$70.12
+ $1.78 (2.60%)
End-of-day quote: 05/02/2024
NYSE:CNMD

CONMED Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$1.24B $1.05B $1.01B $862.46M $955.10M $859.63M $796.39M $763.52M $719.17M $740.06M $762.70M $767.14M $725.08M $713.72M $694.74M $742.18M $694.29M $646.81M $617.31M $558.39M
GM % Gross Margin %
55.02% 55.07% 56.21% 55.30% 55.38% 54.57% 54.49% 54.48% 54.19% 55.36% 55.20% 53.82% 52.19% 51.88% 50.38% 51.99% 50.29% 50.11% 51.97% 52.17%
OM Operating Margin
10.25% 8.54% 10.86% 8.16% 9.96% 9.06% 8.92% 9.28% 10.48% 10.59% 10.11% 10.72% 10.09% 8.99% 7.47% 10.82% 11.26% 9.06% 12.74% 15.74%
EPS Earnings Per Share
$0.00 $3.45 $2.65 $3.21 $2.18 $2.64 $2.18 $1.89 $1.84 $1.68 $1.92 $1.81 $1.80 $1.50 $1.21 $1.00 $1.54 $1.37 $1.00 $1.41 $1.68
Div. Dividends
$0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.65 $0.60 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
PR % Payout Ratio %
23.19% 30.19% 24.92% 36.70% 30.30% 36.70% 42.33% 43.48% 47.62% 41.67% 35.91% 33.33% 0 0 0 0 0 0.00% 0.00% 0
Sha. Shares
30.77m 30.49m 29.37m 28.89m 28.42m 28.13m 27.96m 27.83m 27.71m 27.55m 27.58m 28.37m 27.94m 28.22m 29.15m 29.02m 28.62m 27.98m 28.19m 28.98m
OCF Operating Cash Flow
$125.35M $33.37M $111.77M $64.53M $95.13M $74.70M $65.57M $39.88M $50.92M $65.18M $80.95M $95.20M $102.99M $38.24M $25.03M $61.15M $65.89M $64.71M $42.43M $74.84M
FCF Free Cash Flow
$117.80M $11.58M $96.90M $51.52M $75.07M $58.19M $52.72M $23.47M $33.06M $49.77M $62.50M $73.67M $85.44M $23.51M $3.59M $25.27M $44.98M $42.81M $26.19M $62.42M
FCFS Free Cash Flow Per Share
$3.47 $0.39 $3.32 $1.80 $2.65 $2.07 $1.89 $0.90 $1.30 $1.82 $2.25 $2.60 $3.02 $0.82 $0.12 $0.88 $1.58 $1.53 $0.89 $2.11