US Stock MarketDetailed Quotes

KMB Kimberly-Clark

Watchlist
  • 140.510
  • +4.630+3.41%
Close Jul 24 16:00 ET
  • 139.510
  • -1.000-0.71%
Pre 08:50 ET
47.32BMarket Cap20.79P/E (TTM)

Kimberly-Clark Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
100.52%1.16B
62.79%853M
155.97%1.09B
155.97%1.09B
124.86%814M
86.50%580M
6.29%524M
58.15%427M
58.15%427M
26.57%362M
-Cash and cash equivalents
100.52%1.16B
62.79%853M
155.97%1.09B
155.97%1.09B
124.86%814M
86.50%580M
6.29%524M
58.15%427M
58.15%427M
26.57%362M
Receivables
-2.25%2.31B
-1.93%2.38B
-6.36%2.14B
-6.36%2.14B
-1.50%2.3B
-4.46%2.36B
-3.42%2.43B
3.31%2.28B
3.31%2.28B
-2.75%2.33B
-Accounts receivable
-2.25%2.31B
-1.93%2.38B
-4.27%2.06B
-4.27%2.06B
-1.50%2.3B
-4.46%2.36B
-3.42%2.43B
3.01%2.16B
3.01%2.16B
-2.75%2.33B
-Other receivables
----
----
-20.63%150M
-20.63%150M
----
----
----
11.18%189M
11.18%189M
----
-Recievables adjustments allowances
----
----
-21.88%-78M
-21.88%-78M
----
----
----
-16.36%-64M
-16.36%-64M
----
Inventory
-10.01%1.92B
-15.60%1.88B
-13.84%1.96B
-13.84%1.96B
-11.40%2.02B
-6.58%2.13B
-1.81%2.22B
1.34%2.27B
1.34%2.27B
8.72%2.28B
Other current assets
-16.54%565M
-27.64%487M
-30.94%520M
-30.94%520M
-8.47%594M
12.09%677M
7.00%673M
-11.31%753M
-11.31%753M
-23.01%649M
Total current assets
3.57%5.95B
-4.29%5.6B
-0.45%5.7B
-0.45%5.7B
1.81%5.73B
1.45%5.74B
-0.88%5.85B
2.95%5.73B
2.95%5.73B
-0.02%5.63B
Non current assets
Net PPE
-2.50%7.62B
-1.20%7.77B
0.36%7.91B
0.36%7.91B
-0.48%7.7B
-1.46%7.82B
-3.06%7.87B
-2.62%7.89B
-2.62%7.89B
-2.85%7.74B
-Gross PPE
1.37%18.98B
1.95%19.06B
3.25%19.15B
3.25%19.15B
2.79%18.65B
1.47%18.72B
-0.03%18.7B
0.11%18.55B
0.11%18.55B
-1.08%18.14B
-Accumulated depreciation
-4.13%-11.36B
-4.23%-11.29B
-5.38%-11.24B
-5.38%-11.24B
-5.22%-10.95B
-3.68%-10.91B
-2.29%-10.83B
-2.23%-10.66B
-2.23%-10.66B
-0.28%-10.41B
Goodwill and other intangible assets
-4.01%2.2B
-24.51%2.23B
-21.98%2.28B
-21.98%2.28B
-22.93%2.24B
-23.41%2.29B
-4.67%2.96B
10.38%2.93B
10.38%2.93B
11.63%2.91B
-Goodwill
-3.21%2.02B
-2.25%2.04B
0.53%2.09B
0.53%2.09B
0.10%2.05B
-0.76%2.09B
-4.00%2.09B
12.72%2.07B
12.72%2.07B
13.75%2.04B
-Other intangible assets
-12.02%183M
-78.11%190M
-76.85%197M
-76.85%197M
-77.25%197M
-76.71%208M
-6.26%868M
5.06%851M
5.06%851M
6.91%866M
Investments and advances
27.42%381M
29.54%364M
28.57%306M
28.57%306M
20.30%320M
10.74%299M
5.64%281M
-17.93%238M
-17.93%238M
-21.76%266M
Other non current assets
-8.37%1.13B
-8.03%1.12B
-4.44%1.14B
-4.44%1.14B
-10.39%1.16B
-1.99%1.23B
-5.05%1.22B
-3.40%1.19B
-3.40%1.19B
4.84%1.3B
Total non current assets
-2.65%11.33B
-6.77%11.49B
-4.90%11.64B
-4.90%11.64B
-6.43%11.43B
-6.53%11.64B
-3.47%12.33B
-0.25%12.24B
-0.25%12.24B
0.51%12.21B
Total assets
-0.59%17.28B
-5.97%17.09B
-3.48%17.34B
-3.48%17.34B
-3.83%17.15B
-4.04%17.38B
-2.65%18.18B
0.75%17.97B
0.75%17.97B
0.34%17.84B
Liabilities
Current liabilities
Payables
-2.12%4.02B
-5.83%3.94B
-3.94%4.34B
-3.94%4.34B
-4.03%3.89B
0.46%4.11B
-1.23%4.18B
-0.53%4.52B
-0.53%4.52B
3.82%4.05B
-accounts payable
-2.69%3.61B
-6.78%3.53B
-4.20%3.65B
-4.20%3.65B
-4.64%3.49B
0.32%3.71B
-1.51%3.79B
-0.70%3.81B
-0.70%3.81B
4.01%3.66B
-Total tax payable
----
----
-7.55%294M
-7.55%294M
----
----
----
-1.55%318M
-1.55%318M
----
-Dividends payable
3.29%408M
3.30%407M
1.55%394M
1.55%394M
1.80%395M
1.80%395M
1.55%394M
2.11%388M
2.11%388M
2.11%388M
Current accrued expenses
-5.13%2.18B
-10.31%2.13B
