INTERNATIONAL PAPER COIP

Market cap
$19.9B
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 (loss)6651,3557991,3785369179022,1442,0171,2204821,7541,504288557
Depreciation and amortization-------------1,4321,305
Deferred Income Tax Expense (Benefit)422317204146-----2129-309-773-156-473
Other Restructuring Costs-----------5098999221
Periodic pension (income) expense, net-------------941
Net (gains) losses on mark to market investments------------3265--
Net (gains) losses on sales and impairments of businesses-----------358-76--
Net (gains) losses on sales and impairments of equity method investments------------205-543-153-
Net (gains) losses on sales of fixed assets--------488--86--58
Equity method dividends received----------16215920413-
Equity (earnings) losses, net------------291108-5
Other, net--169-47-167-153-157-212-75-120-219-157-108-20-130
Accounts and notes receivable327128-37713497-794370342-246-5959659-255-59
Contract assets--------32-2-3549103-48-36
Inventories1865628114103131-1187-2361-35263162-73-12
Accounts payable and other liabilities-52-389-273-110-18-8998114151139141519110-402-140
Interest payable3630-57-18-17411-8-19-55-3241-1916
Other-104-622271-78-8-15602825-1095-28-43-7
CASH PROVIDED BY (USED FOR) OPERATING ACTIVITIES1,6312,6752,9673,0283,0772,5802,4781,7573,2263,6103,0632,0302,1741,8331,678
Invested in capital projects-------------1,141921
Proceeds from Sale of Equity Method Investments----------500908-472-
Proceeds from exchange of equity securities------------311--
Proceeds from insurance recoveries--------------25
Proceeds from sale of fixed assets---65613719262318810113491
Other-93-2680-84-3411449-15-282013133
CASH PROVIDED BY (USED FOR) INVESTMENT ACTIVITIES-834-1,487-4,858-827-860-1,739-3,498-1,391-1,569-1,300-2696,054-608-668-808
Repurchases of common stock and payments of restricted stock tax withholding2630355121,06260513247732535428391,28421823
Issuance of debt1931,7662,1322411,9826,8733,8301,9074905345831,5121,011783102
Reduction of debt5765172,4888452,0956,9471,9381,4241,0081,5072,2782,5091,017780141
Change in book overdrafts38-2911-12330-14-26-1-6635651-8-69
Dividends paid175427476554620685733769789796806780673642643
Net debt tender premiums paid----------18845689--
Other-42-21-47-43-4-14-14-8--1-4-18-3-1-1
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES-588742-795-1,688-2,086-1,601982-399-2,046-2,389-2,700-7,375-2,054-866-775
Effect of Exchange Rate Changes on Cash-------------310-38
Change in Cash and Temporary Investments----------84700-49130957