DANAHER CORP /DE/ (DHR)

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CIK 0000313616 · NYSE · Industrial Instruments For Measurement, Display, and Control

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, DANAHER CORP /DE/ reported revenue of $24.57B, up 2.9% from the prior year. The company was profitable, with a net margin of 14.7% and a gross margin of 59.1%.

Key ratios (FY2025)

59.1%
Gross margin
19.1%
Operating margin
14.7%
Net margin
6.9%
Return on equity
+2.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$24.57B$23.88B$23.89B$26.64B$24.80B$22.28B$17.91B$17.05B$15.52B
Cost of Revenue$10.04B$9.67B$9.86B$10.46B$9.56B$9.81B$7.93B$7.54B$6.95B$7.55B
Gross Profit$14.52B$14.21B$14.03B$16.19B$15.24B$12.47B$9.98B$9.51B$8.57B$9.33B
Operating Income$4.69B$4.86B$5.20B$7.54B$6.38B$4.23B$3.27B$3.06B$2.57B$2.74B
Net Income$3.61B$3.90B$4.76B$7.21B$6.43B$3.65B$3.01B$2.65B$2.49B$2.55B
EPS (Diluted)$5.05$5.29$6.38$9.66$8.61$4.89$4.05$3.74$3.53$3.65
Total Assets$83.46B$77.54B$84.49B$84.35B$83.18B$76.16B$62.08B$47.83B$46.65B$45.30B
Shareholders' Equity$52.53B$49.54B$53.49B$50.08B$45.17B$39.77B$30.27B$28.21B$26.36B$23.00B
Cash & Equivalents$19.91B$787.80M$630.30M$963.70M
Operating Cash Flow$6.42B$6.69B$7.16B$8.52B$8.36B$6.21B$3.95B$4.02B$3.48B$3.52B
Capital Expenditures$1.16B$1.39B$1.38B$1.12B$1.24B$791.00M$636.00M$584.00M$570.70M$589.60M
Shares Outstanding716.10M737.20M743.10M737.10M736.80M718.70M725.50M710.20M706.10M699.80M