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Intuitive Surgical CDR (Cad Hedged) (ISRG.TO)

Intuitive Surgical CDR (Cad Hedged) (ISRG.TO)
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[[ session ]] by (Cboe BZX)
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Balance Sheet for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in thousands)
  06-2026 03-2026 12-2025 09-2025 06-2025
Assets
Current Assets
Cash & Cash Equivalents 2,760,400 2,006,500 3,368,000 2,806,600 3,403,100
Marketable Securities 2,455,800 2,510,800 2,566,900 2,102,200 1,923,400
Receivables 1,774,700 1,711,100 1,628,200 1,383,900 1,394,200
Inventories 2,028,700 1,945,100 1,840,000 1,781,900 1,667,000
Other current assets 343,700 337,200 376,400 282,700 358,200
TOTAL $9,542,700 $8,809,500 $9,779,500 $8,525,300 $8,745,900
Non-Current Assets
PPE Net 5,551,500 5,447,900 5,342,400 5,150,900 4,985,300
Investments And Advances 3,409,300 3,461,900 3,099,200 3,523,700 4,206,000
Intangibles 778,600 780,700 381,400 362,600 366,600
Other Non-Current Assets 1,594,500 1,611,000 1,856,200 1,789,300 1,859,400
TOTAL $11,333,900 $11,301,500 $10,679,200 $10,826,500 $11,417,300
Total Assets $20,876,600 $20,111,000 $20,458,700 $19,351,800 $20,163,200
Liabilities
Current Liabilities
Accounts payable and accrued liabilities 277,200 332,900 255,100 291,200 266,800
Accrued Expenses 505,300 492,200 470,600 437,300 411,400
TOTAL $1,922,900 $1,911,000 $2,006,200 $1,803,200 $1,692,600
Non-Current Liabilities
Deferred Revenues 549,400 559,500 506,700 491,100 499,900
Other Non-Current Liabilities 414,100 376,100 301,700 314,700 338,300
TOTAL $656,000 $602,800 $510,800 $506,500 $517,500
Total Liabilities $2,578,900 $2,513,800 $2,517,000 $2,309,700 $2,210,100
Shareholders' Equity
Common Shares 400 400 400 400 400
Retained earnings 6,837,200 6,397,700 7,011,800 6,424,000 7,605,500
Other shareholders' equity 5,800 16,500 43,300 26,500 3,000
TOTAL $18,168,400 $17,474,500 $17,824,000 $16,929,700 $17,845,700
Total Liabilities And Equity $20,747,300 $19,988,300 $20,341,000 $19,239,400 $20,055,800
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