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Dentsply Sirona to Participate in Upcoming Investor Conferences

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CHARLOTTE, N.C., May 08, 2024 (GLOBE NEWSWIRE) -- DENTSPLY SIRONA Inc. (“Dentsply Sirona” or the "Company") (Nasdaq: XRAY) today announced its participation at upcoming conferences.

GlobeNewswire Inc. • 08/05/2024 à 22:15:00
DENTSPLY SIRONA Inc.
Address: 13320 BALLANTYNE CORPORATE PLACE
Postal Code: 28277-3607
City: CHARLOTTE
State: NC
Phone Number: 844-546-3722
Website: https://www.dentsplysirona.com
Status: Active
Company Info

Dentsply Sirona is one of the world's largest manufacturers of dental equipment and supplies. It is a result of a merger of equals in 2016 between Dentsply International (manufactured dental consumables and lab products) and Sirona Dental Systems (manufactured technologically-advanced dental equipment). The firm's wide portfolio consists of dental consumables, lab products, CAD/CAM and imaging technology, medical devices, and specialty products in orthodontics, endodontics, and implantation. It distributes two-thirds of its dental consumables, technology and equipment through third-party distributors and the remaining portfolio is either sold to labs and offices through the firm's salesforce or directly to consumers (such as Byte clear aligner).

List Date1983-05-12
MarketStocks
LocalUS
Primary ExchangeXNAS
TypeCS
Currency NameUSD
CIK0000818479
Composite figiBBG000BX57K1
Share Class figiBBG001S5XLV8
Market Cap5,871,792,124 USD
SIC Code3843
SIC DescriptionDENTAL EQUIPMENT & SUPPLIES
Total Employees15000
Share Class Shares Outstanding207630000
Weighted Shares Outstanding207630556
Round Lot100
Updated date2024-05-19
Stats
Last 5 days
17-05
16-05
15-05
14-05
13-05
Last
28.28
28.375
28.335
28.12
27.805
Variance
-0.33%
-0.14%
0.74%
0.88%
-0.48%
Open
28.373
28.416
28.128
27.875
27.94
Highest
28.373
28.66
28.51
28.549
28.679
Lowest
28.366
28.66
28.496
28.494
28.65
History
PeriodVarhighestlowest
1 week
1.22%
28.679
28.366
1 month
-7.28%
31.286
28.215
3 month
-15.52%
35.499
28.215
6 month
-4.59%
30.03
28.215
1 year
-30.4%
40.695
26.27
3 year
-57.59%
67.73
26.27
5 year
-47.89%
54.725
26.27
10 year
-38.92%
46.81
26.27
Stock Financials
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-05-03 2023-08-07 2023-11-02 UNPUB
Assets 7,673,000,000 7,650,000,000 7,201,000,000 UNPUB
Current Assets 1,943,000,000 1,920,000,000 1,913,000,000 UNPUB
Current Liabilities 1,374,000,000 1,271,000,000 1,218,000,000 UNPUB
Equity 3,638,000,000 3,702,000,000 3,371,000,000 UNPUB
Equity Attributable To Noncontrolling Interest -3,000,000 -4,000,000 -4,000,000 UNPUB
Equity Attributable To Parent 3,641,000,000 3,706,000,000 3,375,000,000 UNPUB
Liabilities 4,035,000,000 3,948,000,000 3,830,000,000 UNPUB
Liabilities And Equity 7,673,000,000 7,650,000,000 7,201,000,000 UNPUB
Noncurrent Assets 5,730,000,000 5,730,000,000 5,288,000,000 UNPUB
Noncurrent Liabilities 2,661,000,000 2,677,000,000 2,612,000,000 UNPUB
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-05-03 2023-08-07 2023-11-02 UNPUB
Exchange Gains/Losses -6,000,000 -10,000,000 -9,000,000 UNPUB
Net Cash Flow -47,000,000 -23,000,000 14,000,000 UNPUB
Net Cash Flow, Continuing -41,000,000 -13,000,000 23,000,000 UNPUB
Net Cash Flow From Financing Activities 17,000,000 -87,000,000 -109,000,000 UNPUB
Net Cash Flow From Financing Activities, Continuing 17,000,000 -87,000,000 -109,000,000 UNPUB
Net Cash Flow From Investing Activities -37,000,000 -30,000,000 -2,000,000 UNPUB
Net Cash Flow From Investing Activities, Continuing -37,000,000 -30,000,000 -2,000,000 UNPUB
Net Cash Flow From Operating Activities -21,000,000 104,000,000 134,000,000 UNPUB
Net Cash Flow From Operating Activities, Continuing -21,000,000 104,000,000 134,000,000 UNPUB
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-05-03 2023-08-07 2023-11-02 UNPUB
Comprehensive Income/Loss -9,000,000 79,000,000 -303,000,000 UNPUB
Comprehensive Income/Loss Attributable To Noncontrolling Interest -4,000,000 -1,000,000 0 UNPUB
Comprehensive Income/Loss Attributable To Parent -5,000,000 80,000,000 -303,000,000 UNPUB
Other Comprehensive Income/Loss 14,000,000 -6,000,000 -37,000,000 UNPUB
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2023-05-03 2023-08-07 2023-11-02 UNPUB
Basic Earnings Per Share 0 0 -1 UNPUB
Benefits Costs and Expenses 1,006,000,000 982,000,000 1,197,000,000 UNPUB
Cost Of Revenue 459,000,000 478,000,000 452,000,000 UNPUB
Costs And Expenses 1,006,000,000 982,000,000 1,197,000,000 UNPUB
Diluted Earnings Per Share 0 0 -1 UNPUB
Gross Profit 519,000,000 550,000,000 495,000,000 UNPUB
Income/Loss From Continuing Operations After Tax -23,000,000 85,000,000 -266,000,000 UNPUB
Income/Loss From Continuing Operations Before Tax -28,000,000 46,000,000 -250,000,000 UNPUB
Income Tax Expense/Benefit -5,000,000 -39,000,000 16,000,000 UNPUB
Interest Expense, Operating 19,000,000 21,000,000 18,000,000 UNPUB
Net Income/Loss -23,000,000 85,000,000 -266,000,000 UNPUB
Net Income/Loss Attributable To Noncontrolling Interest -4,000,000 -1,000,000 0 UNPUB
Net Income/Loss Attributable To Parent -19,000,000 86,000,000 -266,000,000 UNPUB
Net Income/Loss Available To Common Stockholders, Basic -19,000,000 86,000,000 -266,000,000 UNPUB
Operating Expenses 521,000,000 470,000,000 731,000,000 UNPUB
Operating Income/Loss -2,000,000 80,000,000 -236,000,000 UNPUB
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 UNPUB
Preferred Stock Dividends And Other Adjustments 0 0 0 UNPUB
Revenues 978,000,000 1,028,000,000 947,000,000 UNPUB
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-11-07 2022-11-07 2022-11-14 2023-03-01
Assets 9,172,000,000 8,948,000,000 7,522,000,000 7,643,000,000
Current Assets 1,897,000,000 1,885,000,000 1,939,000,000 1,893,000,000
Current Liabilities 1,372,000,000 1,241,000,000 1,296,000,000 1,170,000,000
