Stock Fundamentals

Company Information

Company Name
Medtronic PLC
Sector
Healthcare
Industry
Medical Devices
Exchange
NYSE
ISIN: IE00BTN1Y115
CIK: 0001613103
CUSIP: 585055106
Currency: USD
Full Time Employees: 95,000
Phone: 353 1 438 1700
Fiscal Year End: April
IPO Date: Jan 13, 1978
Description:

Medtronic plc develops, manufactures, and sells device-based medical therapies to healthcare systems, physicians, clinicians, and patients in the United States, Ireland, and internationally. The Cardiovascular Portfolio segment offers implantable cardiac pacemakers, cardioverter defibrillators, and cardiac resynchronization therapy devices; cardiac ablation products; insertable cardiac monitor systems; TYRX products; and remote monitoring and patient-centered software. It also provides aortic valves, surgical valve replacement and repair products, endovascular stent grafts and accessories, and transcatheter pulmonary valves, and percutaneous coronary intervention products, percutaneous angioplasty balloons, and other products. The Neuroscience Portfolio segment offers medical devices and implants, biologic solutions, spinal cord stimulation and brain modulation systems, implantable drug infusion systems, and interventional products, as well as nerve ablation system under the Accurian name. The segment offers its products for spinal surgeons, neurosurgeons, neurologists, pain management specialists, anesthesiologists, orthopedic surgeons, urologists, urogynecologists, and interventional radiologists, as well as ear, nose, and throat specialists, and energy surgical instruments. The Medical Surgical Portfolio segment offers surgical stapling devices, vessel sealing instruments, wound closure and electrosurgery products, AI-powered surgical video and analytics platform, robotic-assisted surgery products, hernia mechanical devices, mesh implants, gynecology products, gastrointestinal and hepatologic diagnostics and therapies, and therapies to treat diseases and conditions, and patient monitoring and airway management products. The Diabetes Operating Unit segment provides insulin pumps and consumables, continuous glucose monitoring systems and sensors, and InPen, a smart insulin pen. Medtronic plc was founded in 1949 and is headquartered in Galway, Ireland.

Address:

Building Two, Galway, Ireland, H91 4K49

Directors & Officers

Name Title Year Born
Mr. Geoffrey Straub Martha Chairman of the Board & CEO 1970
Mr. Thierry Pieton Executive VP & CFO 1970
Mr. Brett A. Wall Executive Officer 1966
Mr. Rogerio Branco SVP & Chief Operations and Supply Chain Officer NA
Ms. Denise L. Blomquist VP, Global Controller & Chief Accounting Officer NA
Dr. Laura Mauri M.D., M.Sc. Senior VP and Chief Scientific & Medical Officer 1970
Ms. Ingrid Goldberg Vice President & Head of Investor Relations NA
Ms. Michelle Quinn Executive VP, General Counsel & Secretary 1969
Mr. Matthew R. Walter Senior Vice President of Human Resources, IT and Global Communications & Corporate Marketing 1979
Mr. Jason Weidman Senior VP and President of Coronary & Renal Denervation business NA

Insider Trading

Date Insider Name Title Transaction Type Shares Price Value
Mar 30, 2026 Ro Khanna N/A Sale N/A $85.75 N/A
Mar 23, 2026 Ro Khanna N/A Sale N/A $87.24 N/A
Mar 20, 2026 Kevin Hern N/A Sale N/A $86.29 N/A
Mar 10, 2026 Ro Khanna N/A Sale N/A $89.79 N/A
Feb 19, 2026 Harry Skip Kiil N/A Sale 52.52K $97.71 $5.13M
Jan 23, 2026 Ro Khanna N/A Purchase N/A $100.98 N/A
Jan 22, 2026 Ro Khanna N/A Sale N/A $101.45 N/A
Dec 18, 2025 Julie Johnson N/A Sale N/A $98.54 N/A
Nov 13, 2025 Julie Johnson N/A Sale N/A $96.12 N/A
Nov 05, 2025 Richard McCormick N/A Purchase N/A $90.39 N/A
Sep 03, 2025 Harry Skip Kiil N/A Sale 8.61K $91.58 $788.05K
Aug 25, 2025 William R Jellison N/A Purchase 2.50K $92.37 $230.93K
Aug 22, 2025 William R Jellison N/A Purchase 2.50K $92.73 $231.83K

