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FY'25FY'24FY'23FY'22
$66.89M+12.7%$59.36M-15.0%$69.81M-27.3%$95.97M-2.6%
$778.24M+13.3%$687.11M+3.5%$663.89M-6.4%$709.32M+9.6%
$387.23M+13.1%$342.27M-11.3%$385.87M-12.6%$441.69M+6.5%
$171.6M+6.3%$161.42M-10.5%$180.35M-18.8%$222.17M+20.3%
$77.15M+11.0%$69.49M-14.4%$81.18M+4.3%$77.85M+2.4%
$138.48M+24.3%$111.37M-10.4%$124.33M-12.2%$141.68M-7.9%
$130.31M+23.9%$105.16M-5.0%$110.64M-13.6%$128.11M+17.6%
$3.2M-65.2%$9.2M+10.8%$8.3M-27.8%$11.5M+91.7%
$1.36B+14.1%$1.19B-3.0%$1.23B-10.5%$1.38B+8.3%
$845.64M+9.8%$770.28M-4.1%$803.37M+3.2%$778.6M-2.6%
$739.23M+10.5%$668.91M-0.2%$670.11M+1.5%$660.17M+1.8%
$278.91M+8.5%$257.14M-9.9%$285.43M-6.7%$306.05M-0.5%
$151.78M+46.0%$103.95M-4.3%$108.68M-2.4%$111.36M+78.9%
$444.83M+41.1%$315.17M-6.0%$335.24M-2.9%$345.4M+31.6%
$3.71B+14.6%$3.24B-3.4%$3.36B-3.9%$3.49B+5.0%
$266.63M+23.5%$215.84M+2.6%$210.41M-16.7%$252.54M-7.5%
$199.52M+8.1%$184.53M+15.1%$160.31M-19.9%$200.03M-15.3%
$229.38M+12.3%$204.17M+1.1%$202.02M+4.8%$192.76M+0.1%
$2.82M+281%$741K
$229.38M+12.3%$204.17M+1.1%$202.02M+4.8%$192.76M+0.1%
$201.18M+4.1%$193.33M-12.1%$219.98M+15.1%$191.1M+41.8%
$1.2B+2.6%$1.17B-1.1%$1.18B+2.9%$1.15B+0.1%
$2.09B+14.0%$1.83B-3.0%$1.89B-1.0%$1.91B+20.7%
$16.33M
$13.51M+150%$5.41M
$298.14M+13.2%$263.48M-19.5%$327.11M+9.0%$300.03M-18.0%
$3.74B+11.0%$3.37B-4.0%$3.51B+1.1%$3.47B+9.9%
$0$0$0$0
125M+27,802%448K0.0%448K0.0%448K0.0%
$936.28M+4.4%$897.03M+3.0%$871.11M+2.4%$850.37M+3.0%
$9.24B+10.4%$8.37B+11.5%$7.51B+11.7%$6.73B+14.8%
-$359.16M-3.8%-$345.86M-8.1%-$319.82M-40.7%-$227.23M+11.0%
$9.84B+8.7%$9.05B+10.2%$8.21B+12.1%$7.33B+17.0%
-$23.64M+81.4%-$126.89M+15.4%-$149.94M-705%$24.79M-85.5%
$3.71B+14.6%$3.24B-3.4%$3.36B-3.9%$3.49B+5.0%
$20.1M-10.4%$22.43M0.0%$22.43M+1.1%$22.18M0.0%
$20.1M-10.4%$22.43M0.0%$22.43M+1.1%$22.18M0.0%
$171.6M+6.3%$161.42M-10.5%$180.35M-18.8%$222.17M+20.3%
$444.83M+41.1%$315.17M-6.0%$335.24M-2.9%$345.4M+31.6%
$41.38M+19.6%$34.59M+10.9%$31.2M+15.2%$27.08M-31.4%
$278.91M+8.5%$257.14M-9.9%$285.43M-6.7%$306.05M-0.5%
$444.83M+41.1%$315.17M-6.0%$335.24M-2.9%$345.4M+31.6%
$278.91M+8.5%$257.14M-9.9%$285.43M-6.7%$306.05M-0.5%
$444.83M+41.1%$315.17M-6.0%$335.24M-2.9%$345.4M+31.6%
$199.52M+8.1%$184.53M+15.1%$160.31M-19.9%$200.03M-15.3%
$237.48M+26.5%$187.7M-4.3%$196.14M-4.4%$205.25M-1.7%
$237.48M+26.5%$187.7M-4.3%$196.14M-4.4%$205.25M-1.7%
$199.52M+8.1%$184.53M+15.1%$160.31M-19.9%$200.03M-15.3%
$63.93M-65.0%$182.62M-5.0%$192.22M+81.2%$106.05M+4.9%
$37.4M+340%$8.5M-66.3%$25.2M+367%$5.4M-47.6%
-$2.74M+30.2%-$3.92M-3,367%$120K-97.2%$4.26M+212,700%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
44.8M0.0%44.8M0.0%44.8M0.0%44.8M0.0%
10M0.0%10M0.0%10M0.0%10M0.0%
$936.28M+4.4%$897.03M+3.0%$871.11M+2.4%$850.37M+3.0%
$448K0.0%$448K0.0%$448K0.0%$448K0.0%
$0$0$0$0
$9.84B+8.7%$9.05B+10.2%$8.21B+12.1%$7.33B+17.0%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
-$2.74M+30.2%-$3.92M-3,367%$120K-97.2%$4.26M+212,700%
$37.4M+340%$8.5M-66.3%$25.2M+367%$5.4M-47.6%
$20.1M-10.4%$22.43M0.0%$22.43M+1.1%$22.18M0.0%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$125M0.0%$125M0.0%$125M0.0%$125M0.0%
$44.79M0.0%$44.79M0.0%$44.79M0.0%$44.79M0.0%
$21.53M-2.8%$22.14M0.0%$22.14M-3.1%$22.84M0.0%
$229.38M+12.3%$204.17M+1.1%$202.02M+4.8%$192.76M+0.1%
$151.78M+46.0%$103.95M-4.3%$108.68M-2.4%$111.36M+78.9%
$37.4M+340%$8.5M-66.3%$25.2M+367%$5.4M-47.6%
$2.82M+281%$741K
$243.12M+15.0%$211.37M+8.2%$195.44M+16.7%$167.48M+15.1%
$522.03M+11.4%$468.52M-2.6%$480.87M+1.5%$473.53M+4.5%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$10M0.0%$10M0.0%$10M0.0%$10M0.0%
$23.26M+2.7%$22.65M0.0%$22.65M+3.2%$21.94M
$32.3M-0.9%$32.6M-8.7%$35.7M+22.3%$29.2M-9.0%

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Questions, answered.

What are Mettler-Toledo International, Inc.'s total assets?
Mettler-Toledo International, Inc. (MTD) holds $3.7B in total assets, up 13.4% year over year.
How much debt does Mettler-Toledo International, Inc. have?
Mettler-Toledo International, Inc. carries $2.2B in total debt against -$41.9M of shareholders' equity, a debt-to-equity ratio of 81.66.
How much cash does Mettler-Toledo International, Inc. have?
Mettler-Toledo International, Inc. holds $60.6M in cash and equivalents.
Can Mettler-Toledo International, Inc. cover its short-term obligations?
Its current ratio is 1.20 — current assets exceed current liabilities.
Where does Mettler-Toledo International, Inc.'s balance sheet data come from?
Every line is extracted from Mettler-Toledo International, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.