3M Financial Ratios for Analysis 2009-2024 | MMM

Fifteen years of historical annual and quarterly financial ratios and margins for 3M (MMM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.071.541.701.891.411.891.861.891.542.061.702.202.252.012.20
0.730.490.520.580.630.580.510.510.430.340.190.210.220.210.28
3.291.081.151.452.011.481.201.130.940.520.330.330.330.340.43
43.4643.8146.8448.4146.6849.0949.2849.7949.1948.3147.8347.5547.0048.1247.63
-27.9319.1020.8422.2519.2122.0024.3023.3422.9422.4221.5921.6820.8622.2020.82
-27.9319.1020.8422.2519.2122.0024.3023.3422.9422.4221.5921.6820.8622.2020.82
-21.8524.4526.2628.1924.1726.5429.1828.2327.6826.8526.0325.9925.0426.4025.82
-29.6418.6720.3821.1117.5621.3623.8423.4222.5422.0821.2621.2420.3721.5920.03
-21.4016.8816.7516.9314.0616.3315.3516.7715.9615.5715.0914.8614.4615.3213.81
0.650.740.750.680.720.900.830.920.921.020.920.880.940.880.85
3.833.583.773.924.153.823.984.474.374.444.174.094.594.384.59
6.887.557.596.846.716.536.456.867.297.517.267.367.667.387.11
53.0548.3348.1153.3654.4255.9256.6253.2450.0848.6150.2849.5747.6749.4951.30
-143.3639.2139.2242.1744.7354.4641.8948.9042.2138.0326.3025.0127.4725.9924.39
56.81-212.98-162.13-81.32-46.71-187.52-266.50-442.52-1,267.2810752.9651.6763.1556.4352.94
-13.8012.4712.6011.5210.1414.6912.8215.3714.7216.0114.0713.3213.7813.8011.90
-38.8720.1319.0217.6416.3823.0620.5324.0623.9425.1821.2019.6521.4120.6117.63
8.8126.8926.4422.3817.6017.0819.5417.3318.8220.6927.0626.2622.8222.5018.72
12.069.8512.7413.9412.0810.7010.1810.7710.0810.018.397.547.357.136.99
9.367.1210.0811.589.398.518.028.577.837.966.175.485.515.665.82

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.361.641.071.051.441.421.541.561.471.581.701.701.731.831.891.901.941.651.412.301.932.021.891.971.561.651.862.072.221.991.891.901.581.511.541.652.642.462.061.651.871.711.701.792.212.332.202.202.472.382.252.222.182.142.012.602.372.352.201.941.861.83
0.750.810.730.730.620.460.490.490.500.500.520.530.530.550.580.610.640.650.630.620.600.610.580.570.520.530.510.470.490.490.510.480.440.430.430.420.390.320.340.240.230.200.190.160.210.210.210.210.250.210.220.220.200.210.210.240.260.270.280.290.320.33
3.284.343.293.382.031.041.081.111.181.111.151.251.261.321.451.641.902.202.011.811.561.681.481.441.391.421.200.960.971.061.131.030.980.950.940.920.650.470.520.450.390.370.330.320.320.320.330.350.370.310.330.350.320.330.340.360.400.420.430.470.540.60
42.9145.9144.7444.9040.6742.5643.2545.1441.4745.3445.4545.7347.2748.8848.8848.4746.9849.1146.6847.5947.2245.1948.9048.9849.6248.8348.7650.3348.5349.4948.2350.1050.4250.3647.5649.7349.8049.5847.8348.3248.5648.5347.4747.6048.2348.0145.9747.5148.6348.0546.0646.5347.4048.0046.7147.8848.9748.9947.9148.8047.9545.53
20.3418.7616.34-31.93-148.9415.457.8248.221.2618.5918.7620.0022.0222.5321.5422.8624.2520.5916.3425.1720.8314.4522.4424.7328.6212.1622.3924.5727.5722.6720.0424.7024.3524.1320.5524.3323.9422.8321.5323.3622.8221.9120.8621.9721.9621.5619.5322.3822.9421.8319.2420.9921.5521.5819.3922.9323.7122.7621.9223.8720.8315.78
20.3418.7616.34-31.93-148.9415.457.8248.221.2618.5918.7620.0022.0222.5321.5422.8624.2520.5916.3425.1720.8314.4522.4424.7328.6212.1622.3924.5727.5722.6720.0424.7024.3524.1320.5524.3323.9422.8321.5323.3622.8221.9120.8621.9721.9621.5619.5322.3822.9421.8319.2420.9921.5521.5819.3922.9323.7122.7621.9223.8720.8315.78
--------------------------------------------------------------
