TransMedics Reports Third Quarter 2025 Financial Results
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Recent Highlights
-
Total revenue of
$143.8 million in the third quarter of 2025, a 32% increase compared to the third quarter of 2024 -
Generated net income of
$24.3 million or$0.66 per diluted share in the third quarter of 2025 -
Owned 21 aircraft as of September 30, 2025; own 22 aircraft as of
October 29, 2025 -
Announced strategic collaboration with Mercedes-Benz Group AG to deploy first-of-its-kind fleet of modern Mercedes-Benz V-Class vehicles dedicated exclusively to organ transportation across
Italy
"
Overall, we are very pleased with our third quarter performance and the significant progress our team
is
making
across multiple growth initiatives
in the
Third Quarter 2025 Financial Results
Total revenue for the third quarter of 2025 was
Gross margin for the third quarter of 2025 was 59%, compared to 56% in the third quarter of 2024.
Operating expenses for the third quarter of 2025 were
Net income for the third quarter of 2025 was
Cash was
2025 Financial Outlook
TransMedics is raising the midpoint and narrowing the range of its full year 2025 revenue guidance to
Webcast and Conference Call Details
The TransMedics management team will host a conference call beginning at 4:30 p.m. ET / 1:30 p.m. PT on Wednesday, October 29, 2025. Investors interested in listening to the conference call may do so by dialing (844) 676-6010 for domestic callers or (412) 634-6944 for international callers and ask to be joined into the TransMedics call. A live and archived webcast of the event and the company's slide presentation with information on third quarter 2025 financial results will be available on the "Investors" section of the TransMedics website at www.transmedics.com.
About TransMedics Group, Inc.
TransMedics is the world's leader in portable extracorporeal warm perfusion and assessment of donor organs for transplantation. Headquartered in
Forward-Looking Statements
This press release contains forward-looking statements. These forward-looking statements address various matters, including, among other things, future results and events, including financial guidance and projected estimates, growth initiatives for our business both in the
Investor Contact:
Gilmartin Group
332-895-3222
[email protected]
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TransMedics Group, Inc.
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Three Months Ended |
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Nine Months Ended |
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2025 |
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2024 |
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2025 |
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2024 |
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Revenue: |
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Net product revenue |
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$ |
87,677 |
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$ |
65,861 |
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$ |
272,011 |
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$ |
198,918 |
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Service revenue |
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56,146 |
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42,900 |
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172,719 |
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120,998 |
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Total revenue |
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143,823 |
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108,761 |
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444,730 |
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319,916 |
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Cost of revenue: |
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Cost of net product revenue |
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18,687 |
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13,246 |
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54,420 |
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41,800 |
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Cost of service revenue |
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40,561 |
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34,670 |
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120,918 |
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88,048 |
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Total cost of revenue |
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59,248 |
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47,916 |
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175,338 |
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129,848 |
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Gross profit |
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84,575 |
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60,845 |
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269,392 |
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190,068 |
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Gross margin |
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59 |
% |
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56 |
% |
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61 |
% |
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59 |
% |
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Operating expenses: |
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Research, development and clinical trials |
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15,260 |
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14,266 |
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48,354 |
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39,504 |
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Selling, general and administrative |
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46,015 |
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42,656 |
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133,728 |
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121,712 |
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Total operating expenses |
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61,275 |
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56,922 |
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182,082 |
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161,216 |
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Income from operations |
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23,300 |
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3,923 |
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87,310 |
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28,852 |
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Other income (expense): |
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Interest expense |
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(3,491) |
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(3,617) |
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(10,428) |
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(10,838) |
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Interest income and other income (expense), net |
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3,222 |
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3,939 |
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9,007 |
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10,777 |
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Total other income (expense), net |
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(269) |
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322 |
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(1,421) |
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(61) |
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Income before income taxes |
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23,031 |
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4,245 |
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85,889 |
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28,791 |
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(Provision) benefit for income taxes |
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1,288 |
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(29) |
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(981) |
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(184) |
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Net income |
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$ |
24,319 |
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$ |
4,216 |
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$ |
84,908 |
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$ |
28,607 |
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Net income per share: |
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Basic |
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$ |
0.71 |
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$ |
0.13 |
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$ |
2.50 |
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$ |
0.86 |
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Diluted |
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$ |
0.66 |
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$ |
0.12 |
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$ |
2.28 |
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$ |
0.81 |
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Weighted average common shares outstanding: |
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Basic |
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34,112,452 |
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33,441,394 |
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33,917,006 |
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33,108,253 |
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Diluted |
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40,748,023 |
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35,683,952 |
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40,410,208 |
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35,218,756 |
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TransMedics Group, Inc.
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Assets |
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Current assets: |
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Cash |
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$ |
466,174 |
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$ |
336,650 |
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Accounts receivable |
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80,702 |
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|
97,722 |
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Inventory |
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44,506 |
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46,554 |
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Prepaid expenses and other current assets |
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21,614 |
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16,290 |
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Total current assets |
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612,996 |
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497,216 |
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Property, plant and equipment, net |
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313,022 |
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285,970 |
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Operating lease right-of-use assets |
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5,740 |
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6,481 |
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Restricted cash |
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500 |
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500 |
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Goodwill |
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11,549 |
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11,549 |
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Acquired intangible assets, net |
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1,999 |
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2,152 |
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Other non-current assets |
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226 |
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|
208 |
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Total assets |
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$ |
946,032 |
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$ |
804,076 |
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Liabilities and Stockholders' Equity |
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Current liabilities: |
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Accounts payable |
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$ |
12,162 |
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$ |
10,292 |
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Accrued expenses and other current liabilities |
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56,016 |
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45,152 |
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Current portion of long-term debt |
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5,000 |
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— |
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Deferred revenue |
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3,305 |
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1,742 |
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Operating lease liabilities |
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3,238 |
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2,727 |
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Total current liabilities |
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79,721 |
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59,913 |
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Convertible senior notes, net |
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452,082 |
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449,939 |
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Long-term debt, net |
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54,603 |
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|
59,372 |
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Operating lease liabilities, net of current portion |
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4,426 |
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|
6,249 |
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Total liabilities |
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590,832 |
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|
575,473 |
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Total stockholders' equity |
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355,200 |
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|
228,603 |
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Total liabilities and stockholders' equity |
|
$ |
946,032 |
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$ |
804,076 |
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View original content to download multimedia:https://www.prnewswire.com/news-releases/transmedics-reports-third-quarter-2025-financial-results-302598840.html
SOURCE TransMedics Group, Inc.
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