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Boston Scientific (BSX)

Watchlist
  • 53.060
  • -1.040-1.92%
Close May 13 15:59 ET
  • 53.180
  • +0.120+0.23%
Pre 05:22 ET
78.87BMarket Cap22.20P/E (TTM)

Boston Scientific (BSX) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
100.41%1.45B
374.64%1.97B
374.64%1.97B
-49.04%1.28B
-81.67%534M
-68.87%725M
-52.14%414M
-52.14%414M
162.82%2.5B
583.80%2.91B
-Cash and cash equivalents
100.41%1.45B
374.64%1.97B
374.64%1.97B
-49.04%1.28B
-81.67%534M
-68.87%725M
-52.14%414M
-52.14%414M
162.82%2.5B
583.80%2.91B
Receivables
12.40%3.03B
14.39%2.93B
14.39%2.93B
13.07%2.83B
17.29%2.82B
16.88%2.69B
14.81%2.56B
14.81%2.56B
19.04%2.5B
12.46%2.4B
-Accounts receivable
12.40%3.03B
14.39%2.93B
14.39%2.93B
13.07%2.83B
17.29%2.82B
16.88%2.69B
14.81%2.56B
14.81%2.56B
19.04%2.5B
12.46%2.4B
Inventory
8.72%3.12B
4.73%2.94B
4.73%2.94B
6.10%2.92B
9.70%2.86B
11.95%2.87B
13.12%2.81B
13.12%2.81B
14.52%2.75B
15.91%2.61B
Prepaid assets
21.77%358M
-2.61%299M
-2.61%299M
-6.63%310M
-5.40%298M
-7.84%294M
-2.54%307M
-2.54%307M
8.14%332M
3.96%315M
Restricted cash
----
----
----
40.00%98M
45.33%109M
10.75%103M
-14.62%111M
-14.62%111M
-43.09%70M
-44.44%75M
Other current assets
68.75%729M
-20.46%661M
-20.46%661M
16.32%506M
0.48%415M
7.46%432M
149.55%831M
149.55%831M
15.69%435M
2.23%413M
Total current assets
18.39%8.68B
27.08%8.79B
27.08%8.79B
-8.29%8.04B
-20.80%7.12B
-10.38%7.34B
6.23%6.92B
6.23%6.92B
34.70%8.76B
52.75%8.99B
Non current assets
Net PPE
5.89%4.06B
22.46%4.04B
22.46%4.04B
22.61%4.29B
17.41%3.95B
15.33%3.84B
-0.09%3.3B
-0.09%3.3B
13.50%3.5B
12.99%3.37B
-Gross PPE
3.45%7.74B
11.97%7.65B
11.97%7.65B
14.47%8.15B
11.66%7.74B
9.07%7.48B
0.68%6.83B
0.68%6.83B
9.07%7.12B
8.12%6.93B
-Accumulated depreciation
-0.88%-3.67B
-2.18%-3.61B
-2.18%-3.61B
-6.60%-3.86B
-6.23%-3.78B
-3.17%-3.64B
-1.41%-3.53B
-1.41%-3.53B
-5.11%-3.62B
-3.88%-3.56B
Goodwill and other intangible assets
7.08%25.6B
6.43%25.3B
6.43%25.3B
22.07%25.38B
27.86%25.34B
18.35%23.91B
16.59%23.77B
16.59%23.77B
6.84%20.79B
0.46%19.81B
-Goodwill
6.90%18.54B
6.98%18.28B
6.98%18.28B
21.16%18.21B
25.55%18.08B
20.74%17.34B
18.78%17.09B
18.78%17.09B
10.47%15.03B
5.40%14.4B
-Other intangible assets
7.56%7.06B
5.03%7.02B
5.03%7.02B
24.43%7.16B
34.00%7.26B
12.47%6.57B
11.34%6.68B
11.34%6.68B
-1.62%5.76B
-10.67%5.42B
Investments and advances
----
----
----
20.86%643M
39.11%626M
52.68%655M
34.38%555M
34.38%555M
24.59%532M
6.89%450M
Financial assets
----
----
----
----
----
-91.20%11M
-26.17%79M
-26.17%79M
-87.10%20M
-70.51%46M
Non current deferred assets
7.54%3.95B
0.55%3.68B
0.55%3.68B
-3.85%3.67B
