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Envista Holdings Corporation  (NVST)
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Envista Holdings's Quick Ratio

NVST's quarterly Quick Ratio and Cash & cash equivalent, Current Liabilities growth




NVST Quick Ratio (Apr 03 2020)
I. Quarter
(Dec 31 2019)
IV. Quarter
(Sep 27 2019)
III. Quarter


Y / Y Current Liabilities Change - - - - -
Y / Y Cash & cash equivalent Change - - - - -
Quick Ratio MRQ 0.58 0.3 0.25 - -
Overall Ranking # # # # #
Seq. Current Liabilities Change -14.14 % -6.77 % - - -
Seq. Cash & cash equivalent Change 67.42 % 9.32 % - - -



Quick Ratio first quarter 2020 Comment
Envista Holdings's Cash & cash equivalent grew by 67.42 % in I. Quarter sequntially, while Current Liabilities decreased, this led to improvement in Envista Holdings's Quick Ratio to 0.58, Quick Ratio remained below Envista Holdings Corporation average.

Within Medical Equipment & Supplies industry 105 other companies have achieved higher Quick Ratio than Envista Holdings in first quarter 2020. While total ranking remained unchanged compare to previous quarter at no. .

Explain Quick Ratio?
What are NVST Segments?
See Quick Ratio NVST on the trailing twelve month basis
Quick Ratio first quarter 2020 Company Ranking
Within: No.
Medical Equipment & Supplies Industry # 106
Healthcare Sector # 537
Overall Market # 1722


Quick Ratio Statistics
High Average Low
0.58 0.38 0.25
(Apr 03 2020)   (Sep 27 2019)




Financial Statements
Envista Holdings's Current Liabilities $ 609 Millions Visit NVST's Balance sheet
Envista Holdings's Cash & cash equivalent $ 354 Millions Visit NVST's Balance sheet
Source of NVST's Sales Visit NVST's Sales by Geography




Companies with similar Quick Ratio in the quarter endingApr 03 2020, within Medical Equipment & Supplies Industry Quick RatioApr 03 2020 MRQ Cash & cash equivalentApr 03 2020 MRQ Current Liabilities
Cryolife Inc   1.46 $ 63.877  Millions$ 43.685  Millions
Iridex Corp  1.42 $ 11.139  Millions$ 7.835  Millions
Isoray Inc   1.38 $ 2.405  Millions$ 1.744  Millions
Baxter International Inc   1.35 $ 4,110.000  Millions$ 3,036.000  Millions
Conformis Inc  1.35 $ 21.518  Millions$ 15.975  Millions
Vbi Vaccines Inc  1.23 $ 35.803  Millions$ 29.133  Millions
Inspiremd Inc   1.21 $ 3.141  Millions$ 2.603  Millions
Smiledirectclub Inc   1.19 $ 224.434  Millions$ 188.817  Millions
Icad Inc  1.09 $ 14.256  Millions$ 13.033  Millions
Plus Therapeutics Inc   1.08 $ 16.061  Millions$ 14.852  Millions
Edwards Lifesciences Corporation  1.07 $ 1,031.100  Millions$ 961.300  Millions
Retractable Technologies Inc  1.05 $ 7.605  Millions$ 7.222  Millions
Teleflex Incorporated  1.01 $ 406.477  Millions$ 402.300  Millions
Avanos Medical Inc   0.99 $ 187.700  Millions$ 189.400  Millions
Neurometrix Inc   0.98 $ 2.816  Millions$ 2.882  Millions
West Pharmaceutical Services Inc   0.97 $ 335.300  Millions$ 344.400  Millions
Stryker Corp  0.97 $ 4,048.000  Millions$ 4,162.000  Millions
National Vision Holdings Inc   0.92 $ 263.154  Millions$ 287.465  Millions
Medpace Holdings inc   0.90 $ 133.999  Millions$ 149.089  Millions
Orthofix Medical Inc   0.88 $ 58.268  Millions$ 65.961  Millions
Zomedica Pharmaceuticals Corp   0.83 $ 1.497  Millions$ 1.802  Millions
Biostage Inc   0.80 $ 0.806  Millions$ 1.009  Millions
Natus Medical Inc  0.78 $ 107.016  Millions$ 136.362  Millions
Alphatec Holdings Inc   0.74 $ 27.466  Millions$ 36.887  Millions
Avinger Inc  0.68 $ 9.862  Millions$ 14.461  Millions
Nuvasive Inc  0.65 $ 511.976  Millions$ 782.136  Millions
Zimmer Biomet Holdings Inc   0.64 $ 2,433.600  Millions$ 3,779.600  Millions
Resmed Inc   0.64 $ 352.861  Millions$ 551.519  Millions
Steris Plc  0.63 $ 319.581  Millions$ 503.607  Millions
T2 Biosystems Inc   0.63 $ 36.323  Millions$ 57.429  Millions


       
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