EASTMAN CHEMICAL COEMN

Market cap
$6.8B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net earnings--4441,1727578548591,3881,084762489867796896908
Depreciation and amortization280273360433450571580587604611574538477498509
Mark-to-market pension and other postretirement benefit plans (gain) loss, net----383-304-115-9721-99-143-240267-19-5354
Asset impairment charges8-46285210791397214616--5
Early debt extinguishment costs-115------85--7--1-1---
(Gain) loss on sale of assets------17------1515-
(Gain) loss on divested businesses------------552-43323-
Benefit from deferred income taxes59114833199107177-394-5123-111-38-136-102-52
(Increase) decrease in trade receivables-35873-4838-19-1142953-16-17031281-93-126-28
(Increase) decrease in inventories-160156-3866126-547122480-291389430-201344
Increase (decrease) in trade payables152-5110-2-30-102712390-27-10055460-190188
Pension and other postretirement contributions (in excess of) less than expenses---1501491652593291151521191361851496651
Variable compensation payments (in excess of) less than expenses---26-82-27-71-17-71-55-38-87-162103-142-99
Other items, net----171-3960-12514445-8958929015451
Net cash provided by operating activities5756251,1281,2971,4081,6121,3851,6571,5431,5041,4551,6199751,3741,287
Additions to properties and equipment243457465483593652626649528425383555611828599
Government incentives--------------9
Proceeds from sale of businesses---3113441145--66799845638
Acquisitions, net of cash acquired--2,669-3,509452643481114177-
Additions to capitalized software-----------23135-
Other items, net15-2930--1-44427104-19-22-18
Net cash (used in) provided by investing activities-442-142-2,962-457-4,091-693-655-643-463-480-394-29392-432-534
Proceeds from (Repayments of) Short-Term Debt21-1425-190195-150-19-146-70-121-50326-326-
Proceeds from borrowings496-3,5111503,5652501,8486751,604460249-5007961,237
Repayment of borrowings62021,8661,1051259502,1261,0251,7747604353007508081,039
Dividends paid to stockholders127136192140210238272296318343358375381376379
Treasury stock purchases280316-238410103145350400325601,0001,002150300
Other items, net---------2-52135-14-2427
Net cash used in financing activities-411-4231,504-8592,664-832-838-1,006-1,040-1,043-704-1,690-1,321-888-454
Effect of exchange rate changes on cash and cash equivalents-------------121-10
Net change in cash and cash equivalents------------3455289