EMERSON ELECTRIC COEMR

Market cap
$59.2B
P/E ratio
Sep 30,
2010
Sep 30,
2012
Sep 30,
2013
Sep 30,
2014
Sep 30,
2015
Sep 30,
2016
Sep 30,
2017
Sep 30,
2018
Sep 30,
2019
Sep 30,
2020
Sep 30,
2021
Sep 30,
2022
Sep 30,
2023
Net earnings2,2172,0242,0662,1842,7331,6641,5502,2242,3281,9902,3273,23013,200
Earnings from discontinued operations, net of tax------------11,073
Depreciation and amortization8168238198318155686367588228549691,0391,051
Stock compensation--------120110224144250
Pension expense (income)-------------71
Pension funding-247-163160130536645616066414343
Changes in operating working capital309-340-42-114142-93-16083150-148-203515190
Gain on subordinated interest------------161
Other, net-18138618521128526454-56-20-1354-237
Cash from continuing operations-----2,4992,6902,8923,006---2,726
Cash from discontinued operations-----382-778------2,089
Cash provided by operating activities3,2923,0533,6493,6922,5292,8811,9122,8923,0063,0833,5752,922637
Capital expenditures524665678767685447476617594538581531363
Purchases of businesses, net of cash and equivalents acquired2,843187196103241322,9902,2034691261,6115,702705
Divestitures of businesses84612533631,812--------
Proceeds from subordinated interest------------176
Proceeds from related party note receivable------------918
Other, net-47995145212-3010610112576-38140141
Cash from continuing operations------549-3,533-2,720-1,174----115
Cash from discontinued operations------775,047-----12,530
Cash provided by (used in) investing activities-2,517-806-789-1,159591-6261,514-2,720-1,174-740-2,120-5,33412,415
Net increase (decrease) in short-term borrowings------34-1,635343-6-90-5041,241-1,578
Proceeds from short-term borrowings greater than three months---2,9522,5151,264---1,043711,162395
Payments of short-term borrowings greater than three months---2,5103,2861,17490--1,043711,165400
Proceeds from long-term debt598449611,000---1,6912,233-2,975-
Payments of long-term debt680262521329504254254241656503308522741
Dividends paid-1,1711,1811,2101,2691,2271,2391,2291,2091,2091,2101,2231,198
Purchases of common stock1007971,1101,0482,5016014001,0001,2509425005002,000
AspenTech purchases of common stock------------214
Payment of related party note payable------------918
Other, net67-219-21-19-19273539210080-169
Cash provided by (used in) financing activities-726-1,899-1,933-2,559-2,948-2,045-3,591-2,092-1,391-509-2,4222,048-6,823
Effect of exchange rate changes on cash and equivalents------------18618
Increase (Decrease) in cash and equivalents---------1,821-961-5506,247
Receivables-341-53684263-304-16225189-51-207165214191
Inventories-160-49-8313216-58-32-17876126469160
Other current assets-1932-591014122887-3399651
Accounts payable-498-14314294-287-22135115-37-196370122-17
Accrued expenses-298-916412132-57741710110223111179
Changes in operating working capital309-340-42-114142-93-16083150-148-203515190