22.5415.4613.99-34.34-150.0914.817.3947.940.6918.1618.1619.6521.6521.9720.1721.8722.9919.6714.0924.6017.7013.8421.6524.1028.0111.6620.9324.4427.4322.6021.9724.1523.9523.5720.0523.9223.5822.4721.2223.1022.3821.5620.5821.6821.5621.1819.0721.9322.5021.4118.7520.4921.0221.1318.8122.3523.0922.1021.2223.1119.9914.91
18.3111.609.40-24.96-108.8812.156.7044.770.9014.7115.5516.0417.0318.3516.3717.1318.2016.2011.2919.8113.7911.3316.9518.9322.137.276.5517.4920.2717.2215.7617.2416.8517.2114.2216.8116.9115.8215.2716.0115.5815.4114.5715.5415.4414.7913.4215.4915.4915.0313.4614.4515.1014.7913.8316.0916.6514.6515.2715.4513.6910.18
0.140.140.200.170.130.170.170.190.190.190.180.190.190.190.180.180.160.170.180.190.210.200.220.220.230.210.210.230.230.230.220.230.230.220.220.230.240.250.250.250.240.230.230.240.230.220.220.220.230.230.220.230.240.230.220.230.240.230.220.220.220.21
0.880.881.410.900.710.870.850.840.900.910.940.980.971.021.041.080.910.971.051.051.000.950.930.941.000.991.011.021.051.071.121.071.051.011.091.051.001.031.091.071.021.011.031.051.021.041.041.021.061.091.121.121.091.091.131.111.151.161.211.201.141.04
1.751.682.791.711.271.731.781.831.771.831.851.821.791.841.821.811.611.681.691.591.521.521.581.531.561.581.631.591.591.631.671.631.641.651.761.671.681.721.821.731.711.701.781.721.711.731.821.701.731.731.831.771.751.741.861.781.801.781.881.701.651.64
51.4453.4232.2352.5470.8651.9850.4949.3150.8249.0848.7049.4850.1948.9849.3449.8355.9253.7353.1656.5459.1959.2156.8758.8357.7457.1055.3256.7856.6955.3053.9355.3754.8254.4851.2353.8053.6152.3549.4152.1152.6652.8450.5752.2352.7352.0949.4852.9352.1351.9749.0950.9051.3951.8148.4950.6650.0750.6047.7852.8754.3954.81
30.3418.9126.23-43.78-91.216.393.6827.290.598.688.869.8910.5111.7710.8712.0111.9412.839.0614.7511.159.1513.7014.9917.865.494.5211.7413.6112.0111.1811.0510.8310.859.0610.629.928.618.978.097.196.836.226.826.626.195.576.507.036.876.146.336.636.535.897.117.996.897.157.527.065.23
-33.65-7.79-45.0116.8275.57-46.96-19.97-116.08-1.93-37.18-36.64-31.98-31.92-29.46-20.97-19.07-15.37-14.10-9.46-63.70-33.30-22.89-47.17-60.91-75.51-25.08-28.74178469-272.28-101.146791,243-840.79-271.9954527.2021.3625.3217.5314.5413.7112.5213.5813.0412.1511.5013.0014.9014.8914.1213.2613.8714.2112.7813.0015.4613.9815.5217.1419.3116.53
2.791.692.52-4.17-14.662.091.178.370.182.842.852.983.163.452.973.162.892.832.053.732.902.283.704.155.061.571.384.074.673.983.513.913.893.873.163.904.153.923.784.003.783.653.333.703.553.372.963.423.563.563.083.433.653.543.133.744.003.413.493.513.042.18
7.673.667.11-11.76-34.433.471.8913.790.294.374.304.684.955.314.554.724.324.453.325.624.513.525.806.488.572.612.216.226.976.075.505.766.096.175.146.126.045.885.946.125.545.495.015.715.234.904.375.135.265.404.794.935.305.164.675.375.935.045.175.364.833.48
7.268.918.818.5714.2327.8326.8925.6124.2626.3726.4425.2125.0923.8522.3820.7018.9517.7517.6018.7217.6316.9317.0817.7117.7818.5919.5420.4919.5118.4917.3320.0319.7519.4118.8219.8521.0221.9920.6925.2927.5427.4027.0627.1126.8026.8426.2626.2224.4123.9522.8224.8425.0123.7722.5022.1520.0719.4218.7218.2516.0714.60
3.221.3812.068.475.032.309.856.443.731.7612.749.296.072.8813.949.615.372.0912.088.124.621.7810.706.993.380.2310.187.154.291.6110.777.204.102.0310.086.473.761.6610.016.754.111.628.395.533.821.427.545.073.161.177.354.963.011.017.134.893.061.506.995.483.091.00
2.160.749.366.413.531.457.124.372.421.1210.087.584.952.4011.587.814.171.539.396.283.241.128.515.482.43-0.138.025.693.351.158.575.643.101.557.834.892.751.227.965.413.211.196.174.032.820.975.483.702.290.815.513.772.290.695.664.122.601.285.824.682.520.67