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Quartalsbericht 2023-Q1
hinzugefügt 15.05.2023

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Invacare Corporation Langfristige Verbindlichkeiten 2011-2026 | IVC

Langfristige Verbindlichkeiten Jährlich Invacare Corporation

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
- - - 325 M 328 M 425 M 260 M 128 M 108 M 149 M 342 M 367 M

Alle Zahlen in USD-Währung

Indikatorenreichweite aus Jahresberichten

Höchstwert Mindestwert Durchschnitt
425 M 108 M 270 M

Langfristige Verbindlichkeiten anderer Aktien in der Medizinische Geräte

Name Langfristige Verbindlichkeiten Preis % 24h Marktkapitalisierung Land
Acutus Medical Acutus Medical
AFIB
44 M - -26.83 % $ 2.62 M usaUSA
Alphatec Holdings Alphatec Holdings
ATEC
89.9 M $ 14.1 0.43 % $ 2.12 B usaUSA
Allied Healthcare Products Allied Healthcare Products
AHPI
115 K - 3.58 % $ 2.21 M usaUSA
GenMark Diagnostics, Inc. GenMark Diagnostics, Inc.
GNMK
85.2 M - - $ 1.77 B usaUSA
Apollo Endosurgery Apollo Endosurgery
APEN
59 M - - $ 475 M usaUSA
Avinger Avinger
AVGR
12.7 M - -20.74 % $ 369 K usaUSA
Obalon Therapeutics, Inc. Obalon Therapeutics, Inc.
OBLN
906 K - -5.86 % $ 30.6 M usaUSA
AxoGen AxoGen
AXGN
1.61 M $ 31.27 0.16 % $ 1.44 B usaUSA
Axonics Modulation Technologies Axonics Modulation Technologies
AXNX
24.8 M - - $ 3.31 B usaUSA
Aziyo Biologics Aziyo Biologics
AZYO
35.2 M - 1.37 % $ 20.5 M usaUSA
Apyx Medical Corporation Apyx Medical Corporation
APYX
1.1 M $ 3.46 1.17 % $ 120 M usaUSA
Conformis Conformis
CFMS
29.2 M - - $ 16.4 M usaUSA
Cognyte Software Ltd. Cognyte Software Ltd.
CGNT
1.33 M $ 6.76 2.11 % $ 485 M israelIsrael
Bio-Rad Laboratories Bio-Rad Laboratories
BIO
1.35 B $ 270.32 0.33 % $ 7.63 B usaUSA
BIOLASE BIOLASE
BIOL
5.69 M - -13.19 % $ 166 K usaUSA
ClearPoint Neuro ClearPoint Neuro
CLPT
23.9 M $ 13.85 -8.67 % $ 374 M usaUSA
Bruker Corporation Bruker Corporation
BRKR
1.28 B $ 39.74 -0.36 % $ 5.92 K usaUSA
BioSig Technologies BioSig Technologies
BSGM
103 K - 37.08 % $ 85.7 M usaUSA
Boston Scientific Corporation Boston Scientific Corporation
BSX
11.8 B $ 74.17 0.95 % $ 110 B usaUSA
CryoLife, Inc. CryoLife, Inc.
CRY
400 M - -4.14 % $ 702 M usaUSA
EDAP TMS S.A. EDAP TMS S.A.
EDAP
7.44 M $ 4.38 -4.57 % $ 163 M franceFrance
Electromed Electromed
ELMD
8.87 K $ 24.0 0.33 % $ 203 M usaUSA
CONMED Corporation CONMED Corporation
CNMD
877 M $ 46.44 1.02 % $ 1.44 B usaUSA
Soliton, Inc. Soliton, Inc.
SOLY
4.28 K - -1.42 % $ 435 M usaUSA
Cardiovascular Systems Cardiovascular Systems
CSII
28.3 M - 0.15 % $ 844 M usaUSA
Hancock Jaffe Laboratories, Inc. Hancock Jaffe Laboratories, Inc.
HJLI
568 K - -1.98 % $ 98.3 M usaUSA
Itamar Medical Ltd. Itamar Medical Ltd.
ITMR
3.08 M - 0.03 % $ 1.58 B israelIsrael
Misonix, Inc. Misonix, Inc.
MSON
39.9 M - - $ 462 M usaUSA
Neovasc Neovasc
NVCN
8.24 M - - $ 111 M canadaCanada
Cutera Cutera
CUTR
430 M - -10.19 % $ 1.99 M usaUSA
Delcath Systems Delcath Systems
DCTH
2.52 M $ 9.35 -8.47 % $ 267 M usaUSA
Intersect ENT, Inc. Intersect ENT, Inc.
XENT
116 M - - $ 955 M usaUSA
Dynatronics Corporation Dynatronics Corporation
DYNT
10 M - 14.99 % $ 929 K usaUSA
Eargo Eargo
EAR
161 M - - $ 10.2 M usaUSA
Second Sight Medical Products Second Sight Medical Products
EYES
2.36 M - -0.97 % $ 54.4 M usaUSA
Establishment Labs Holdings Establishment Labs Holdings
ESTA
53.7 M $ 76.21 -2.66 % $ 2.15 B costa-ricaCosta-rica
InMode Ltd. InMode Ltd.
INMD
12.5 M $ 13.99 0.21 % $ 904 M israelIsrael
IRadimed Corporation IRadimed Corporation
IRMD
4.76 M $ 101.18 0.68 % $ 1.28 B usaUSA
FONAR Corporation FONAR Corporation
FONR
36.4 M $ 18.56 -0.11 % $ 122 M usaUSA
Globus Medical Globus Medical
GMED
18.2 M $ 97.0 0.82 % $ 13.1 B usaUSA
LivaNova PLC LivaNova PLC
LIVN
516 M $ 70.17 -0.17 % $ 3.83 B britainBritain
Pulmonx Corporation Pulmonx Corporation
LUNG
25 M $ 1.65 1.23 % $ 64.5 M usaUSA
Medtronic PLC Medtronic PLC
MDT
29.6 B $ 96.88 0.23 % $ 125 B usaUSA
MiMedx Group MiMedx Group
MDXG
65.4 M $ 5.31 0.57 % $ 785 M usaUSA
Helius Medical Technologies Helius Medical Technologies
HSDT
252 K $ 1.91 -11.98 % $ 1.16 M usaUSA
Integra LifeSciences Holdings Corporation Integra LifeSciences Holdings Corporation
IART
1.56 B $ 11.11 -4.14 % $ 856 M usaUSA