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Allied Healthcare Products AHPI

Annual report 2022
added 10-07-2022

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Allied Healthcare Products EV - Enterprise Value 2011-2026 | AHPI

Annual EV - Enterprise Value Allied Healthcare Products

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
696 K 19.3 M 13.5 M 10.2 M 12.6 M 10.9 M 8.52 M 15.3 M 18.7 M 20.4 M 22 M 30 M

All numbers in USD currency

Indicator range from annual reports

Maximum Minimum Average
30 M 696 K 15.2 M

EV - Enterprise Value of other stocks in the Medical devices industry

Issuer EV - Enterprise Value Price % 24h Market Cap Country
Alphatec Holdings Alphatec Holdings
ATEC
1.91 B $ 11.24 3.07 % $ 1.69 B usaUSA
AxoGen AxoGen
AXGN
1.55 B $ 32.96 3.13 % $ 1.52 B usaUSA
GenMark Diagnostics, Inc. GenMark Diagnostics, Inc.
GNMK
76.6 M - - $ 1.77 B usaUSA
Acutus Medical Acutus Medical
AFIB
40.9 M - -26.83 % $ 2.62 M usaUSA
Align Technology Align Technology
ALGN
15.2 B $ 179.32 3.57 % $ 13.4 B usaUSA
AdaptHealth Corp. AdaptHealth Corp.
AHCO
3.89 B $ 12.31 1.15 % $ 1.66 B usaUSA
Lianluo Smart Limited Lianluo Smart Limited
LLIT
655 M - 24.59 % $ 44.8 M chinaChina
Cytosorbents Corporation Cytosorbents Corporation
CTSO
66.9 M $ 0.59 -2.87 % $ 36.7 M usaUSA
Axonics Modulation Technologies Axonics Modulation Technologies
AXNX
2.67 B - - $ 3.31 B usaUSA
Obalon Therapeutics, Inc. Obalon Therapeutics, Inc.
OBLN
-5.83 M - -5.86 % $ 30.6 M usaUSA
Bio-Rad Laboratories Bio-Rad Laboratories
BIO
10.1 B $ 287.5 3.0 % $ 8.11 B usaUSA
EDAP TMS S.A. EDAP TMS S.A.
EDAP
139 M $ 3.38 2.42 % $ 127 M franceFrance
BioSig Technologies BioSig Technologies
BSGM
33.9 M - 37.08 % $ 85.7 M usaUSA
Conformis Conformis
CFMS
3.84 M - - $ 16.4 M usaUSA
Bruker Corporation Bruker Corporation
BRKR
3.81 B $ 39.09 3.98 % $ 5.82 K usaUSA
Boston Scientific Corporation Boston Scientific Corporation
BSX
111 B $ 62.95 1.92 % $ 93.2 B usaUSA
Apollo Endosurgery Apollo Endosurgery
APEN
423 M - - $ 475 M usaUSA
Cardiovascular Systems Cardiovascular Systems
CSII
595 M - 0.15 % $ 844 M usaUSA
Helius Medical Technologies Helius Medical Technologies
HSDT
3.7 M $ 1.98 4.76 % $ 1.2 M usaUSA
ClearPoint Neuro ClearPoint Neuro
CLPT
340 M $ 9.9 14.11 % $ 280 M usaUSA
Dynatronics Corporation Dynatronics Corporation
DYNT
13.8 M - 14.99 % $ 929 K usaUSA
IRIDEX Corporation IRIDEX Corporation
IRIX
34.8 M $ 1.01 1.51 % $ 17.1 M usaUSA
Electromed Electromed
ELMD
170 M $ 24.44 1.33 % $ 207 M usaUSA
CryoLife, Inc. CryoLife, Inc.
CRY
70.4 M - -4.14 % $ 702 M usaUSA
Avinger Avinger
AVGR
17.3 M - -20.74 % $ 369 K usaUSA
Second Sight Medical Products Second Sight Medical Products
EYES
7.43 M - -0.97 % $ 54.4 M usaUSA
Inogen Inogen
INGN
163 M $ 6.47 2.21 % $ 172 M usaUSA
CHF Solutions, Inc. CHF Solutions, Inc.
CHFS
-7.7 M - 1.15 % $ 34.5 M usaUSA
Aziyo Biologics Aziyo Biologics
AZYO
-1.67 M - 1.37 % $ 20.5 M usaUSA
Soliton, Inc. Soliton, Inc.
SOLY
-100 M - -1.42 % $ 435 M usaUSA
LivaNova PLC LivaNova PLC
LIVN
4.58 B $ 64.19 2.25 % $ 3.5 B britainBritain
LENSAR LENSAR
LNSR
142 M $ 5.77 1.14 % $ 69 M usaUSA
Hancock Jaffe Laboratories, Inc. Hancock Jaffe Laboratories, Inc.
HJLI
7.54 B - -1.98 % $ 98.3 M usaUSA
GBS GBS
GBS
6.89 M - -0.57 % $ 7.12 M usaUSA
Itamar Medical Ltd. Itamar Medical Ltd.
ITMR
427 M - 0.03 % $ 1.58 B israelIsrael
Misonix, Inc. Misonix, Inc.
MSON
-1.79 M - - $ 462 M usaUSA
Neovasc Neovasc
NVCN
639 M - - $ 111 M canadaCanada
OrthoPediatrics Corp. OrthoPediatrics Corp.
KIDS
579 M $ 16.79 5.13 % $ 394 M usaUSA
Globus Medical Globus Medical
GMED
12.7 B $ 92.96 2.87 % $ 12.6 B usaUSA
Butterfly Network Butterfly Network
BFLY
765 M $ 4.25 3.54 % $ 900 M usaUSA
Intersect ENT, Inc. Intersect ENT, Inc.
XENT
1.02 B - - $ 955 M usaUSA
BIOLASE BIOLASE
BIOL
26.8 M - -13.19 % $ 166 K usaUSA
Delcath Systems Delcath Systems
DCTH
295 M $ 10.4 3.59 % $ 373 M usaUSA
Myomo Myomo
MYO
47 M $ 0.72 4.02 % $ 30.1 M usaUSA
Inspire Medical Systems Inspire Medical Systems
INSP
1.78 B $ 55.04 1.93 % $ 1.62 B usaUSA
CONMED Corporation CONMED Corporation
CNMD
2.57 B $ 38.14 3.81 % $ 1.18 B usaUSA
NanoVibronix NanoVibronix
NAOV
3.17 M - - $ 1.08 M usaUSA
Integer Holdings Corporation Integer Holdings Corporation
ITGR
4.62 B $ 87.58 2.87 % $ 3.04 B usaUSA
FONAR Corporation FONAR Corporation
FONR
91.5 M $ 18.67 -0.05 % $ 122 M usaUSA