-0.61%3.78B
-3.06%3.68B
-4.84%3.66B
-4.84%3.66B
-0.63%3.82B
-1.66%3.8B
Other non current assets
184.88%2.05B
6.39%1.87B
6.39%1.87B
4.51%695M
16.56%746M
17.81%721M
206.64%1.75B
206.64%1.75B
15.25%665M
11.89%640M
Total non current assets
8.72%35.67B
7.39%34.88B
7.39%34.88B
18.25%34.67B
22.48%34.44B
15.17%32.81B
13.47%32.48B
13.47%32.48B
6.46%29.32B
1.45%28.12B
Total assets
10.49%44.35B
10.86%43.67B
10.86%43.67B
12.16%42.71B
11.99%41.56B
9.47%40.14B
12.12%39.4B
12.12%39.4B
11.85%38.08B
10.44%37.11B
Liabilities
Current liabilities
Payables
-13.50%1.14B
19.17%1.14B
19.17%1.14B
-1.42%1.18B
0.44%1.14B
11.97%1.32B
-17.38%960M
-17.38%960M
-6.87%1.19B
-13.01%1.13B
-accounts payable
13.65%1.14B
19.17%1.14B
19.17%1.14B
10.47%1B
6.18%962M
9.01%1B
1.91%960M
1.91%960M
-2.37%907M
0.78%906M
-Total tax payable
----
----
----
-39.16%174M
-22.77%173M
22.57%315M
21.82%268M
21.82%268M
-18.75%286M
-44.00%224M
Current accrued expenses
13.40%2.51B
15.43%3.2B
15.43%3.2B
21.21%2.83B
21.03%2.67B
13.46%2.22B
13.65%2.77B
13.65%2.77B
16.18%2.33B
12.58%2.2B
Current provisions
----
----
----
20.63%152M
11.02%131M
6.20%137M
-14.08%177M
-14.08%177M
-48.78%126M
-43.54%118M
Current debt and capital lease obligation
-94.72%41M
-83.18%299M
-83.18%299M
-70.76%483M
-69.62%480M
-28.39%777M
234.84%1.78B
234.84%1.78B
222.03%1.65B
182.65%1.58B
-Current debt
-94.72%41M
-83.18%299M
-83.18%299M
-70.76%483M
-69.62%480M
-28.39%777M
234.84%1.78B
234.84%1.78B
222.03%1.65B
182.65%1.58B
Current deferred liabilities
----
2.29%313M
2.29%313M
6.55%309M
10.21%313M
9.29%306M
15.04%306M
15.04%306M
17.89%290M
17.36%284M
Other current liabilities
189.74%875M
-17.18%482M
-17.18%482M
20.32%379M
77.86%466M
4.14%302M
77.44%582M
77.44%582M
10.92%315M
-11.78%262M
Current liabilities
-9.63%4.57B
-15.00%5.44B
-15.00%5.44B
-9.85%5.33B
-6.92%5.19B
2.89%5.06B
29.72%6.4B
29.72%6.4B
29.07%5.91B
22.23%5.58B
Non current liabilities
Long term provisions
----
----
----
24.19%154M
27.07%169M
16.88%180M
-13.37%149M
-13.37%149M
-22.98%124M
-36.67%133M
Long term debt and capital lease obligation
0.52%10.99B
24.19%11.14B
24.19%11.14B
20.37%11.56B
23.42%11.55B
10.24%10.93B
0.08%8.97B
0.08%8.97B
9.33%9.61B
5.18%9.36B
-Long term debt
4.40%10.86B
24.54%11.01B
24.54%11.01B
19.11%10.99B
22.19%10.98B
9.19%10.41B
3.22%8.84B
3.22%8.84B
10.10%9.23B
5.87%8.99B
-Long term capital lease obligation
-76.38%124M
-0.79%125M
-0.79%125M
51.19%570M
53.39%566M
36.01%525M
-68.10%126M
-68.10%126M
-6.68%377M
-9.11%369M
Non current deferred liabilities
-55.58%219M
41.94%220M
41.94%220M
28.97%601M
28.35%575M
10.54%493M
-65.17%155M
-65.17%155M
18.88%466M
4.19%448M