Institutional Holders

Holder Name Shares Date Reported % Out Value % Change
Vanguard Group Inc 128.96M Dec 31, 2025 10.04% $0.18 1.49%
BlackRock Inc 113.18M Mar 31, 2026 8.82% $0.17 -6.10%
Vanguard Capital Management, LLC 83.33M Mar 31, 2026 6.49% $0.18 0.00%
State Street Corp 61.74M Mar 31, 2026 4.81% $0.19 0.13%
JPMorgan Chase & Co 50.97M Mar 31, 2026 3.97% $0.28 -4.93%
Capital Research Global Investors 41.93M Mar 31, 2026 3.27% $0.56 21.27%
Vanguard Portfolio Management, LLC 33.45M Mar 31, 2026 2.61% $0.15 0.00%
Geode Capital Management, LLC 28.74M Mar 31, 2026 2.24% $0.15 3.07%
Bank of America Corp 26.02M Mar 31, 2026 2.03% $0.16 5.44%
Massachusetts Financial Services Company 21.44M Mar 31, 2026 1.67% $0.89 2.34%
Morgan Stanley - Brokerage Accounts 20.72M Mar 31, 2026 1.61% $0.11 2.45%
Deutsche Bank AG 19.00M Mar 31, 2026 1.48% $0.54 7.07%
NORGES BANK 17.21M Dec 31, 2025 1.34% $0.18 4.73%
Amvescap Plc. 16.79M Mar 31, 2026 1.31% $0.22 3.42%
Capital World Investors 16.51M Mar 31, 2026 1.29% $0.20 134.62%
Bank of New York Mellon Corp 15.50M Mar 31, 2026 1.21% $0.25 -18.89%
Royal Bank of Canada 14.18M Mar 31, 2026 1.10% $0.22 1.37%
Franklin Resources Inc 14.18M Mar 31, 2026 1.10% $0.30 15.55%
Northern Trust Corp 12.04M Mar 31, 2026 0.94% $0.14 4.93%
Ameriprise Financial Inc 11.98M Mar 31, 2026 0.93% $0.24 -0.13%

Shares Statistics

Shares Outstanding: 1.28B
Shares Float: 1.28B
% Insiders: 30.50%
% Institutions: 8,943.10%
Short % Float: 1.31%

Fund Holdings

Rank Holder Name Shares Held % of Shares Change Date Reported
1 Vanguard Total Stock Mkt Idx Inv 40.91M 3.19% ▲ 0.33% Apr 30, 2026
2 Vanguard 500 Index Investor 33.24M 2.59% ▲ 1.83% Apr 30, 2026
3 iShares Core S&P 500 ETF 16.89M 1.32% ▲ 0.31% May 29, 2026
4 Fidelity 500 Index 16.43M 1.28% ▲ 0.35% Apr 30, 2026
5 State Street® SPDR® S&P 500® ETF 15.45M 1.20% ▲ 0.11% May 31, 2026
6 Vanguard Value Index Inv 11.90M 0.93% ▲ 0.29% Apr 30, 2026
7 American Funds Income Fund of Amer A 11.38M 0.89% ▲ 16.03% Mar 31, 2026
8 Capital Group American Mutual Comp 11.00M 0.86% ▲ 43.74% Mar 31, 2026
9 American Funds American Mutual A 11.00M 0.86% ▲ 43.74% Mar 31, 2026
10 Capital Group World Growth & Inc Cmp 9.88M 0.77% ▲ 14.78% Mar 31, 2026

Valuation Metrics

Enterprise Value: $122.66B
Trailing P/E: 21.50
Forward P/E: 13.44

Financial Highlights

Market Cap: $102.97B
EBITDA: $10.08B
P/E Ratio: $21.50
PEG Ratio: $1.58
Book Value: $38.17
Dividend/Share: $2.84
Dividend Yield: 3.54%
Earnings/Share: $3.73
Profit Margin: 13.20%
Operating Margin: 21.30%
ROA (TTM): 4.57%
ROE (TTM): 9.93%
Revenue (TTM): $36.36B
Revenue/Share (TTM): $28.37
Earnings Growth (YOY): 17.10%
Revenue Growth (YOY): 9.90%