Equity 4,864,000,000 4,838,000,000 3,614,000,000 3,812,000,000
Equity Attributable To Noncontrolling Interest 1,000,000 1,000,000 1,000,000 1,000,000
Equity Attributable To Parent 4,863,000,000 4,837,000,000 3,613,000,000 3,811,000,000
Liabilities 4,308,000,000 4,110,000,000 3,908,000,000 3,831,000,000
Liabilities And Equity 9,172,000,000 8,948,000,000 7,522,000,000 7,643,000,000
Noncurrent Assets 7,275,000,000 7,063,000,000 5,583,000,000 5,750,000,000
Noncurrent Liabilities 0 0 2,612,000,000 2,661,000,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-11-07 2022-11-07 2022-11-14 2023-03-01
Exchange Gains/Losses -5,000,000 7,000,000 -21,000,000 -24,000,000
Net Cash Flow 35,000,000 -12,000,000 56,000,000 26,000,000
Net Cash Flow, Continuing 40,000,000 -19,000,000 77,000,000 50,000,000
Net Cash Flow From Financing Activities -10,000,000 -152,000,000 -6,000,000 -329,000,000
Net Cash Flow From Financing Activities, Continuing -10,000,000 -152,000,000 -6,000,000 -329,000,000
Net Cash Flow From Investing Activities -43,000,000 -40,000,000 -26,000,000 -138,000,000
Net Cash Flow From Investing Activities, Continuing -43,000,000 -40,000,000 -26,000,000 -138,000,000
Net Cash Flow From Operating Activities 93,000,000 173,000,000 109,000,000 517,000,000
Net Cash Flow From Operating Activities, Continuing 93,000,000 173,000,000 109,000,000 517,000,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-11-07 2022-11-07 2022-11-14 2023-03-01
Comprehensive Income/Loss 32,000,000 -17,000,000 -1,202,000,000 -986,000,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Comprehensive Income/Loss Attributable To Parent 32,000,000 -17,000,000 -1,202,000,000 -986,000,000
Other Comprehensive Income/Loss -37,000,000 -90,000,000 -125,000,000 -36,000,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2022-11-07 2022-11-07 2022-11-14 2023-03-01
Basic Earnings Per Share 0 0 -5 -4
Benefits Costs and Expenses 882,000,000 932,000,000 2,188,000,000 4,977,000,000
Cost Of Revenue 448,000,000 442,000,000 439,000,000 1,795,000,000
Costs And Expenses 882,000,000 932,000,000 2,188,000,000 4,977,000,000
Diluted Earnings Per Share 0 0 -5 -4
Gross Profit 521,000,000 581,000,000 508,000,000 2,127,000,000
Income/Loss From Continuing Operations After Tax 69,000,000 73,000,000 -1,077,000,000 -950,000,000
Income/Loss From Continuing Operations Before Tax 87,000,000 91,000,000 -1,241,000,000 -1,055,000,000
Income Tax Expense/Benefit 18,000,000 18,000,000 -164,000,000 -105,000,000
Interest Expense, Operating 12,000,000 15,000,000 14,000,000 UNPUB
Net Income/Loss 69,000,000 73,000,000 -1,077,000,000 -950,000,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 69,000,000 73,000,000 -1,077,000,000 -950,000,000
Net Income/Loss Available To Common Stockholders, Basic 69,000,000 73,000,000 -1,077,000,000 -950,000,000
Operating Expenses 424,000,000 462,000,000 1,726,000,000 3,064,000,000
Operating Income/Loss 97,000,000 119,000,000 -1,218,000,000 -937,000,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 969,000,000 1,023,000,000 947,000,000 3,922,000,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-05-06 2021-08-05 2021-11-04 2022-03-01
Assets 9,137,000,000 9,378,000,000 9,288,000,000 9,220,000,000
Current Assets 1,696,000,000 1,785,000,000 1,804,000,000 1,837,000,000
Current Liabilities 1,212,000,000 1,251,000,000 1,126,000,000 1,186,000,000
Equity 4,930,000,000 5,077,000,000 5,125,000,000 5,043,000,000
Equity Attributable To Noncontrolling Interest 3,000,000 3,000,000 3,000,000 1,000,000
Equity Attributable To Parent 4,927,000,000 5,074,000,000 5,122,000,000 5,042,000,000
Liabilities 4,207,000,000 4,301,000,000 4,163,000,000 4,177,000,000
Liabilities And Equity 9,137,000,000 9,378,000,000 9,288,000,000 9,220,000,000
Noncurrent Assets 7,441,000,000 7,593,000,000 7,484,000,000 7,383,000,000
Noncurrent Liabilities 0 0 3,037,000,000 2,991,000,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-05-06 2021-08-05 2021-11-04 2022-03-01
Exchange Gains/Losses -13,000,000 1,000,000 -4,000,000 -19,000,000
Net Cash Flow -120,000,000 14,000,000 -51,000,000 -99,000,000
Net Cash Flow, Continuing -107,000,000 13,000,000 -47,000,000 -80,000,000
Net Cash Flow From Financing Activities -53,000,000 -25,000,000 -179,000,000 -379,000,000
Net Cash Flow From Financing Activities, Continuing -53,000,000 -25,000,000 -179,000,000 -379,000,000
Net Cash Flow From Investing Activities -103,000,000 -176,000,000 -40,000,000 -358,000,000
Net Cash Flow From Investing Activities, Continuing -103,000,000 -176,000,000 -40,000,000 -358,000,000
Net Cash Flow From Operating Activities 49,000,000 214,000,000 172,000,000 657,000,000
Net Cash Flow From Operating Activities, Continuing 49,000,000 214,000,000 172,000,000 657,000,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-05-06 2021-08-05 2021-11-04 2022-03-01
Comprehensive Income/Loss 27,000,000 142,000,000 47,000,000 291,000,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 0 0 0 -2,000,000
Comprehensive Income/Loss Attributable To Parent 27,000,000 142,000,000 47,000,000 293,000,000
Other Comprehensive Income/Loss -90,000,000 43,000,000 -56,000,000 -130,000,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2021-05-06 2021-08-05 2021-11-04 2022-03-01
Basic Earnings Per Share 1 0 0 2
Benefits Costs and Expenses 878,000,000 933,000,000 931,000,000 3,692,000,000
Cost Of Revenue 448,000,000 469,000,000 478,000,000 1,890,000,000
Costs And Expenses 878,000,000 933,000,000 931,000,000 3,692,000,000
Diluted Earnings Per Share 1 0 0 2
Gross Profit 579,000,000 598,000,000 591,000,000 2,361,000,000
Income/Loss From Continuing Operations After Tax 117,000,000 99,000,000 103,000,000 421,000,000
Income/Loss From Continuing Operations Before Tax 149,000,000 134,000,000 138,000,000 559,000,000
Income Tax Expense/Benefit 32,000,000 35,000,000 35,000,000 138,000,000
Interest Expense, Operating 14,000,000 16,000,000 13,000,000 UNPUB