Other non current liabilities
267.96%2.47B
28.61%2.41B
28.61%2.41B
57.67%1.03B
64.76%1.04B
30.80%671M
199.20%1.87B
199.20%1.87B
28.09%652M
18.87%630M
Total non current liabilities
8.23%13.68B
25.19%13.76B
25.19%13.76B
22.63%13.75B
25.57%13.72B
9.07%12.64B
3.00%10.99B
3.00%10.99B
8.49%11.21B
3.50%10.92B
Total liabilities
3.13%18.25B
10.40%19.2B
10.40%19.2B
11.42%19.08B
14.59%18.91B
7.23%17.69B
11.44%17.39B
11.44%17.39B
14.80%17.12B
9.15%16.5B
Shareholders'equity
Share capital
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
-common stock
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
106.51%6.91B
108.42%5.57B
108.42%5.57B
132.51%4.9B
152.84%4.14B
154.72%3.35B
226.37%2.67B
226.37%2.67B
568.89%2.11B
967.20%1.64B
Paid-in capital
2.16%21.58B
2.13%21.51B
2.13%21.51B
2.18%21.42B
2.05%21.23B
2.00%21.13B
1.98%21.06B
1.98%21.06B
1.90%20.96B
1.77%20.8B
Less: Treasury stock
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
0.00%2.25B
Gains losses not affecting retained earnings
-1,321.43%-398M
-321.82%-610M
-321.82%-610M
-438.28%-689M
-540.24%-722M
-121.21%-28M
461.22%275M
461.22%275M
-155.41%-128M
-21.15%164M
Total stockholders'equity
16.44%25.86B
11.31%24.23B
11.31%24.23B
12.98%23.4B
10.04%22.42B
11.48%22.21B
12.91%21.77B
12.91%21.77B
9.65%20.71B
11.77%20.37B
Noncontrolling interests
3.00%240M
2.58%239M
2.58%239M
-4.84%236M
-1.26%235M
-3.72%233M
-6.05%233M
-6.05%233M
2.06%248M
-8.11%238M
Total equity
16.30%26.1B
11.22%24.47B
11.22%24.47B
12.76%23.63B
9.92%22.65B
11.30%22.45B
12.66%22B
12.66%22B
9.55%20.96B
11.49%20.61B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 100.41%1.45B374.64%1.97B374.64%1.97B-49.04%1.28B-81.67%534M-68.87%725M-52.14%414M-52.14%414M162.82%2.5B583.80%2.91B
-Cash and cash equivalents 100.41%1.45B374.64%1.97B374.64%1.97B-49.04%1.28B-81.67%534M-68.87%725M-52.14%414M-52.14%414M162.82%2.5B583.80%2.91B
Receivables 12.40%3.03B14.39%2.93B14.39%2.93B13.07%2.83B17.29%2.82B16.88%2.69B14.81%2.56B14.81%2.56B19.04%2.5B12.46%2.4B
-Accounts receivable 12.40%3.03B14.39%2.93B14.39%2.93B13.07%2.83B17.29%2.82B16.88%2.69B14.81%2.56B14.81%2.56B19.04%2.5B12.46%2.4B
Inventory 8.72%3.12B4.73%2.94B4.73%2.94B6.10%2.92B9.70%2.86B11.95%2.87B13.12%2.81B13.12%2.81B14.52%2.75B15.91%2.61B
Prepaid assets 21.77%358M-2.61%299M-2.61%299M-6.63%310M-5.40%298M-7.84%294M-2.54%307M-2.54%307M8.14%332M3.96%315M
Restricted cash ------------40.00%98M45.33%109M10.75%103M-14.62%111M-14.62%111M-43.09%70M-44.44%75M
Other current assets 68.75%729M-20.46%661M-20.46%661M16.32%506M0.48%415M7.46%432M149.55%831M149.55%831M15.69%435M2.23%413M
