Medtronic Share Holder Equity 2010-2024 | MDT

Medtronic share holder equity from 2010 to 2024. Share holder equity can be defined as the sum of preferred and common equity items
  • Medtronic share holder equity for the quarter ending October 31, 2024 was $48.716B, a 5.68% decline year-over-year.
  • Medtronic share holder equity for 2024 was $50.42B, a 2.41% decline from 2023.
  • Medtronic share holder equity for 2023 was $51.665B, a 2% decline from 2022.
  • Medtronic share holder equity for 2022 was $52.722B, a 2.17% increase from 2021.
Medtronic Annual Share Holder Equity
(Millions of US $)
2024 $50,420
2023 $51,665
2022 $52,722
2021 $51,602
2020 $50,872
2019 $50,212
2018 $50,822
2017 $50,330
2016 $52,063
2015 $53,230
2014 $19,443
2013 $18,671
2012 $17,113
2011 $15,968
2010 $14,629
2009 $13,182
Medtronic Quarterly Share Holder Equity
(Millions of US $)
2024-10-31 $48,716
2024-07-31 $48,160
2024-04-30 $50,420
2024-01-31 $51,996
2023-10-31 $51,647
2023-07-31 $51,366
2023-04-30 $51,665
2023-01-31 $51,618
2022-10-31 $52,057
2022-07-31 $52,843
2022-04-30 $52,722
2022-01-31 $52,713
2021-10-31 $52,159
2021-07-31 $51,664
2021-04-30 $51,602
2021-01-31 $50,928
2020-10-31 $50,316
2020-07-31 $50,443
2020-04-30 $50,872
2020-01-31 $51,953
2019-10-31 $50,719
2019-07-31 $50,497
2019-04-30 $50,212
2019-01-31 $49,941
2018-10-31 $49,714
2018-07-31 $50,329
2018-04-30 $50,822
2018-01-31 $50,340
2017-10-31 $51,578
2017-07-31 $50,787
2017-04-30 $50,330
2017-01-31 $49,493
2016-10-31 $50,293
2016-07-31 $50,892
2016-04-30 $52,063
2016-01-31 $50,816
2015-10-31 $52,269
2015-07-31 $52,809
2015-04-30 $53,230
2015-01-31 $20,173
2014-10-31 $19,438
2014-07-31 $19,248
2014-04-30 $19,443
2014-01-31 $19,354
2013-10-31 $18,744
2013-07-31 $18,519
2013-04-30 $18,671
2013-01-31 $17,836
2012-10-31 $17,175
2012-07-31 $17,255
2012-04-30 $17,113
2012-01-31 $17,169
2011-10-31 $16,739
2011-07-31 $16,340
2011-04-30 $15,968
2011-01-31 $15,358
2010-10-31 $14,825
2010-07-31 $14,601
2010-04-30 $14,629
2010-01-31 $14,320
2009-10-31 $13,608
2009-07-31 $13,144
2009-04-30 $13,182
2009-01-31 $13,064
Sector Industry Market Cap Revenue
Medical Medical Products Manufacturing $112.944B $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 $196.826B 25.11
Stryker (SYK) United States $146.166B 32.94
Boston Scientific (BSX) United States $145.408B 41.81
EssilorLuxottica (ESLOY) France $115.383B 0.00
Lonza Group Ag (LZAGY) Switzerland $43.849B 0.00
Haleon (HLN) United Kingdom $41.827B 27.18
GE HealthCare Technologies (GEHC) United States $38.715B 20.08
ResMed (RMD) United States $35.199B 28.92
Terumo (TRUMY) Japan $27.980B 0.00
Koninklijke Philips (PHG) Netherlands $24.250B 18.56
Zimmer Biomet Holdings (ZBH) United States $21.811B 13.89
Insulet (PODD) United States $19.347B 77.04
Baxter (BAX) United States $15.818B 10.29
Smith & Nephew SNATS (SNN) United Kingdom $11.057B 0.00
Bio-Rad Laboratories (BIO) United States $9.586B 32.58
BellRing Brands (BRBR) United States $9.323B 37.51
Demant (WILYY) Denmark $8.735B 0.00
Lantheus Holdings (LNTH) United States $6.360B 14.78
ICU Medical (ICUI) United States $4.012B 38.20
Prestige Consumer Healthcare (PBH) United States $3.882B 19.31
Haemonetics (HAE) United States $3.691B 18.01
Envista Holdings (NVST) United States $3.413B 25.42
Perrigo (PRGO) Ireland $3.252B 9.57
Shandong Weigao Medical Polymer (SHWGF) China $3.010B 0.00
QuidelOrtho (QDEL) United States $2.807B 18.07