Net Income/Loss 117,000,000 99,000,000 103,000,000 421,000,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 0
Net Income/Loss Attributable To Parent 117,000,000 99,000,000 103,000,000 421,000,000
Net Income/Loss Available To Common Stockholders, Basic 117,000,000 99,000,000 103,000,000 421,000,000
Operating Expenses 425,000,000 443,000,000 432,000,000 1,739,000,000
Operating Income/Loss 154,000,000 155,000,000 159,000,000 622,000,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 1,027,000,000 1,067,000,000 1,069,000,000 4,251,000,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-05-11 2020-08-06 2020-11-05 2021-03-01
Assets 8,058,400,000 8,604,200,000 8,895,900,000 9,342,000,000
Current Assets 1,805,200,000 2,362,900,000 2,579,600,000 1,791,000,000
Current Liabilities 891,500,000 763,000,000 1,178,200,000 1,317,000,000
Equity 4,690,200,000 4,645,400,000 4,762,300,000 4,970,000,000
Equity Attributable To Noncontrolling Interest 2,700,000 2,300,000 1,800,000 3,000,000
Equity Attributable To Parent 4,687,500,000 4,643,100,000 4,760,500,000 4,967,000,000
Liabilities 3,368,200,000 3,958,800,000 4,133,600,000 4,372,000,000
Liabilities And Equity 8,058,400,000 8,604,200,000 8,895,900,000 9,342,000,000
Noncurrent Assets 6,253,200,000 6,241,300,000 6,316,300,000 7,551,000,000
Noncurrent Liabilities 0 0 2,955,400,000 3,055,000,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-05-11 2020-08-06 2020-11-05 2021-03-01
Exchange Gains/Losses -12,900,000 5,100,000 3,500,000 14,000,000
Net Cash Flow -169,000,000 873,200,000 162,900,000 33,000,000
Net Cash Flow, Continuing -156,100,000 868,100,000 159,400,000 19,000,000
Net Cash Flow From Financing Activities -129,900,000 658,100,000 -23,900,000 490,000,000
Net Cash Flow From Financing Activities, Continuing -129,900,000 658,100,000 -23,900,000 490,000,000
Net Cash Flow From Investing Activities -15,500,000 34,900,000 -23,800,000 -1,106,000,000
Net Cash Flow From Investing Activities, Continuing -15,500,000 34,900,000 -23,800,000 -1,106,000,000
Net Cash Flow From Operating Activities -10,700,000 175,100,000 207,100,000 635,000,000
Net Cash Flow From Operating Activities, Continuing -10,700,000 175,100,000 207,100,000 635,000,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-05-11 2020-08-06 2020-11-05 2021-03-01
Comprehensive Income/Loss -252,100,000 -28,300,000 121,300,000 54,000,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 300,000 100,000 0 1,000,000
Comprehensive Income/Loss Attributable To Parent -252,400,000 -28,400,000 121,300,000 53,000,000
Other Comprehensive Income/Loss -112,200,000 67,600,000 67,100,000 137,000,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2020-05-11 2020-08-06 2020-11-05 2021-03-01
Basic Earnings Per Share -1 0 0 0
Benefits Costs and Expenses 1,004,000,000 610,500,000 828,100,000 3,402,000,000
Cost Of Revenue 406,500,000 314,500,000 452,500,000 1,685,000,000
Costs And Expenses 1,004,000,000 610,500,000 828,100,000 3,402,000,000
Diluted Earnings Per Share -1 0 0 0
Gross Profit 467,800,000 176,100,000 442,300,000 1,657,000,000
Income/Loss From Continuing Operations After Tax -139,900,000 -95,900,000 54,200,000 -83,000,000
Income/Loss From Continuing Operations Before Tax -129,700,000 -119,900,000 66,700,000 -60,000,000
Income Tax Expense/Benefit 10,200,000 -24,000,000 12,500,000 23,000,000
Interest Expense, Operating 6,700,000 12,300,000 14,500,000 48,000,000
Net Income/Loss -139,900,000 -95,900,000 54,200,000 -83,000,000
Net Income/Loss Attributable To Noncontrolling Interest 0 -500,000 400,000 0
Net Income/Loss Attributable To Parent -139,900,000 -95,400,000 53,800,000 -83,000,000
Net Income/Loss Available To Common Stockholders, Basic -139,900,000 -95,900,000 53,800,000 -83,000,000
Operating Expenses 592,600,000 280,400,000 360,600,000 1,669,000,000
Operating Income/Loss -124,800,000 -104,300,000 81,700,000 -12,000,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 874,300,000 490,600,000 894,800,000 3,342,000,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-05-03 2019-08-02 2019-11-07 2020-03-02
Assets 8,604,500,000 8,575,300,000 8,366,800,000 8,602,900,000
Current Assets 1,795,600,000 1,828,300,000 1,811,300,000 1,999,900,000
Current Liabilities 870,600,000 880,800,000 868,900,000 995,500,000
Equity 5,109,500,000 5,182,900,000 5,059,100,000 5,094,900,000
Equity Attributable To Noncontrolling Interest 1,800,000 1,800,000 1,800,000 2,400,000
Equity Attributable To Parent 5,107,700,000 5,181,100,000 5,057,300,000 5,092,500,000
Liabilities 3,495,000,000 3,392,400,000 3,307,700,000 3,508,000,000
Liabilities And Equity 8,604,500,000 8,575,300,000 8,366,800,000 8,602,900,000
Noncurrent Assets 6,808,900,000 6,747,000,000 6,555,500,000 6,603,000,000
Noncurrent Liabilities 0 0 2,438,800,000 2,512,500,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-05-03 2019-08-02 2019-11-07 2020-03-02
Exchange Gains/Losses -1,600,000 1,700,000 -7,100,000 -3,000,000
Net Cash Flow -84,200,000 24,700,000 -24,000,000 95,300,000
Net Cash Flow, Continuing -82,600,000 23,000,000 -16,900,000 98,300,000
Net Cash Flow From Financing Activities -99,200,000 -110,300,000 -160,800,000 -466,100,000
Net Cash Flow From Financing Activities, Continuing -99,200,000 -110,300,000 -160,800,000 -466,100,000
Net Cash Flow From Investing Activities -12,700,000 -11,800,000 -15,200,000 -68,400,000
Net Cash Flow From Investing Activities, Continuing -12,700,000 -11,800,000 -15,200,000 -68,400,000
Net Cash Flow From Operating Activities 29,300,000 145,100,000 159,100,000 632,800,000
Net Cash Flow From Operating Activities, Continuing 29,300,000 145,100,000 159,100,000 632,800,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-05-03 2019-08-02 2019-11-07 2020-03-02
Comprehensive Income/Loss -19,200,000 71,200,000 -21,500,000 142,800,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 300,000 0 0 900,000
Comprehensive Income/Loss Attributable To Parent -19,500,000 71,200,000 -21,500,000 141,900,000
