DV
Dividend Vision

LIVN — LivaNova PLC

LivaNova PLC (LIVN)

Total return is 585.2% over the past 33.5 years, 2462.3 points behind SPY at 3047.5%. Its deepest 1-year drawdown was 18.9%.

LivaNova PLC is a single-stock equity holding in a medical devices and cardiac surgery company rather than a diversified ETF fund. As a direct stock investment, it does not have a stated dividend distribution rate, expense ratio, or fund-level characteristics typical of ETFs. This holding appeals primarily to investors seeking direct exposure to the healthcare/medical device sector rather than those pursuing a dividend income strategy.

LIVN key facts

Asset type
Stock
Asset class
Equity
Inception date
02/11/1993
Distribution frequency
None
Last close
$82.22
Market cap
$4,516,635,648
Average volume
559400.0
Beta
0.872
Payout ratio
0.0
P/E ratio
24.2537
Forward P/E
17.0648
EPS
$3.39