Total current assets 18.39%8.68B27.08%8.79B27.08%8.79B-8.29%8.04B-20.80%7.12B-10.38%7.34B6.23%6.92B6.23%6.92B34.70%8.76B52.75%8.99B
Non current assets
Net PPE 5.89%4.06B22.46%4.04B22.46%4.04B22.61%4.29B17.41%3.95B15.33%3.84B-0.09%3.3B-0.09%3.3B13.50%3.5B12.99%3.37B
-Gross PPE 3.45%7.74B11.97%7.65B11.97%7.65B14.47%8.15B11.66%7.74B9.07%7.48B0.68%6.83B0.68%6.83B9.07%7.12B8.12%6.93B
-Accumulated depreciation -0.88%-3.67B-2.18%-3.61B-2.18%-3.61B-6.60%-3.86B-6.23%-3.78B-3.17%-3.64B-1.41%-3.53B-1.41%-3.53B-5.11%-3.62B-3.88%-3.56B
Goodwill and other intangible assets 7.08%25.6B6.43%25.3B6.43%25.3B22.07%25.38B27.86%25.34B18.35%23.91B16.59%23.77B16.59%23.77B6.84%20.79B0.46%19.81B
-Goodwill 6.90%18.54B6.98%18.28B6.98%18.28B21.16%18.21B25.55%18.08B20.74%17.34B18.78%17.09B18.78%17.09B10.47%15.03B5.40%14.4B
-Other intangible assets 7.56%7.06B5.03%7.02B5.03%7.02B24.43%7.16B34.00%7.26B12.47%6.57B11.34%6.68B11.34%6.68B-1.62%5.76B-10.67%5.42B
Investments and advances ------------20.86%643M39.11%626M52.68%655M34.38%555M34.38%555M24.59%532M6.89%450M
Financial assets ---------------------91.20%11M-26.17%79M-26.17%79M-87.10%20M-70.51%46M
Non current deferred assets 7.54%3.95B0.55%3.68B0.55%3.68B-3.85%3.67B-0.61%3.78B-3.06%3.68B-4.84%3.66B-4.84%3.66B-0.63%3.82B-1.66%3.8B
Other non current assets 184.88%2.05B6.39%1.87B6.39%1.87B4.51%695M16.56%746M17.81%721M206.64%1.75B206.64%1.75B15.25%665M11.89%640M
Total non current assets 8.72%35.67B7.39%34.88B7.39%34.88B18.25%34.67B22.48%34.44B15.17%32.81B13.47%32.48B13.47%32.48B6.46%29.32B1.45%28.12B
Total assets 10.49%44.35B10.86%43.67B10.86%43.67B12.16%42.71B11.99%41.56B9.47%40.14B12.12%39.4B12.12%39.4B11.85%38.08B10.44%37.11B
Liabilities
Current liabilities
Payables -13.50%1.14B19.17%1.14B19.17%1.14B-1.42%1.18B0.44%1.14B11.97%1.32B-17.38%960M-17.38%960M-6.87%1.19B-13.01%1.13B
-accounts payable 13.65%1.14B19.17%1.14B19.17%1.14B10.47%1B6.18%962M9.01%1B1.91%960M1.91%960M-2.37%907M0.78%906M
-Total tax payable -------------39.16%174M-22.77%173M22.57%315M21.82%268M21.82%268M-18.75%286M-44.00%224M
Current accrued expenses 13.40%2.51B15.43%3.2B15.43%3.2B21.21%2.83B21.03%2.67B13.46%2.22B13.65%2.77B13.65%2.77B16.18%2.33B12.58%2.2B
Current provisions ------------20.63%152M11.02%131M6.20%137M-14.08%177M-14.08%177M-48.78%126M-43.54%118M
Current debt and capital lease obligation -94.72%41M-83.18%299M-83.18%299M-70.76%483M-69.62%480M-28.39%777M234.84%1.78B234.84%1.78B222.03%1.65B182.65%1.58B
-Current debt -94.72%41M-83.18%299M-83.18%299M-70.76%483M-69.62%480M-28.39%777M234.84%1.78B234.84%1.78B222.03%1.65B182.65%1.58B
Current deferred liabilities ----2.29%313M2.29%313M6.55%309M10.21%313M9.29%306M15.04%306M15.04%306M17.89%290M17.36%284M