Other Comprehensive Income/Loss -58,400,000 34,800,000 -106,500,000 -120,300,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2019-05-03 2019-08-02 2019-11-07 2020-03-02
Basic Earnings Per Share 0 0 0 1
Benefits Costs and Expenses 0 0 0 3,683,800,000
Cost Of Revenue 446,500,000 468,600,000 448,100,000 1,864,100,000
Costs And Expenses 898,900,000 941,900,000 852,600,000 3,683,800,000
Diluted Earnings Per Share 0 0 0 1
Gross Profit 499,700,000 540,800,000 514,000,000 2,165,100,000
Income/Loss From Continuing Operations After Tax 39,200,000 36,400,000 85,000,000 263,100,000
Income/Loss From Continuing Operations Before Tax 53,800,000 47,600,000 106,500,000 345,400,000
Income Tax Expense/Benefit 14,600,000 11,200,000 21,500,000 82,300,000
Interest Expense, Operating 8,400,000 8,000,000 6,600,000 29,400,000
Net Income/Loss 39,200,000 36,400,000 85,000,000 263,100,000
Net Income/Loss Attributable To Noncontrolling Interest 0 0 0 200,000
Net Income/Loss Attributable To Parent 39,200,000 36,400,000 85,000,000 262,900,000
Net Income/Loss Available To Common Stockholders, Basic 39,200,000 36,400,000 85,000,000 262,900,000
Operating Expenses 452,400,000 473,300,000 404,500,000 1,804,200,000
Operating Income/Loss 47,300,000 67,500,000 109,500,000 360,900,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 946,200,000 1,009,400,000 962,100,000 4,029,200,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-05-07 2018-08-07 2018-11-08 2019-03-08
Assets 10,372,800,000 8,822,000,000 8,769,200,000 8,687,000,000
Current Assets 2,000,500,000 1,892,400,000 1,902,800,000 1,888,000,000
Current Liabilities 895,400,000 1,117,700,000 1,080,100,000 1,013,300,000
Equity 6,705,200,000 5,140,100,000 5,154,300,000 5,133,000,000
Equity Attributable To Noncontrolling Interest 12,100,000 12,900,000 12,300,000 11,900,000
Equity Attributable To Parent 6,693,100,000 5,127,200,000 5,142,000,000 5,121,100,000
Liabilities 3,667,600,000 3,681,900,000 3,614,900,000 3,554,000,000
Liabilities And Equity 10,372,800,000 8,822,000,000 8,769,200,000 8,687,000,000
Noncurrent Assets 8,372,300,000 6,929,600,000 6,866,400,000 6,799,000,000
Noncurrent Liabilities 0 0 2,534,800,000 2,540,700,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-05-07 2018-08-07 2018-11-08 2019-03-08
Exchange Gains/Losses 6,000,000 -11,000,000 -3,900,000 -7,700,000
Net Cash Flow -3,500,000 -77,800,000 -6,200,000 -11,000,000
Net Cash Flow, Continuing -9,500,000 -66,800,000 -2,300,000 -3,300,000
Net Cash Flow From Financing Activities -19,400,000 -69,400,000 -82,400,000 -249,800,000
Net Cash Flow From Financing Activities, Continuing -19,400,000 -69,400,000 -82,400,000 -249,800,000
Net Cash Flow From Investing Activities -45,200,000 -114,300,000 -45,500,000 -253,300,000
Net Cash Flow From Investing Activities, Continuing -45,200,000 -114,300,000 -45,500,000 -253,300,000
Net Cash Flow From Operating Activities 55,100,000 116,900,000 125,600,000 499,800,000
Net Cash Flow From Operating Activities, Continuing 55,100,000 116,900,000 125,600,000 499,800,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-05-07 2018-08-07 2018-11-08 2019-03-08
Comprehensive Income/Loss 91,700,000 -1,281,000,000 1,700,000 -1,198,400,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 500,000 800,000 -600,000 300,000
Comprehensive Income/Loss Attributable To Parent 91,200,000 -1,281,800,000 2,300,000 -1,198,700,000
Other Comprehensive Income/Loss 10,600,000 -160,000,000 -25,800,000 -187,500,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2018-05-07 2018-08-07 2018-11-08 2019-03-08
Basic Earnings Per Share 0 -5 0 -5
Benefits Costs and Expenses 0 0 0 4,944,700,000
Cost Of Revenue 442,000,000 489,300,000 452,300,000 1,918,500,000
Costs And Expenses 887,400,000 2,196,200,000 882,900,000 4,944,700,000
Diluted Earnings Per Share 0 -5 0 -5
Gross Profit 514,100,000 552,800,000 476,100,000 2,067,800,000
Income/Loss From Continuing Operations After Tax 81,200,000 -1,122,000,000 28,000,000 -1,010,900,000
Income/Loss From Continuing Operations Before Tax 94,800,000 -1,162,300,000 31,700,000 -958,400,000
Income Tax Expense/Benefit 13,700,000 -41,300,000 4,200,000 52,500,000
Interest Expense, Operating 8,600,000 9,600,000 9,700,000 37,300,000
Net Income/Loss 81,100,000 -1,121,000,000 27,500,000 -1,010,900,000
Net Income/Loss Attributable To Noncontrolling Interest -100,000 1,000,000 -500,000 100,000
Net Income/Loss Attributable To Parent 81,200,000 -1,122,000,000 28,000,000 -1,011,000,000
Net Income/Loss Available To Common Stockholders, Basic 81,200,000 -1,122,000,000 28,000,000 -1,011,000,000
Operating Expenses 445,400,000 1,706,900,000 430,600,000 3,025,900,000
Operating Income/Loss 68,700,000 -1,154,100,000 45,500,000 -958,100,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 956,100,000 1,042,100,000 928,400,000 3,986,300,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-05-10 2017-08-09 2017-11-09 2018-03-15
Assets 11,594,000,000 10,850,000,000 11,199,000,000 10,374,500,000
Current Assets 1,720,600,000 1,765,700,000 1,972,400,000 2,002,500,000
Current Liabilities 747,500,000 753,700,000 848,400,000 954,500,000
Equity 8,163,600,000 7,274,200,000 7,489,800,000 6,627,900,000
Equity Attributable To Noncontrolling Interest 11,400,000 11,700,000 12,000,000 11,600,000
Equity Attributable To Parent 8,152,200,000 7,262,500,000 7,477,800,000 6,616,300,000
Liabilities 3,430,400,000 3,575,800,000 3,709,200,000 3,746,600,000
Liabilities And Equity 11,594,000,000 10,850,000,000 11,199,000,000 10,374,500,000
Noncurrent Assets 9,873,400,000 9,084,300,000 9,226,600,000 8,372,000,000
Noncurrent Liabilities 2,682,900,000 2,822,100,000 2,860,800,000 2,792,100,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-05-10 2017-08-09 2017-11-09 2018-03-15
Exchange Gains/Losses 5,600,000 8,600,000 3,300,000 22,000,000
Net Cash Flow -20,600,000 -94,900,000 101,600,000 -63,300,000
