INTERNATIONAL PAPER COIP

時価総額
$198.9億
PER
持続可能な包装・紙パルプ事業の世界最大手。容器紙や紙パルプ製品、森林管理を基盤とした包装ソリューションを展開。2025年1月31日にDS Smithを約99億ドルで買収、2024年にGrassroots Innovation Award受賞、Ethisphereで18年連続選出。米州・欧州を中心にグローバル展開。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and temporary investments2,0733,9941,3021,8021,8811,0501,0331,0185895115951,2958041,1131,170
Accounts and notes receivable (less allowances of $30 in 2024 and $34 in 2023)3,0393,4863,5623,7563,0832,6753,0013,2873,5213,2803,0643,2323,2843,0592,966
Contract assets--------395393355378481433396
Inventories2,3472,3202,7302,8252,4242,2282,4382,3132,2412,2082,0501,8141,9421,8891,784
Other current assets230164229340240212198282250247184132126114108
Total Current Assets8,02810,4568,9059,0257,9596,4776,9698,2776,9966,63911,2367,0966,7706,6086,424
Property, Plant and Equipment, Net12,00211,81713,94913,67212,72811,98013,99013,26513,06713,00412,21710,44110,43110,1509,658
Investments----------1,178751186163160
Long-term financial assets of variable interest entities----------2,2572,2752,2942,3122,331
Goodwill2,3082,3464,3153,9873,7733,3353,3643,4113,3743,3473,3153,1303,0413,0413,038
Overfunded Pension Plan Assets-----------59529711892
Right of Use Assets---------434459365424448433
Other Assets, Noncurrent1,1911,0821,3671,4271,3241,1871,1731,0611,019847745572497421664
TOTAL ASSETS25,36826,99332,15331,52828,68430,58733,34533,90333,57633,47131,71825,24323,94023,26122,800
Debt, Current31371944466174242623931163916829196763138193
Accounts payable2,5562,5002,7752,9002,6642,0782,3092,4582,4132,4232,3202,6062,7082,4422,316
Accrued payroll and benefits471467508511477434430485535466466440355397749
Other current liabilities1,1631,0091,2271,0551,0269861,0941,0431,1071,3691,0689021,1749821,000
Total Current Liabilities4,5034,7384,9985,1274,9093,9244,0725,1024,6948,6468,2844,1445,0003,9594,258
Long-Term Debt----------8,0645,3834,8165,4555,368
Long-term nonrecourse financial liabilities of variable interest entities----------2,0922,0992,1062,1132,120
Deferred Income Taxes----------2,7432,6181,7321,5521,072
Underfunded Pension Benefit Obligation1,4822,3754,1122,2053,8193,5483,4001,9391,7621,5781,055377281280233
Postretirement and Postemployment Benefit Obligation499476473412396364330326264270251205150140133
Long-Term Lease Obligations---------304315236283312292
Other Liabilities6497581,1767025534344495675606401,0461,0991,0751,0951,151
Common Stock, Value, Issued439439440447449449449449449449449449449449449
Paid-in capital5,8295,9086,0426,4636,2456,2436,1896,2066,2806,2976,3254,6684,7254,7304,732
Retained earnings2,4163,3303,6624,4464,4094,6494,8186,1807,4658,4088,0709,0299,8559,4919,393
Accumulated other comprehensive loss-1,822-3,005-3,840-2,759-4,646-5,708-5,362-4,633-4,500-4,739-4,342-1,666-1,925-1,565-1,722
Total Shareholders' Equity Before Treasury Stock-6,6726,3048,5976,4575,6336,0948,2029,69410,41510,50212,48013,10413,10512,852
Treasury Stock, Value2852-4921,3421,7491,7531,6802,3322,7022,6483,3984,6074,7504,679
Total Equity7,0846,9606,6368,2845,2633,9094,3596,5417,3837,7187,8689,0828,4978,3558,173
TOTAL LIABILITIES AND EQUITY25,36826,99332,15331,52828,68430,58733,34533,90333,57633,47131,71825,24323,94023,26122,800