GN Store Nord (GNNDY) Denmark $2.585B 16.58
Neogen (NEOG) United States $2.508B 28.90
LeMaitre Vascular (LMAT) United States $2.227B 54.13
AtriCure (ATRC) United States $1.876B 0.00
Green Thumb Industries (GTBIF) United States $1.572B 27.52
AdaptHealth (AHCO) United States $1.416B 10.11
InMode (INMD) Israel $1.410B 8.48
BioLife Solutions (BLFS) United States $1.213B 0.00
Maravai LifeSciences Holdings (MRVI) United States $1.205B 0.00
Owens & Minor (OMI) United States $1.124B 8.78
Curaleaf Holdings (CURLF) Canada $0.981B 0.00
Phibro Animal Health (PAHC) United States $0.843B 14.87
CeriBell (CBLL) United States $0.754B 0.00
Evolus (EOLS) United States $0.666B 0.00
Capricor Therapeutics (CAPR) United States $0.623B 0.00
VAREX IMAGING (VREX) United States $0.557B 24.58
Omeros (OMER) United States $0.541B 0.00
Surmodics (SRDX) United States $0.527B 0.00
Cresco Labs (CRLBF) United States $0.434B 0.00
Verano Holdings (VRNOF) United States $0.434B 0.00
ZimVie (ZIMV) United States $0.394B 33.23
Valneva SE (VALN) France $0.355B 0.00
Quanterix (QTRX) United States $0.342B 0.00
Cerus (CERS) United States $0.332B 0.00
Viemed Healthcare (VMD) United States $0.317B 30.18
Biote (BTMD) United States $0.306B 6.71
Sanara MedTech (SMTI) United States $0.285B 0.00
OraSure Technologies (OSUR) United States $0.272B 18.25
High Tide (HITI) Canada $0.250B 103.00
Zynex (ZYXI) United States $0.245B 51.20
Canopy Growth (CGC) Canada $0.237B 0.00
Sanuwave Health (SNWV) United States $0.226B 3.18
Aurora Cannabis (ACB) Canada $0.211B 0.00
Utah Medical Products (UTMD) United States $0.211B 14.56
Organigram Holdings (OGI) Canada $0.196B 0.00
Brainsway (BWAY) Israel $0.192B 102.30
MacroGenics (MGNX) United States $0.188B 0.00
TerrAscend (TSNDF) Canada $0.168B 0.00
TriSalus Life Sciences (TLSI) United States $0.150B 0.00
FitLife Brands (FTLF) United States $0.149B 18.77
Veru (VERU) United States $0.143B 0.00
Jin Medical (ZJYL) China $0.143B 0.00
Quipt Home Medical (QIPT) United States $0.130B 0.00
Fonar (FONR) United States $0.096B 10.87
Oramed Pharmaceuticals (ORMP) United States $0.092B 0.00
INLIF (INLF) $0.078B 0.00
InterCure (INCR) Israel $0.077B 0.00
Exagen (XGN) United States $0.070B 0.00
Rockwell Medical (RMTI) United States $0.069B 35.33
Jushi Holdings (JUSHF) United States $0.063B 0.00
Ayr Wellness (AYRWF) United States $0.058B 0.00
Cytosorbents (CTSO) United States $0.056B 0.00
Apyx Medical (APYX) United States $0.052B 0.00
ImmuCell (ICCC) United States $0.049B 0.00
Modular Medical (MODD) United States $0.042B 0.00
Safety Shot (SHOT) United States $0.033B 0.00
Nephros (NEPH) United States $0.017B 0.00
Innovative Eyewear (LUCY) United States $0.014B 0.00
Flora Growth (FLGC) United States $0.014B 0.00
Cellectar Biosciences (CLRB) United States $0.010B 0.00
NeuroMetrix (NURO) United States $0.008B 0.00
Meihua Medical Technologies (MHUA) China $0.008B 0.00
Allurion Technologies (ALUR) United States $0.008B 0.00
Trinity Biotech (TRIB) Ireland $0.006B 0.00
Agape ATP (ATPC) $0.005B 0.00
IM Cannabis (IMCC) Canada $0.005B 0.00
Sharps Technology (STSS) United States $0.004B 0.00
Senestech (SNES) United States $0.003B 0.00
Akanda (AKAN) United Kingdom $0.002B 0.00
GlucoTrack (GCTK) United States $0.001B 0.00
United-Guardian (UG) United States $0.000B 14.11
SNDL (SNDL) Canada $0.000B 0.00
InVivo Therapeutics Holdings (NVIVQ) United States $0.000B 0.00