Net Cash Flow, Continuing -26,200,000 -103,500,000 98,300,000 -85,300,000
Net Cash Flow From Financing Activities -67,600,000 -78,900,000 -22,100,000 -400,800,000
Net Cash Flow From Financing Activities, Continuing -67,600,000 -78,900,000 -22,100,000 -400,800,000
Net Cash Flow From Investing Activities -41,100,000 -150,800,000 -43,900,000 -286,400,000
Net Cash Flow From Investing Activities, Continuing -41,100,000 -150,800,000 -43,900,000 -286,400,000
Net Cash Flow From Operating Activities 82,500,000 126,200,000 164,300,000 601,900,000
Net Cash Flow From Operating Activities, Continuing 82,500,000 126,200,000 164,300,000 601,900,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-05-10 2017-08-09 2017-11-09 2018-03-15
Comprehensive Income/Loss 107,300,000 -829,700,000 210,300,000 -1,135,300,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest -200,000 300,000 300,000 0
Comprehensive Income/Loss Attributable To Parent 107,500,000 -830,000,000 210,000,000 -1,135,300,000
Other Comprehensive Income/Loss 47,600,000 220,600,000 119,800,000 415,000,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2017-05-10 2017-08-09 2017-11-09 2018-03-15
Basic Earnings Per Share 0 -5 0 -7
Benefits Costs and Expenses 0 0 0 5,596,900,000
Cost Of Revenue 408,500,000 448,500,000 450,200,000 1,804,900,000
Costs And Expenses 816,300,000 2,040,700,000 901,300,000 5,596,900,000
Diluted Earnings Per Share 0 -5 0 -7
Gross Profit 492,000,000 544,200,000 559,000,000 2,188,500,000
Income/Loss From Continuing Operations After Tax 59,700,000 -1,050,000,000 90,600,000 -1,550,300,000
Income/Loss From Continuing Operations Before Tax 76,600,000 -1,064,800,000 97,600,000 -1,603,500,000
Income Tax Expense/Benefit 16,900,000 -14,500,000 7,100,000 -53,200,000
Interest Expense, Operating 9,300,000 9,600,000 9,800,000 38,300,000
Net Income/Loss 59,700,000 -1,050,300,000 90,500,000 -1,550,300,000
Net Income/Loss Attributable To Noncontrolling Interest -100,000 -300,000 -100,000 -300,000
Net Income/Loss Attributable To Parent 59,700,000 -1,050,000,000 90,600,000 -1,550,000,000
Net Income/Loss Available To Common Stockholders, Basic 59,700,000 -1,050,000,000 90,600,000 -1,550,000,000
Operating Expenses 407,800,000 1,592,200,000 451,100,000 3,750,800,000
Operating Income/Loss 84,200,000 -1,048,000,000 107,900,000 -1,562,300,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 900,500,000 992,700,000 1,009,200,000 3,993,400,000
Balance Sheet
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-05-06 2016-08-05 2016-11-04 2017-03-01
Assets 11,682,400,000 11,451,400,000 11,952,400,000 11,656,100,000
Current Assets 1,805,500,000 1,738,400,000 1,841,600,000 1,882,600,000
Current Liabilities 854,200,000 722,500,000 770,200,000 771,000,000
Equity 8,385,400,000 8,315,600,000 8,357,100,000 8,125,900,000
Equity Attributable To Noncontrolling Interest 3,600,000 4,100,000 13,000,000 11,600,000
Equity Attributable To Parent 8,381,800,000 8,311,500,000 8,344,100,000 8,114,300,000
Liabilities 3,297,000,000 3,135,800,000 3,595,300,000 3,530,200,000
Liabilities And Equity 11,682,400,000 11,451,400,000 11,952,400,000 11,656,100,000
Noncurrent Assets 9,876,900,000 9,713,000,000 10,110,800,000 9,773,500,000
Noncurrent Liabilities 2,442,800,000 2,413,300,000 2,825,100,000 2,759,200,000
Cash Flow Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-05-06 2016-08-05 2016-11-04 2017-03-01
Exchange Gains/Losses 6,200,000 -3,000,000 8,800,000 2,100,000
Net Cash Flow 38,500,000 -11,500,000 19,100,000 99,300,000
Net Cash Flow, Continuing 32,300,000 -8,500,000 10,300,000 97,200,000
Net Cash Flow From Financing Activities -472,800,000 -177,800,000 237,100,000 -526,200,000
Net Cash Flow From Financing Activities, Continuing -472,800,000 -177,800,000 237,100,000 -526,200,000
Net Cash Flow From Investing Activities 504,400,000 -18,100,000 -379,700,000 60,000,000
Net Cash Flow From Investing Activities, Continuing 504,400,000 -18,100,000 -379,700,000 60,000,000
Net Cash Flow From Operating Activities 700,000 187,400,000 152,900,000 563,400,000
Net Cash Flow From Operating Activities, Continuing 700,000 187,400,000 152,900,000 563,400,000
Comprehensive Income
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-05-06 2016-08-05 2016-11-04 2017-03-01
Comprehensive Income/Loss 288,200,000 22,500,000 128,200,000 318,500,000
Comprehensive Income/Loss Attributable To Noncontrolling Interest 400,000 500,000 500,000 300,000
Comprehensive Income/Loss Attributable To Parent 287,800,000 22,000,000 127,700,000 318,200,000
Other Comprehensive Income/Loss 162,900,000 -83,400,000 35,900,000 -112,900,000
Other Comprehensive Income/Loss Attributable To Parent UNPUB UNPUB UNPUB UNPUB
Income Statement
LabelQuarter 1 (USD)Quarter 2 (USD)Quarter 3 (USD)Full Year (USD)
Filing date 2016-05-06 2016-08-05 2016-11-04 2017-03-01
Basic Earnings Per Share 1 0 0 2
Benefits Costs and Expenses 0 0 0 1,560,000,000
Cost Of Revenue 353,700,000 495,100,000 440,600,000 1,744,400,000
Costs And Expenses 699,900,000 900,800,000 827,600,000 1,546,200,000
Diluted Earnings Per Share 1 0 0 2
Gross Profit 418,900,000 526,900,000 513,600,000 2,000,900,000
Income/Loss From Continuing Operations After Tax 125,000,000 105,400,000 92,500,000 431,400,000
Income/Loss From Continuing Operations Before Tax 67,400,000 123,800,000 117,100,000 440,900,000
Income Tax Expense/Benefit -57,900,000 17,900,000 24,800,000 9,500,000
Interest Expense, Operating 9,200,000 9,300,000 8,400,000 35,900,000
Net Income/Loss 125,300,000 105,900,000 92,300,000 431,400,000
Net Income/Loss Attributable To Noncontrolling Interest 300,000 500,000 -200,000 1,500,000
Net Income/Loss Attributable To Parent 125,000,000 105,400,000 92,500,000 429,900,000
Net Income/Loss Available To Common Stockholders, Basic 125,000,000 105,400,000 92,500,000 429,900,000
Operating Expenses 346,200,000 405,700,000 387,000,000 1,546,200,000
Operating Income/Loss 72,700,000 121,200,000 126,600,000 454,700,000
