OLIN CorpOLN

Market cap
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
Net income65242150179106-1-4550328-11-9701,2971,327452
Goodwill impairment----------700---
Depreciation and amortization8799111135139229534559601597568583599533
Gains on disposition of property, plant and equipment-1620125-13-2--11327
Stock-based compensation7669588912111481419
Loss on debt extinguishment------------152--
Depreciation and amortization8799111135139229534559601597568583599533
Write-off of equipment and facility included in restructuring charges--------------18
Deferred income taxes--93-42-12-31-633453-364618433256
Qualified pension plan contributions-1011111723152111
Qualified pension plan income-----------11-28-33-21
Receivables-426-1-19-26115-385046-120360-161-65
Income taxes receivable/payable-----------11105-346
Inventories-3217-18-9242-243836-13-2920686-94
Other current assets-2-10-1-231-2112-0-72522-163
Accounts payable and accrued liabilities1416-11-38185-13100-14-11149240-22-134
Other assets20-0-1-5-384-6311913323
Other noncurrent liabilities-226-18-14-33-32-12-64311326-116
Other operating activities-02--03-5-3-66-2-3-4-4
Net operating activities1162162793171592176036499086174181,7411,922974
Capital expenditures852012569172131278294385386299201237236
LongtermEthyleneSupplyContractPayment----------461---
Payments to Acquire Businesses, Net of Cash Acquired-123310--40870------64
Payments under other long-term supply contracts----------76-3865
Proceeds from Sale of Property, Plant, and Equipment3895626153--31529
Net investing activities-160-260-512-44-62-504-473-498-382-366-836-197-260-341
Other investing activities-1-103-0--------5
Net investing activities-160-260-512-44-62-504-473-498-382-366-836-197-260-341
Borrowings----1501,2752302,0365708251,828540415708
Repayments----1627314352,0389467441,3071,643616622
Debt early redemption premiums-----------138--
Common stock repurchased and retired-433665---50146-2521,351711
Stock options exercised381972130322722625
Dividends paid636464646380132133134129126128116101
Debt issuance costs-----451119171044-
Net financing activities44-11094-131-148422-337-117-565-209386-1,552-1,647-657
Proceeds from Noncontrolling Interests-------------44
Net financing activities44-11094-131-148422-337-117-565-209386-1,552-1,647-657
Effect of exchange rate changes on cash and cash equivalents-------------2-0
Net (decrease) increase in cash and cash equivalents-----------31-914-24
Interest, net25-2522373732201201209198286345142177
Income Taxes Paid, Net-6-412861495-3185336-10170357112