Other current liabilities 189.74%875M-17.18%482M-17.18%482M20.32%379M77.86%466M4.14%302M77.44%582M77.44%582M10.92%315M-11.78%262M
Current liabilities -9.63%4.57B-15.00%5.44B-15.00%5.44B-9.85%5.33B-6.92%5.19B2.89%5.06B29.72%6.4B29.72%6.4B29.07%5.91B22.23%5.58B
Non current liabilities
Long term provisions ------------24.19%154M27.07%169M16.88%180M-13.37%149M-13.37%149M-22.98%124M-36.67%133M
Long term debt and capital lease obligation 0.52%10.99B24.19%11.14B24.19%11.14B20.37%11.56B23.42%11.55B10.24%10.93B0.08%8.97B0.08%8.97B9.33%9.61B5.18%9.36B
-Long term debt 4.40%10.86B24.54%11.01B24.54%11.01B19.11%10.99B22.19%10.98B9.19%10.41B3.22%8.84B3.22%8.84B10.10%9.23B5.87%8.99B
-Long term capital lease obligation -76.38%124M-0.79%125M-0.79%125M51.19%570M53.39%566M36.01%525M-68.10%126M-68.10%126M-6.68%377M-9.11%369M
Non current deferred liabilities -55.58%219M41.94%220M41.94%220M28.97%601M28.35%575M10.54%493M-65.17%155M-65.17%155M18.88%466M4.19%448M
Other non current liabilities 267.96%2.47B28.61%2.41B28.61%2.41B57.67%1.03B64.76%1.04B30.80%671M199.20%1.87B199.20%1.87B28.09%652M18.87%630M
Total non current liabilities 8.23%13.68B25.19%13.76B25.19%13.76B22.63%13.75B25.57%13.72B9.07%12.64B3.00%10.99B3.00%10.99B8.49%11.21B3.50%10.92B
Total liabilities 3.13%18.25B10.40%19.2B10.40%19.2B11.42%19.08B14.59%18.91B7.23%17.69B11.44%17.39B11.44%17.39B14.80%17.12B9.15%16.5B
Shareholders'equity
Share capital 0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M
-common stock 0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M0.00%17M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 106.51%6.91B108.42%5.57B108.42%5.57B132.51%4.9B152.84%4.14B154.72%3.35B226.37%2.67B226.37%2.67B568.89%2.11B967.20%1.64B
Paid-in capital 2.16%21.58B2.13%21.51B2.13%21.51B2.18%21.42B2.05%21.23B2.00%21.13B1.98%21.06B1.98%21.06B1.90%20.96B1.77%20.8B
Less: Treasury stock 0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B0.00%2.25B
Gains losses not affecting retained earnings -1,321.43%-398M-321.82%-610M-321.82%-610M-438.28%-689M-540.24%-722M-121.21%-28M461.22%275M461.22%275M-155.41%-128M-21.15%164M
Total stockholders'equity 16.44%25.86B11.31%24.23B11.31%24.23B12.98%23.4B10.04%22.42B11.48%22.21B12.91%21.77B12.91%21.77B9.65%20.71B11.77%20.37B
Noncontrolling interests 3.00%240M2.58%239M2.58%239M-4.84%236M-1.26%235M-3.72%233M-6.05%233M-6.05%233M2.06%248M-8.11%238M
Total equity 16.30%26.1B11.22%24.47B11.22%24.47B12.76%23.63B9.92%22.65B11.30%22.45B12.66%22B12.66%22B9.55%20.96B11.49%20.61B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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