3M COMMM

時価総額
$904.6億
PER
多角化技術・製造業の大手。接着剤や研磨材、産業・消費・医療向け製品を展開。2024年4月のヘルスケア事業分離で独立上場。売上の56%が米国外。2025年2月に75億ドルの自社株買い枠設定。米国・欧州・アジアで展開。
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 cash equivalents---------2,3534,6344,5643,6555,9335,600
Marketable securities — current-----------201238532,128
Accounts receivable — net of allowances of $60 and $623,6153,8674,0614,2534,2384,1544,3924,9115,0204,7914,7054,6604,5324,7503,194
Finished goods1,4761,5361,7541,7901,7231,6551,6291,9152,1202,0032,0812,1962,4972,2931,849
Work in process9501,0611,1861,1391,0811,0081,0391,2181,2921,1941,2261,5771,6061,4241,051
Raw materials and supplies7298198979359028557179019549379321,2121,2691,105798
Total inventories3,1553,4163,8373,8643,7063,5183,3854,0344,3664,1344,2394,9855,3724,8223,698
Prepaids-------937741704675654435485436
Other current assets9671,2771,2011,2791,2981,3981,271266349891325339456336828
Total current assets12,21512,24013,63012,73311,76510,98611,72614,27713,70912,97114,98215,40314,68816,37915,884
Property, plant and equipment20,25321,16622,52523,06822,84123,09823,49924,91424,87326,12426,650-25,99826,87023,406
Less: Accumulated depreciation12,97413,50014,14714,41614,35214,58314,98316,04816,13516,79117,229-16,82017,71116,018
Property, plant and equipment — net7,2797,6668,3788,6528,4898,5158,5168,8668,7389,3339,421-9,1789,1597,388
Operating lease right of use assets---------858864858829759565
Goodwill6,8207,0477,3857,3457,0509,2499,16610,51310,05113,44413,80213,48612,79012,9276,281
Intangible assets — net1,8201,9161,9251,6881,4352,6012,3202,9362,6576,3795,8355,2884,6994,2261,210
Other assets1,2621,6561,2179801,5541,0539811,3951,3451,6742,4402,6084,2717,1308,540
Total assets30,15631,61633,87633,55031,26932,71832,90637,98736,50044,65947,34447,07246,45550,58039,868
Debt, Current1,2696821,0851,6831062,0449721,8531,211--1,3071,9382,9471,919
Accounts payable1,6621,6431,7621,7991,8071,6941,7981,9452,2662,2282,5612,9943,1833,2452,660
Accrued payroll7786767017087326446788707497027471,020692904712
Accrued income taxes358355371417435332299310243194300260259365331
Operating Lease, Liability, Current---------247256263261225163
Other current liabilities2,0222,0852,2812,8912,9182,4042,4722,7092,7753,0563,2783,1913,1907,6115,471
Total current liabilities6,0895,4416,2007,4985,9987,1186,2197,6877,2449,2227,9489,0359,52315,29711,256
Long-term debt4,1834,4844,9164,3266,7318,75310,67812,09613,41117,51817,98916,05614,00113,08811,125
Pension and postretirement benefits2,0133,9723,0861,7943,8433,5204,0183,6202,9873,9114,4052,8701,9662,4711,813
Operating lease liabilities---------607609591580534405
Other liabilities1,8541,8571,6341,9841,5551,5801,6482,9623,0103,2753,4623,4035,61514,32211,375
Total liabilities14,13915,75415,83615,60218,12720,97122,56326,36526,65234,53334,41331,95531,68545,71235,974
Common stock999999999999999
Additional paid-in capital3,4683,7674,0444,3754,3794,7915,0615,3525,6435,9076,1626,4296,6916,9567,229
Retained earnings25,99528,34830,67932,41634,31736,57537,90739,11540,63642,13543,76145,82147,95037,47936,797
Treasury stock, at cost:------25,43425,88729,62629,84929,40430,46333,25532,85934,462
Accumulated other comprehensive income (loss)-3,543-5,025-4,750-3,913-6,289-6,359-7,245-7,026-6,866-8,139-7,661-6,750-6,673-6,778-5,731
Total 3M Company shareholders’ equity16,01715,86218,04017,94813,14211,74710,34311,6229,84810,12612,93115,11714,7704,8683,894
Noncontrolling interest3544424654463339455952636471486152
Total equity16,01715,86218,04017,94813,14211,74710,34311,6229,84810,12612,93115,11714,7704,8683,894
Total liabilities and equity30,15631,61633,87633,55031,26932,71832,90637,98736,50044,65947,34447,07246,45550,58039,868