States $0.000B 0.00
United-Guardian (UG) United States $0.000B 20.47
SNDL (SNDL) Canada $0.000B 0.00