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic 0 0 0 0
Preferred Stock Dividends And Other Adjustments 0 0 0 0
Revenues 772,600,000 1,022,000,000 954,200,000 2,000,900,000
Calendar
19 May 2024 (Time UTC) Actual Previous Consensus
★★★
15:30
United States
17 May 2024 (Time UTC) Actual Previous Consensus
15:30
United States
-17800.000
15:30
United States
-60000.000
15:30
United States
53700.000
15:30
United States
-135800.000
★★
15:30
United States
4400.000
15:30
United States
215400.000
15:30
United States
-31400.000
15:30
United States
62600.000
15:30
United States
1300.000
15:30
United States
-9700.000
15:30
United States
199600.000
★★
15:30
United States
15:30
United States
15:30
United States
Options
Ticker
CFI
Contract Type
Exercise Style
Share Per Contract
Strike Price
Primary Exchange
Expiration Date
O:XRAY240517P00050000 OPASPS Put American 100 50 BATO 2024-05-17
O:XRAY240517P00045000 OPASPS Put American 100 45 BATO 2024-05-17
O:XRAY240517P00040000 OPASPS Put American 100 40 BATO 2024-05-17
O:XRAY240517P00035000 OPASPS Put American 100 35 BATO 2024-05-17
O:XRAY240517P00030000 OPASPS Put American 100 30 BATO 2024-05-17
O:XRAY240517P00025000 OPASPS Put American 100 25 BATO 2024-05-17
O:XRAY240517P00022500 OPASPS Put American 100 22.5 BATO 2024-05-17
O:XRAY240517P00020000 OPASPS Put American 100 20 BATO 2024-05-17
O:XRAY240517P00017500 OPASPS Put American 100 17.5 BATO 2024-05-17
O:XRAY240517C00050000 OCASPS Call American 100 50 BATO 2024-05-17
O:XRAY240517C00045000 OCASPS Call American 100 45 BATO 2024-05-17
O:XRAY240517C00040000 OCASPS Call American 100 40 BATO 2024-05-17
O:XRAY240517C00035000 OCASPS Call American 100 35 BATO 2024-05-17
O:XRAY240517C00030000 OCASPS Call American 100 30 BATO 2024-05-17
O:XRAY240517C00025000 OCASPS Call American 100 25 BATO 2024-05-17
O:XRAY240517C00022500 OCASPS Call American 100 22.5 BATO 2024-05-17
O:XRAY240517C00020000 OCASPS Call American 100 20 BATO 2024-05-17
O:XRAY240517C00017500 OCASPS Call American 100 17.5 BATO 2024-05-17
O:XRAY240419P00017500 OPASPS Put American 100 17.5 BATO 2024-04-19
O:XRAY240419C00017500 OCASPS Call American 100 17.5 BATO 2024-04-19
O:XRAY240419P00055000 OPASPS Put American 100 55 BATO 2024-04-19
O:XRAY240419P00050000 OPASPS Put American 100 50 BATO 2024-04-19
O:XRAY240419P00045000 OPASPS Put American 100 45 BATO 2024-04-19
O:XRAY240419P00040000 OPASPS Put American 100 40 BATO 2024-04-19
O:XRAY240419P00035000 OPASPS Put American 100 35 BATO 2024-04-19
O:XRAY240419P00030000 OPASPS Put American 100 30 BATO 2024-04-19
O:XRAY240419P00025000 OPASPS Put American 100 25 BATO 2024-04-19
O:XRAY240419P00022500 OPASPS Put American 100 22.5 BATO 2024-04-19
O:XRAY240419P00020000 OPASPS Put American 100 20 BATO 2024-04-19
O:XRAY240419C00055000 OCASPS Call American 100 55 BATO 2024-04-19
O:XRAY240419C00050000 OCASPS Call American 100 50 BATO 2024-04-19
O:XRAY240419C00045000 OCASPS Call American 100 45 BATO 2024-04-19
O:XRAY240419P00015000 OPASPS Put American 100 15 BATO 2024-04-19
O:XRAY240419C00040000 OCASPS Call American 100 40 BATO 2024-04-19
O:XRAY240419C00015000 OCASPS Call American 100 15 BATO 2024-04-19
O:XRAY240419C00035000 OCASPS Call American 100 35 BATO 2024-04-19
O:XRAY240419C00030000 OCASPS Call American 100 30 BATO 2024-04-19
O:XRAY240419C00025000 OCASPS Call American 100 25 BATO 2024-04-19
O:XRAY240419C00022500 OCASPS Call American 100 22.5 BATO 2024-04-19
O:XRAY240419C00020000 OCASPS Call American 100 20 BATO 2024-04-19
O:XRAY240315P00050000 OPASPS Put American 100 50 BATO 2024-03-15
O:XRAY240315P00045000 OPASPS Put American 100 45 BATO 2024-03-15
O:XRAY240315P00040000 OPASPS Put American 100 40 BATO 2024-03-15
O:XRAY240315P00035000 OPASPS Put American 100 35 BATO 2024-03-15
O:XRAY240315P00030000 OPASPS Put American 100 30 BATO 2024-03-15
O:XRAY240315P00025000 OPASPS Put American 100 25 BATO 2024-03-15
O:XRAY240315P00022500 OPASPS Put American 100 22.5 BATO 2024-03-15
O:XRAY240315P00020000 OPASPS Put American 100 20 BATO 2024-03-15
O:XRAY240315C00050000 OCASPS Call American 100 50 BATO 2024-03-15
O:XRAY240315C00045000 OCASPS Call American 100 45 BATO 2024-03-15
O:XRAY240315C00040000 OCASPS Call American 100 40 BATO 2024-03-15
O:XRAY240315C00035000 OCASPS Call American 100 35 BATO 2024-03-15
O:XRAY240315C00030000 OCASPS Call American 100 30 BATO 2024-03-15
O:XRAY240315C00025000 OCASPS Call American 100 25 BATO 2024-03-15
O:XRAY240315C00022500 OCASPS Call American 100 22.5 BATO 2024-03-15
O:XRAY240315C00020000 OCASPS Call American 100 20 BATO 2024-03-15
O:XRAY240216P00050000 OPASPS Put American 100 50 BATO 2024-02-16
O:XRAY240216C00050000 OCASPS Call American 100 50 BATO 2024-02-16
O:XRAY240216P00045000 OPASPS Put American 100 45 BATO 2024-02-16
O:XRAY240216P00040000 OPASPS Put American 100 40 BATO 2024-02-16
O:XRAY240216P00035000 OPASPS Put American 100 35 BATO 2024-02-16
O:XRAY240216P00030000 OPASPS Put American 100 30 BATO 2024-02-16
O:XRAY240216P00025000 OPASPS Put American 100 25 BATO 2024-02-16
O:XRAY240216P00022500 OPASPS Put American 100 22.5 BATO 2024-02-16
O:XRAY240216P00020000 OPASPS Put American 100 20 BATO 2024-02-16
O:XRAY240216P00017500 OPASPS Put American 100 17.5 BATO 2024-02-16
O:XRAY240216C00045000 OCASPS Call American 100 45 BATO 2024-02-16
O:XRAY240216C00040000 OCASPS Call American 100 40 BATO 2024-02-16
O:XRAY240216C00035000 OCASPS Call American 100 35 BATO 2024-02-16
O:XRAY240216C00030000 OCASPS Call American 100 30 BATO 2024-02-16
O:XRAY240216C00025000 OCASPS Call American 100 25 BATO 2024-02-16
O:XRAY240216C00022500 OCASPS Call American 100 22.5 BATO 2024-02-16
O:XRAY240216C00020000 OCASPS Call American 100 20 BATO 2024-02-16
O:XRAY240216C00017500 OCASPS Call American 100 17.5 BATO 2024-02-16
O:XRAY240119P00060000 OPASPS Put American 100 60 BATO 2024-01-19
O:XRAY240119P00055000 OPASPS Put American 100 55 BATO 2024-01-19
O:XRAY240119P00050000 OPASPS Put American 100 50 BATO 2024-01-19
