ISRG: Intuitive Surgical Inc

FinancialsDividends

$474.06

-2.94

(-0.62%)

As of 08/06/2025 5:00 PM ETDisclaimer
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100%

ISRG Performance Snapshot


1-Week Chg

-5.28%

1-Month Chg

-12.93%

3-Month Chg

-10.63%

6-Month Chg

-19.45%

1-Year Chg

5.90%

Year-To-Date Chg

-9.54%

Beta 1-Year

1.21

Beta 5-Year

1.49

Volatility (10-Day)

1.76%

ISRG Technical Snapshot



Datesorted descending
Close
Change 1D
Open
High
Low
Typical
Volume

2025-08-06

$474.06

-$2.94 (-0.62%)

$477.04

$480.99

$473.26

$476.10

2.17M ($1.03B)

2025-08-05

$477

-$6.36 (-1.32%)

$483.22

$486.51

$476.75

$480.09

2.61M ($1.24B)

2025-08-04

$483.36

$0.24 (0.05%)

$486.75

$490

$478.82

$484.06

2.49M ($1.21B)

2025-08-01

$483.12

$2.03 (0.42%)

$475.46

$486.06

$473.24

$480.81

2.98M ($1.44B)

2025-07-31

$481.09

-$19.42 (-3.88%)

$497.24

$498.96

$479.60

$486.55

2.60M ($1.25B)

2025-07-30

$500.51

$3.64 (0.73%)

$497.71

$503.21

$496.95

$500.22

1.76M ($880.40M)

2025-07-29

$496.87

$2.92 (0.59%)

$497.25

$502.42

$496.17

$498.49

1.83M ($909.77M)

2025-07-28

$493.95

-$1.91 (-0.39%)

$498

$502.81

$493.22

$496.66

2.47M ($1.22B)

2025-07-25

$495.86

$7.25 (1.48%)

$492.48

$497.50

$490.76

$494.71

1.87M ($927.75M)

2025-07-24

$488.61

-$13.34 (-2.66%)

$503.52

$505.74

$486.54

$493.63

2.61M ($1.27B)

ISRG Financial Snapshot


Balance Sheet

(USD)

2025 Q2

Y/Y CHANGE


  • Cash and equivalents

    $3.40B

    12.07%

  • Total assets

    $20.16B

    21.10%

  • Total liabilities

    $2.21B

    19.25%

  • Total investments

    $6.13B

    31.92%

  • Shareholders' equity

    $17.85B

    21.33%

  • Book value per share

    $49.78

    20.15%


Income Statement

(USD)

2025 Q2

Y/Y CHANGE


  • Revenue

    $2.44B

    21.40%

  • Net income

    $658.40M

    24.96%

  • Operating expense

    $874.50M

    8.58%

  • Gross profit

    $1.62B

    17.86%

  • EBITDA

    $990.70M

    28.53%

  • Earnings per share

    $1.84

    24.32%


Cash Flow

(USD)

2025 Q2

Y/Y CHANGE


  • Net change in cash

    $829.30M

    315.27%

  • Cash from operations

    $715.40M

    15.29%

  • Cash from investing

    $260.70M

    155.81%

  • Cash from financing

    -$147.80M

    -395.60%

  • Free cash flow

    $560.10M

    80.04%

  • Free cash flow per share

    $1.56

    78.31%


Metrics

(USD)

2025 Q2

Y/Y CHANGE


  • Market capitalization

    $194.77B

    23.43%

  • Enterprise value

    $192.19B

    24.04%

  • Shares outstanding

    358.42M

    1.05%

  • Profit margin

    27.00%

    3.05%

  • Gross margin

    66.30%

    -2.93%

  • EBITDA margin

    40.60%

    5.73%


Dividends

(USD)

2025 Q2

Y/Y CHANGE


  • Dividend yield

    0%

    0%

  • Dividends per share

    $0

    0%

  • Dividend growth

    -

    -

  • Payout ratio

    0%

    0%

  • Coverage ratio

    -

    -

  • Current ratio

    5.17

    0.41%