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DENTSPLY SIRONA Inc
NASDAQ:XRAY

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DENTSPLY SIRONA Inc
NASDAQ:XRAY
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Price: 11.8 USD -7.31% Market Closed
Market Cap: $2.4B

Balance Sheet

Balance Sheet Decomposition
DENTSPLY SIRONA Inc

Balance Sheet
DENTSPLY SIRONA Inc

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Balance Sheet
Currency: USD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
26
164
404
434
65
169
204
450
540
77
80
75
152
285
384
321
310
405
438
339
365
334
272
326
Cash Equivalents
26
164
404
434
65
169
204
450
540
77
80
75
152
285
384
321
310
405
438
339
365
334
272
326
Short-Term Investments
0
0
103
1
0
147
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Receivables
221
241
239
255
291
308
319
349
345
428
442
473
427
400
636
746
702
782
667
750
685
756
606
737
Accounts Receivables
221
241
239
255
291
308
319
349
345
428
442
473
427
400
636
746
702
782
667
750
632
695
556
688
Other Receivables
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
53
61
50
49
Inventory
214
206
214
208
232
258
306
292
309
362
403
439
387
340
517
623
599
562
476
515
627
624
564
642
Other Current Assets
80
116
97
136
130
100
120
127
121
146
186
158
241
172
206
313
278
252
217
248
216
259
304
318
Total Current Assets
541
727
1 056
1 033
718
982
950
1 218
1 315
1 013
1 111
1 144
1 207
1 197
1 744
2 003
1 888
2 000
1 798
1 852
1 893
1 973
1 746
2 023
PP&E Net
313
376
400
316
330
371
432
440
423
591
615
637
589
559
800
876
871
962
967
971
961
978
902
1 000
PP&E Gross
313
376
400
316
330
371
432
440
423
591
0
0
0
559
0
876
871
962
967
0
961
978
902
1 000
Accumulated Depreciation
185
210
249
258
309
350
408
464
519
549
0
0
0
784
0
1 197
1 206
1 233
1 392
0
1 312
1 365
1 341
1 572
Intangible Assets
236
246
266
69
68
76
104
89
79
791
831
795
671
601
2 958
2 801
2 420
2 176
2 504
2 319
1 903
1 705
1 207
974
Goodwill
898
963
996
933
995
1 127
1 277
1 313
1 303
2 190
2 211
2 282
2 089
1 988
5 952
4 539
3 431
3 397
3 986
3 976
2 688
2 438
1 597
1 148
Long-Term Investments
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
98
132
80
59
71
119
68
29
138
170
205
220
90
59
103
156
77
69
95
121
198
276
301
284
Other Assets
898
963
996
933
995
1 127
1 277
1 313
1 303
2 190
2 211
2 282
2 089
1 988
5 952
4 539
3 431
3 397
3 986
3 976
2 688
2 438
1 597
1 148
Total Assets
2 087
N/A
2 446
+17%
2 798
+14%
2 410
-14%
2 181
-10%
2 676
+23%
2 830
+6%
3 088
+9%
3 258
+6%
4 755
+46%
4 972
+5%
5 078
+2%
4 646
-9%
4 403
-5%
11 556
+162%
10 375
-10%
8 687
-16%
8 603
-1%
9 350
+9%
9 239
-1%
7 643
-17%
7 370
-4%
5 753
-22%
5 429
-6%
Liabilities
Accounts Payable
67
86
92
82
80
82
104
101
114
149
165
133
133
134
223
284
284
308
302
262
279
305
241
300
Accrued Liabilities
191
173
180
163
181
189
194
246
191
247
424
285
371
297
460
560
547
594
627
760
624
640
616
584
Short-Term Debt
0
0
0
0
0
0
0
0
0
275
0
0
0
0
0
0
0
0
0
0
0
0
421
85
Current Portion of Long-Term Debt
5
22
73
412
3
1
26
82
8
1
299
310
112
12
21
30
92
2
299
182
118
322
128
228
Other Current Liabilities
36
87
60
87
47
39
36
16
46
51
39
69
37
33
64
81
90
91
144
57
149
158
183
146
Total Current Liabilities
298
368
405
744
311
312
360
445
360
724
928
796
653
476
768
955
1 013
996
1 372
1 261
1 170
1 425
1 589
1 343
Long-Term Debt
770
790
780
270
367
482
424
387
604
1 490
1 222
1 166
1 150
1 141
1 511
1 612
1 565
1 433
1 978
1 913
1 826
1 796
1 586
2 015
Deferred Income Tax
27
67
58
43
53
61
69
73
72
250
233
238
166
160
752
718
553
480
381
391
287
228
129
94
Minority Interest
1
0
1
0
0
0
72
75
71
36
41
43
1
1
12
12
12
2
3
1
1
1
1
1
Other Liabilities
155
98
111
106
176
304
318
277
311
407
340
299
356
286
400
463
423
600
684
677
548
627
506
637
Total Liabilities
1 251
N/A
1 324
+6%
1 354
+2%
1 164
-14%
908
-22%
1 159
+28%
1 243
+7%
1 256
+1%
1 419
+13%
2 907
+105%
2 764
-5%
2 543
-8%
2 325
-9%
2 065
-11%
3 442
+67%
3 758
+9%
3 566
-5%
3 510
-2%
4 418
+26%
4 243
-4%
3 832
-10%
4 077
+6%
3 811
-7%
4 090
+7%
Equity
Common Stock
1
1
1
1
2
2
2
2
2
2
2
2
2
2
3
3
3
3
3
3
3
3
3
3
Retained Earnings
729
889
1 126
1 152
1 352
1 583
1 839
2 083
2 320
2 536
2 818
3 096
3 381
3 591
3 948
2 316
1 226
1 404
1 198
1 514
456
205
835
1 564
Additional Paid In Capital
157
167
189
176
168
173
187
195
205
230
247
255
222
238
6 517
6 544
6 522
6 587
6 604
6 606
6 629
6 643
6 640
6 644
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
11
1
18
13
8
0
0
44
0
0
0
0
0
0
0
0
Treasury Stock
52
40
36
138
328
387
480
532
712
728
714
749
842
898
1 647
1 955
2 151
2 301
2 409
2 535
2 649
2 922
3 136
3 105
Other Equity
2
105
164
56
80
146
40
84
13
190
162
82
450
594
706
335
479
600
464
592
628
636
730
639
Total Equity
836
N/A
1 122
+34%
1 444
+29%
1 247
-14%
1 274
+2%
1 516
+19%
1 588
+5%
1 832
+15%
1 839
+0%
1 848
+0%
2 209
+20%
2 535
+15%
2 321
-8%
2 338
+1%
8 114
+247%
6 616
-18%
5 121
-23%
5 093
-1%
4 932
-3%
4 996
+1%
3 811
-24%
3 293
-14%
1 942
-41%
1 339
-31%
Total Liabilities & Equity
2 087
N/A
2 446
+17%
2 798
+14%
2 410
-14%
2 181
-10%
2 676
+23%
2 830
+6%
3 088
+9%
3 258
+6%
4 755
+46%
4 972
+5%
5 078
+2%
4 646
-9%
4 403
-5%
11 556
+162%
10 375
-10%
8 687
-16%
8 603
-1%
9 350
+9%
9 239
-1%
7 643
-17%
7 370
-4%
5 753
-22%
5 429
-6%
Shares Outstanding
Common Shares Outstanding
157
159
161
158
152
151
149
147
142
142
142
142
141
140
230
227
223
221
219
217
215
207
199
200
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