O:XRAY240119P00045000 OPASPS Put American 100 45 BATO 2024-01-19
O:XRAY240119P00040000 OPASPS Put American 100 40 BATO 2024-01-19
O:XRAY240119P00035000 OPASPS Put American 100 35 BATO 2024-01-19
O:XRAY240119P00030000 OPASPS Put American 100 30 BATO 2024-01-19
O:XRAY240119P00025000 OPASPS Put American 100 25 BATO 2024-01-19
O:XRAY240119P00022500 OPASPS Put American 100 22.5 BATO 2024-01-19
O:XRAY240119P00020000 OPASPS Put American 100 20 BATO 2024-01-19
O:XRAY240119C00060000 OCASPS Call American 100 60 BATO 2024-01-19
O:XRAY240119C00055000 OCASPS Call American 100 55 BATO 2024-01-19
O:XRAY240119C00050000 OCASPS Call American 100 50 BATO 2024-01-19
O:XRAY240119C00045000 OCASPS Call American 100 45 BATO 2024-01-19
O:XRAY240119C00040000 OCASPS Call American 100 40 BATO 2024-01-19
O:XRAY240119C00035000 OCASPS Call American 100 35 BATO 2024-01-19
O:XRAY240119C00030000 OCASPS Call American 100 30 BATO 2024-01-19
O:XRAY240119C00025000 OCASPS Call American 100 25 BATO 2024-01-19
O:XRAY240119C00022500 OCASPS Call American 100 22.5 BATO 2024-01-19
O:XRAY240119C00020000 OCASPS Call American 100 20 BATO 2024-01-19
O:XRAY240119P00017500 OPASPS Put American 100 17.5 BATO 2024-01-19
O:XRAY240119C00017500 OCASPS Call American 100 17.5 BATO 2024-01-19
O:XRAY240119P00015000 OPASPS Put American 100 15 BATO 2024-01-19
O:XRAY240119C00015000 OCASPS Call American 100 15 BATO 2024-01-19
O:XRAY231215P00045000 OPASPS Put American 100 45 BATO 2023-12-15
O:XRAY231215P00040000 OPASPS Put American 100 40 BATO 2023-12-15
O:XRAY231215P00035000 OPASPS Put American 100 35 BATO 2023-12-15
O:XRAY231215P00030000 OPASPS Put American 100 30 BATO 2023-12-15
O:XRAY231215P00025000 OPASPS Put American 100 25 BATO 2023-12-15
O:XRAY231215P00022500 OPASPS Put American 100 22.5 BATO 2023-12-15
O:XRAY231215P00020000 OPASPS Put American 100 20 BATO 2023-12-15
O:XRAY231215P00017500 OPASPS Put American 100 17.5 BATO 2023-12-15
O:XRAY231215C00045000 OCASPS Call American 100 45 BATO 2023-12-15
O:XRAY231215C00040000 OCASPS Call American 100 40 BATO 2023-12-15
O:XRAY231215C00035000 OCASPS Call American 100 35 BATO 2023-12-15
O:XRAY231215C00030000 OCASPS Call American 100 30 BATO 2023-12-15
O:XRAY231215C00025000 OCASPS Call American 100 25 BATO 2023-12-15
O:XRAY231215C00022500 OCASPS Call American 100 22.5 BATO 2023-12-15
O:XRAY231215C00020000 OCASPS Call American 100 20 BATO 2023-12-15
O:XRAY231215C00017500 OCASPS Call American 100 17.5 BATO 2023-12-15
O:XRAY231215P00015000 OPASPS Put American 100 15 BATO 2023-12-15
O:XRAY231215C00015000 OCASPS Call American 100 15 BATO 2023-12-15
O:XRAY231117C00040000 OCASPS Call American 100 40 BATO 2023-11-17
O:XRAY231117C00035000 OCASPS Call American 100 35 BATO 2023-11-17
O:XRAY231117C00030000 OCASPS Call American 100 30 BATO 2023-11-17
O:XRAY231117C00025000 OCASPS Call American 100 25 BATO 2023-11-17
O:XRAY231117C00022500 OCASPS Call American 100 22.5 BATO 2023-11-17
O:XRAY231117C00020000 OCASPS Call American 100 20 BATO 2023-11-17
O:XRAY231117P00017500 OPASPS Put American 100 17.5 BATO 2023-11-17
O:XRAY231117C00017500 OCASPS Call American 100 17.5 BATO 2023-11-17
O:XRAY231117P00055000 OPASPS Put American 100 55 BATO 2023-11-17
O:XRAY231117P00050000 OPASPS Put American 100 50 BATO 2023-11-17
O:XRAY231117P00045000 OPASPS Put American 100 45 BATO 2023-11-17
O:XRAY231117P00040000 OPASPS Put American 100 40 BATO 2023-11-17
O:XRAY231117P00035000 OPASPS Put American 100 35 BATO 2023-11-17
O:XRAY231117P00030000 OPASPS Put American 100 30 BATO 2023-11-17
O:XRAY231117P00025000 OPASPS Put American 100 25 BATO 2023-11-17
O:XRAY231117P00022500 OPASPS Put American 100 22.5 BATO 2023-11-17
O:XRAY231117P00020000 OPASPS Put American 100 20 BATO 2023-11-17
O:XRAY231117C00055000 OCASPS Call American 100 55 BATO 2023-11-17
O:XRAY231117C00050000 OCASPS Call American 100 50 BATO 2023-11-17
O:XRAY231117C00045000 OCASPS Call American 100 45 BATO 2023-11-17
O:XRAY231020P00017500 OPASPS Put American 100 17.5 BATO 2023-10-20
O:XRAY231020C00017500 OCASPS Call American 100 17.5 BATO 2023-10-20
O:XRAY231020P00055000 OPASPS Put American 100 55 BATO 2023-10-20
O:XRAY231020P00050000 OPASPS Put American 100 50 BATO 2023-10-20
O:XRAY231020P00045000 OPASPS Put American 100 45 BATO 2023-10-20
O:XRAY231020P00040000 OPASPS Put American 100 40 BATO 2023-10-20
O:XRAY231020P00035000 OPASPS Put American 100 35 BATO 2023-10-20
O:XRAY231020P00030000 OPASPS Put American 100 30 BATO 2023-10-20
O:XRAY231020P00025000 OPASPS Put American 100 25 BATO 2023-10-20
O:XRAY231020P00022500 OPASPS Put American 100 22.5 BATO 2023-10-20
O:XRAY231020P00020000 OPASPS Put American 100 20 BATO 2023-10-20
O:XRAY231020C00055000 OCASPS Call American 100 55 BATO 2023-10-20
O:XRAY231020C00050000 OCASPS Call American 100 50 BATO 2023-10-20
O:XRAY231020C00045000 OCASPS Call American 100 45 BATO 2023-10-20
O:XRAY231020C00040000 OCASPS Call American 100 40 BATO 2023-10-20
O:XRAY231020C00035000 OCASPS Call American 100 35 BATO 2023-10-20
O:XRAY231020C00030000 OCASPS Call American 100 30 BATO 2023-10-20
O:XRAY231020C00025000 OCASPS Call American 100 25 BATO 2023-10-20
O:XRAY231020C00022500 OCASPS Call American 100 22.5 BATO 2023-10-20
O:XRAY231020C00020000 OCASPS Call American 100 20 BATO 2023-10-20
O:XRAY230915P00060000 OPASPS Put American 100 60 BATO 2023-09-15
O:XRAY230915P00055000 OPASPS Put American 100 55 BATO 2023-09-15
O:XRAY230915P00050000 OPASPS Put American 100 50 BATO 2023-09-15
O:XRAY230915P00045000 OPASPS Put American 100 45 BATO 2023-09-15
O:XRAY230915P00040000 OPASPS Put American 100 40 BATO 2023-09-15
O:XRAY230915P00035000 OPASPS Put American 100 35 BATO 2023-09-15
O:XRAY230915P00030000 OPASPS Put American 100 30 BATO 2023-09-15
O:XRAY230915P00025000 OPASPS Put American 100 25 BATO 2023-09-15
O:XRAY230915P00022500 OPASPS Put American 100 22.5 BATO 2023-09-15
O:XRAY230915C00060000 OCASPS Call American 100 60 BATO 2023-09-15
O:XRAY230915C00055000 OCASPS Call American 100 55 BATO 2023-09-15
