Staff turnover in EUR287.617286.675282.522292.809303.422
Staff turnover in EUR287.617286.675282.522292.809303.422
Die Aktie: Angaben in EURO20212022202320242025
Aktien im Umlauf (in Mio.)0,000,000,001.283,890,00
Dividende pro Aktie2.472.672.752.792.12
unverwässertes Ergebnis pro Aktie2,663,732,822,763,61
GuV in Mio. EURO nach IAS/IFRS20212022202320242025
Umsatz30.117,031.686,031.227,032.364,033.537,0
Operatives Ergebnis (EBIT)3.713,05.217,24.779,74.262,35.024,6
Ergebnis vor Steuer (EBT)3.895,05.517,05.364,04.837,05.628,0
Annual net profit/ loss3.606,05.040,03.758,03.676,04.662,0
Bilanz in Mio. EURO nach IAS/IFRS20212022202320242025
Aktiva
Summe Umlaufvermögen22.548,023.059,021.675,021.935,023.814,0
Summe Anlagevermögen70.535,067.922,069.273,068.046,067.866,0
Summe Aktiva93.083,090.981,090.948,089.981,091.680,0
Passiva
Summe kurzfristige Verbindlichkeiten8.509,012.394,09.051,010.789,012.879,0
Summe langfristige Verbindlichkeiten32.972,025.866,030.232,028.772,030.545,0
Summe Rückstellungen192,084,00,00,00,0
Summe Eigenkapital51.602,052.722,051.665,050.420,048.256,0
Summe Passiva93.083,090.981,090.948,089.981,091.680,0
Management:
Geoffrey S. Martha
Alex Gu
Bob Hopkins
Brett Wall
Greg Smith
Ivan Fong
Ken Washington
Laura Mauri
Matt Walter
Mike Marinaro
Que Dallara
Scott Cundy
Thierry Pieton
Torod Neptune
Aufsichtsrat:
Elizabeth Nabel
Joon Sup Lee
Craig Arnold
Gregory Lewis
John Groetelaars
Kendall Powell
Kevin Lofton
Lidia Fonseca
Randall Hogan
Scott Donnelly
William Jellison
Aktionärsstruktur in %:
BlackRock Fund Advisors 5,34
Capital Research & Management Co. (Global Investors) 3,27
Capital Research & Management Co. (World Investors) 1,29
Geode Capital Management LLC 2,24
JPMorgan Investment Management, Inc. 2,70
Norges Bank Investment Management 1,34
SSgA Funds Management, Inc. 4,81
The Vanguard Group, Inc. 10,20
Vanguard Capital Management LLC 6,49
Vanguard Portfolio Management LLC 2,61
Streubesitz 59,73
Adresse: Parkmore Business Park West, Building Two, 2 Galway
T: +353-1-438-1700
F: +
I: http://www.medtronic.com
E: