3M COMMM

Market cap
$90.5B
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 income (loss) including noncontrolling interest4,1634,3574,5114,7214,9984,8415,0584,8695,3634,5825,3885,9295,791-6,9794,188
Depreciation and amortization1,1201,2361,2881,3711,4081,4351,4741,5441,4881,5931,9111,9151,8311,9871,363
Long-lived and indefinite-lived asset impairment expense------------618--
Goodwill, Impairment Loss------------271--
Company pension and postretirement contributions-------967370210156180158152154
Company pension and postretirement expense-------3334103574062061781451,035
Stock-based compensation expense274253223240280276298324302278262274263274289
Gain on business divestitures-------586547114389-2,72436-
Deferred income taxes-17017733-167-1463957107-57-273-165-166-663-3,855321
Accounts receivable-----------122105170-114
Inventories40419625186113-3-57387509-37091903629-567-41
Accounts payable146-83721675914824408-11725251811113846
Increase (Decrease) in Income Taxes Payable255-4590206206-744101967134205132-244-47-218-272
Other — net-279139-57167-177-12836-257-120111-398-227-854-14,9795,152
Net cash provided by (used in) operating activities5,174------6,2406,4397,0708,1137,4545,5916,6801,819
Purchases of property, plant and equipment (PP&E)1,0911,3791,4841,6651,4931,4611,4201,3731,5771,6991,5011,6031,7491,6151,181
Proceeds from Sale of Productive Assets2555411281353358492621231285120011961
Purchases of marketable securities and investments3,2874,1625,4924,0401,2806521,4102,1521,8281,6351,5792,2021,2501,4664,153
Proceeds from Sale, Maturity and Collection of Investments------1,2471,3542,4971,4431,8112,4061,2611,6602,074
Proceeds from Divestiture of Businesses---8-1231421,065846236576-1360-
Cash Proceeds From Split-Off Transaction, Net Of Cash Divested------------478--
Other — net66--14-46-102-10246-9-72-10-31-1-357
Net cash provided by (used in) investing activities-2,689-------3,086222-6,444-580-1,317-1,046-1,207-3,206
Change in short-term debt — net-2411-36-227860-797578-284-316-143-2340205-205
Repayment of debt (maturities greater than 90 days)-1,4296128591,6258009929621,0342,7163,4821,1441,1793,0862,656
Proceeds from debt (maturities greater than 90 days)------2,8321,9872,2516,2811,750112,8358,367
Purchases of treasury stock8542,7012,2045,2125,6525,2383,7532,0684,8701,4073682,1991,464331,801
Proceeds from Sale of Treasury Stock6669021,0121,60996863580473448554742963938126492
Dividends paid to shareholders1,5001,5551,6351,7302,2162,5612,6782,8033,1933,3163,3883,4203,3693,3111,982
Cash transferred to Solventum related to separation, net--------------621
Other — net-14-67-1532-19-120-42-121-56-197-98-20-60-21-96
Net cash provided by (used in) financing activities-2,121-------2,655-6,701-1,124-5,300-6,145-5,350-3,1471,098
Effect of exchange rate changes on cash and cash equivalents------------62-104-48-44
Net increase (decrease) in cash and cash equivalents-------655-200-5002,281-70-9092,278-333