O:XRAY230915C00050000 OCASPS Call American 100 50 BATO 2023-09-15
O:XRAY230915C00045000 OCASPS Call American 100 45 BATO 2023-09-15
O:XRAY230915C00040000 OCASPS Call American 100 40 BATO 2023-09-15
O:XRAY230915C00035000 OCASPS Call American 100 35 BATO 2023-09-15
O:XRAY230915C00030000 OCASPS Call American 100 30 BATO 2023-09-15
O:XRAY230915C00025000 OCASPS Call American 100 25 BATO 2023-09-15
O:XRAY230915C00022500 OCASPS Call American 100 22.5 BATO 2023-09-15
O:XRAY230818P00055000 OPASPS Put American 100 55 BATO 2023-08-18
O:XRAY230818P00050000 OPASPS Put American 100 50 BATO 2023-08-18
O:XRAY230818P00045000 OPASPS Put American 100 45 BATO 2023-08-18
O:XRAY230818P00040000 OPASPS Put American 100 40 BATO 2023-08-18
O:XRAY230818P00035000 OPASPS Put American 100 35 BATO 2023-08-18
O:XRAY230818P00030000 OPASPS Put American 100 30 BATO 2023-08-18
O:XRAY230818P00025000 OPASPS Put American 100 25 BATO 2023-08-18
O:XRAY230818P00022500 OPASPS Put American 100 22.5 BATO 2023-08-18
O:XRAY230818P00020000 OPASPS Put American 100 20 BATO 2023-08-18
O:XRAY230818C00055000 OCASPS Call American 100 55 BATO 2023-08-18
O:XRAY230818C00050000 OCASPS Call American 100 50 BATO 2023-08-18
O:XRAY230818C00045000 OCASPS Call American 100 45 BATO 2023-08-18
O:XRAY230818C00040000 OCASPS Call American 100 40 BATO 2023-08-18
O:XRAY230818C00035000 OCASPS Call American 100 35 BATO 2023-08-18
O:XRAY230818C00030000 OCASPS Call American 100 30 BATO 2023-08-18
O:XRAY230818C00025000 OCASPS Call American 100 25 BATO 2023-08-18
O:XRAY230818C00022500 OCASPS Call American 100 22.5 BATO 2023-08-18
O:XRAY230818C00020000 OCASPS Call American 100 20 BATO 2023-08-18
News Stream
Calendar Calendar of Events
CHARLOTTE, N.C., May 08, 2024 (GLOBE NEWSWIRE) -- DENTSPLY SIRONA Inc. (“Dentsply Sirona” or the "Company") (Nasdaq: XRAY) today announced its participation at upcoming conferences.
GlobeNewswire Inc. • 1w ago
Stocks Earnings Releases and Operating Results
CHARLOTTE, N.C, May 02, 2024 (GLOBE NEWSWIRE) -- DENTSPLY SIRONA Inc. (“Dentsply Sirona” or the "Company") (Nasdaq: XRAY) today announced its financial results for the first quarter of 2024.
GlobeNewswire Inc. • 2w ago
News Conference Calls/ Webcasts
CHARLOTTE, N.C., April 09, 2024 (GLOBE NEWSWIRE) -- DENTSPLY SIRONA Inc. (“Dentsply Sirona” or the "Company") (Nasdaq: XRAY) today announced that the Company will be hosting an investor conference call and live webcast on Thursday, May 2, 2024, at 8:30 am ET to review its first quarter financial results. A presentation related to the call will be available on the Investors section of the Company’s website at https://investor.dentsplysirona.com.
GlobeNewswire Inc. • 1mo ago
News News
The Zacks Style Scores offers investors a way to easily find top-rated stocks based on their investing style. Here's why you should take advantage.
Zacks Investment Research • 1mo ago
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The Zacks Style Scores offers investors a way to easily find top-rated stocks based on their investing style. Here's why you should take advantage.
Zacks Investment Research • 1mo ago
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The Zacks Style Scores offers investors a way to easily find top-rated stocks based on their investing style. Here's why you should take advantage.
Zacks Investment Research • 1mo ago
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Whether you're a value, growth, or momentum investor, finding strong stocks becomes easier with the Zacks Style Scores, a top feature of the Zacks Premium research service.
Zacks Investment Research • 2mo ago
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Wondering how to pick strong, market-beating stocks for your investment portfolio? Look no further than the Zacks Style Scores.
Zacks Investment Research • 2mo ago
Analyst Analyst Ratings
In the latest quarter, 4 analysts provided ratings for Dentsply Sirona (NASDAQ:XRAY), showcasing a mix of bullish and bearish perspectives. Summarizing their recent assessments, the table below illustrates the evolving sentiments in the past 30 days and compares them to the preceding months. Bullish Somewhat Bullish Indifferent Somewhat Bearish Bearish Total Ratings 2 1 1 0 0 Last 30D 1 0 0 0 0 1M Ago 0 1 0 0 0 2M Ago 1 0 1 0 0 3M Ago 0 0 0 0 0 Analysts have set 12-month price targets for Dentsply Sirona, revealing an average target of $40.25, a high estimate of $42.00, and a low estimate of $35.00. This upward trend is evident, with the current average reflecting a 21.97% increase from the previous average price target of $33.00. Exploring Analyst Ratings: An In-Depth Overview An in-depth analysis of recent analyst actions unveils how financial experts perceive Dentsply Sirona. The following summary outlines key analysts, their recent evaluations, and adjustments to ratings and price targets. Analyst Analyst Firm Action Taken Rating Current Price Target Prior Price Target David Saxon Needham Maintains Buy $42.00 - Michael Cherny Leerink Partners Announces Outperform $42.00 - Jason Bednar Piper Sandler Raises Neutral $35.00 $31.00 David Saxon Needham Raises Buy $42.00 $35.00 Key Insights: Action Taken: Analysts frequently update their recommendations based on evolving market conditions and company performance. Whether they 'Maintain', 'Raise' or 'Lower' their stance, it reflects their reaction to recent developments related to Dentsply Sirona. This information provides a snapshot of how analysts perceive the current state of the company. Rating: Analysts ...Full story available on Benzinga.com
Benzinga • 2mo ago
News News
Although the revenue and EPS for Dentsply (XRAY) give a sense of how its business performed in the quarter ended December 2023, it might be worth considering how some key metrics compare with Wall Street estimates and the year-ago numbers.
Zacks Investment Research • 2mo ago
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