Stock Price History

1 Year Price History

2 Years Price History

5 Years Price History

10 Years Price History

Financial Charts

Revenue & Net Income (Yearly)

Revenue & Net Income (Quarterly)

Operating Expenses (Yearly)

Operating Expenses (Quarterly)

Balance Sheet (Yearly)

Balance Sheet (Quarterly)

Assets Breakdown (Yearly)

Assets Breakdown (Quarterly)

Liabilities Breakdown (Yearly)

Liabilities Breakdown (Quarterly)

Earnings Per Share (EPS) History

Financial Ratios

Balance Sheet (Yearly)

Financial Ratios

Date Current Ratio Debt/Equity Debt/Assets Interest Coverage Debt/EBITDA
2026-04-30 N/A N/A N/A 9.04x 0.00x
2025-04-30 1.85x 0.59x 0.47x 8.17x 3.09x
2024-04-30 2.03x 0.50x 0.44x 7.15x 3.04x
2023-04-30 2.39x 0.47x 0.43x 8.62x 2.80x
2022-04-30 1.86x 0.46x 0.42x 10.40x 2.75x
2021-04-30 2.65x 0.51x 0.45x 4.85x 3.51x
2020-04-30 2.13x 0.49x 0.44x 4.39x 3.17x
2019-04-30 2.59x 0.51x 0.44x 4.34x 2.72x
2018-04-30 2.28x 0.51x 0.44x 5.79x 2.72x
2017-04-30 1.74x 0.66x 0.49x 4.92x 3.88x
2016-04-30 3.29x 0.60x 0.48x 3.87x 3.67x
2015-04-30 3.36x 0.68x 0.50x 5.65x 6.62x
2014-04-30 3.81x 0.61x 0.49x 10.06x 2.42x
2013-04-30 4.49x 0.57x 0.46x 11.35x 1.95x
2012-04-30 1.68x 0.62x 0.48x 12.85x 2.00x
2011-04-30 1.93x 0.62x 0.48x 9.91x 2.00x
2010-04-30 1.92x 0.65x 0.48x 11.91x 1.86x
2009-04-30 2.37x 0.56x 0.46x 9.34x 2.06x
2008-04-30 2.07x 0.60x 0.48x 14.32x 1.83x
2007-04-30 3.09x 0.55x 0.44x N/A 1.41x
2006-04-30 2.36x 0.84x 0.52x N/A 1.86x
2005-04-30 2.20x 0.23x 0.37x N/A 0.63x
2004-04-30 1.25x 0.26x 0.36x N/A 0.65x
2003-04-30 2.43x 0.30x 0.36x N/A 0.77x
2002-04-30 0.88x 0.39x 0.41x N/A 1.02x
2001-04-30 2.76x 0.03x 0.22x N/A 0.07x
2000-04-30 3.04x 0.07x 0.21x N/A 0.17x
1999-04-30 2.42x 0.06x 0.25x N/A 0.15x
1998-04-30 2.71x 0.06x 0.26x N/A 0.10x
1997-04-30 2.39x 0.06x 0.28x N/A 0.10x
1996-04-30 2.56x 0.03x 0.29x N/A 0.08x
1995-04-30 2.42x 0.03x 0.31x N/A 0.06x
1994-04-30 1.93x 0.06x 0.35x N/A 0.14x
1993-04-30 2.23x 0.11x 0.35x N/A 0.25x
1992-04-30 2.26x 0.10x 0.32x N/A 0.26x
1991-04-30 2.10x 0.13x 0.33x N/A 0.36x
1990-04-30 1.84x 0.16x 0.37x N/A 0.42x
1989-04-30 1.82x 0.15x 0.38x N/A 0.41x
1988-04-30 2.23x 0.13x 0.38x N/A 0.32x
1987-04-30 2.91x 0.08x 0.31x N/A 0.24x
1986-04-30 2.67x 0.10x 0.34x N/A 0.36x

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