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Icon (ICLR) Total Assets (2007 - 2025)

Icon (ICLR) total assets from Dec 31, 2007 to Dec 31, 2025. The current Icon (ICLR) total assets is $16B. You can adjust inflation or export chart.

All data is split-adjusted. You can find the most accurate data from the reports on the SEC official website. We recommend verify information using official company filings before making investment decisions.

Total Assets

Total Assets

Icon (ICLR) Total Assets CAGR table

PeriodCAGR
1 Year-2.19%
3 Years-1.81%
5 Years+36.48%
10 Years+25.21%

Annual Total Assets change of Icon (ICLR)

YearTotal AssetsChange
2025$16B
-2.19%
2024$17B
-1.36%
2023$17B
-1.86%
2022$17B
-1.16%
2021$17B
+406.08%
2020$3.44B
+18.16%
2019$2.91B
+23.50%
2018$2.35B
N/A
2018$0
-100.00%
2017$2.15B
+17.57%
2016$1.83B
+6.33%
2015$1.72B
+12.32%
2014$1.53B
+5.99%
2013$1.44B
+19.99%
2012$1.20B
+16.99%
2011$1.03B
+8.21%
2010$950M
+4.53%
2009$908M
N/A
2008$0
N/A
2007$0
N/A

Comparison Icon (ICLR) total assets with competitors

Icon (ICLR) total assets is $16.27B.

TickerNameTotal AssetsUpside
TMOThermo Fisher Scientific Inc$113.28B+596.27%
DHRDanaher Corp$83.54B+413.49%
IQVIQVIA Holdings Inc$29.68B+82.39%
WATWaters Corp$24.53B+50.78%
LHLaboratory Corp Of America Holdings$19.09B+17.32%
DGXQuest Diagnostics Inc$16.67B+2.48%
AAgilent Technologies Inc$12.81B-21.25%
RVTYRevvity Inc$12.00B-26.26%
CRLCharles River Laboratories International Inc$7.73B-52.49%
ILMNIllumina Inc$6.56B-59.69%
QGENQiagen NV$6.28B-61.39%
EXASExact Sciences Corp$5.86B-63.98%
RDNTRadnet Inc$3.89B-76.12%
MTDMettler-Toledo International Inc$3.67B-77.45%
SHCSotera Health Company$3.24B-80.11%
GRALGRAIL Inc$2.80B-82.77%
NTRANatera Inc$2.61B-83.93%
MEDPMedpace Holdings Inc$2.13B-86.91%
GHGuardant Health Inc$1.92B-88.23%
OPKOpko Health Inc$1.86B-88.59%
VCYTVeracyte Inc$1.44B-91.17%
NEONeogenomics Inc$1.36B-91.64%
FLGTFulgent Genetics Inc$1.16B-92.89%
BNRBurning Rock Biotech Ltd$885.30M-94.56%
NOTVInotiv Inc$702.42M-95.68%
BLLNBilliontoone Inc - Class A$700.73M-95.69%
TWSTTwist Bioscience Corp$676.21M-95.84%
MYGNMyriad Genetics Inc$673.70M-95.86%
CSTLCastle Biosciences Inc$547.80M-96.63%
WGSGeneDx Holdings Corp - Class A$506.30M-96.89%
ADPTAdaptive Biotechnologies Corp$505.94M-96.89%
CDNACaredx Inc$411.06M-97.47%
PSNLPersonalis Inc$325.39M-98.00%
FONRFonar Corp$219.22M-98.65%
PREPrenetics Global Ltd - Class A$203.52M-98.75%
MDXHMDxHealth SA$147.95M-99.09%
BDSXBiodesix Inc$94.64M-99.42%
PRPHProPhase Labs Inc$65.70M-99.60%
XGNExagen Inc$51.96M-99.68%
IMDXInsight Molecular Diagnostics Inc$40.43M-99.75%
XWELXWELL Inc$24.99M-99.85%
PRPOPrecipio Inc$20.80M-99.87%
ADVBAdvanced Biomed Inc$10.65M-99.93%
APDNApplied Dna Sciences Inc$9.93M-99.94%
ISPCiSpecimen Inc$9.53M-99.94%
BIAFBioAffinity Technologies Inc$7.95M-99.95%
MYNZMainz Biomed N.V.$7.72M-99.95%
MBAICheckCap Ltd$7.49M-99.95%
NDRAENDRA Life Sciences Inc$3.44M-99.98%
CHEKCheck-Cap Ltd$377000.00-100.00%