12.47%1.4B
12.47%1.4B
3.15%2.26B
10.20%2.3B
15.68%2.38B
-0.24%1.24B
-0.24%1.24B
11.05%2.19B
Current debt and capital lease obligation
328.72%806M
50.93%809M
-28.22%697M
-28.22%697M
-28.36%687M
-81.77%188M
-44.69%536M
72.47%971M
72.47%971M
-30.86%959M
-Current debt
328.72%806M
50.93%809M
-32.82%567M
-32.82%567M
-28.36%687M
-81.77%188M
-44.69%536M
94.92%844M
94.92%844M
-30.86%959M
-Current capital lease obligation
----
----
2.36%130M
2.36%130M
----
----
----
-2.31%127M
-2.31%127M
----
Other current liabilities
----
----
-17.80%494M
-17.80%494M
----
----
----
51.39%601M
51.39%601M
----
Current liabilities
6.26%7.01B
-3.04%6.88B
-5.51%6.93B
-5.51%6.93B
-5.09%6.83B
-8.48%6.6B
-2.25%7.09B
8.67%7.33B
8.67%7.33B
-0.84%7.2B
Non current liabilities
Long term debt and capital lease obligation
-9.93%7.16B
-9.87%7.16B
-2.12%7.42B
-2.12%7.42B
-2.95%7.4B
3.23%7.95B
-1.93%7.95B
-6.92%7.58B
-6.92%7.58B
0.97%7.63B
-Long term debt
-9.93%7.16B
-9.87%7.16B
-2.12%7.42B
-2.12%7.42B
-2.95%7.4B
3.23%7.95B
-1.93%7.95B
-6.92%7.58B
-6.92%7.58B
0.97%7.63B
Non current deferred liabilities
-22.45%380M
-35.46%395M
-42.19%374M
-42.19%374M
-36.48%404M
-30.30%490M
-10.92%612M
-6.77%647M
-6.77%647M
-9.27%636M
Employee benefits
0.16%640M
1.09%652M
2.29%669M
2.29%669M
-21.62%656M
-22.92%639M
-19.07%645M
-19.16%654M
-19.16%654M
-3.68%837M
Preferred securities outside stock equity
-87.62%26M
-87.62%26M
-89.92%26M
-89.92%26M
-19.23%210M
-19.23%210M
-19.23%210M
892.31%258M
892.31%258M
828.57%260M
Other non current liabilities
-7.55%784M
-1.73%796M
7.63%860M
7.63%860M
16.40%809M
26.00%848M
13.13%810M
17.33%799M
17.33%799M
5.78%695M
Total non current liabilities
-11.31%8.99B
-11.66%9.03B
-5.94%9.35B
-5.94%9.35B
-5.71%9.48B
-0.29%10.13B
-3.21%10.22B
-4.01%9.94B
-4.01%9.94B
2.51%10.06B
Total liabilities
-4.38%16B
-8.13%15.91B
-5.76%16.28B
-5.76%16.28B
-5.45%16.31B
-3.68%16.73B
-2.82%17.32B
0.99%17.27B
0.99%17.27B
1.08%17.25B
Shareholders'equity
Share capital
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
-common stock
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
0.00%473M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
8.63%8.73B
2.82%8.6B
2.04%8.37B
2.04%8.37B
1.62%8.22B
0.22%8.04B
4.72%8.37B
4.36%8.2B
4.36%8.2B
2.58%8.09B
Paid-in capital
15.06%802M
26.37%877M
29.31%878M
29.31%878M
20.22%761M
16.56%697M
15.86%694M
12.23%679M
12.23%679M
3.09%633M
Less: Treasury stock
3.35%5.24B
1.92%5.25B
1.65%5.22B
1.65%5.22B
-0.49%5.1B
-0.78%5.07B
-0.43%5.15B
-0.89%5.14B
-0.89%5.14B
-1.25%5.13B
Gains losses not affecting retained earnings
0.19%-3.63B
0.14%-3.66B
2.37%-3.58B
2.37%-3.58B
-1.13%-3.67B
-7.38%-3.64B
-15.09%-3.66B
-13.28%-3.67B
-13.28%-3.67B
-9.80%-3.63B
Total stockholders'equity
127.20%1.14B
45.20%1.04B
67.28%915M
67.28%915M
55.61%680M
-15.68%500M
1.99%719M
6.42%547M
6.42%547M
-7.81%437M
Noncontrolling interests
-3.97%145M
-1.41%140M
0.00%153M
0.00%153M
9.59%160M
1.34%151M
-4.70%142M
-31.39%153M
-31.39%153M
-37.34%146M
Total equity
96.77%1.28B
37.51%1.18B
52.57%1.07B
52.57%1.07B
44.08%840M
-12.26%651M
0.82%861M
-5.02%700M
-5.02%700M
-17.54%583M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 100.52%1.16B62.79%853M155.97%1.09B155.97%1.09B124.86%814M86.50%580M6.29%524M58.15%427M58.15%427M26.57%362M
-Cash and cash equivalents 100.52%1.16B62.79%853M155.97%1.09B155.97%1.09B124.86%814M86.50%580M6.29%524M58.15%427M58.15%427M26.57%362M
Receivables -2.25%2.31B-1.93%2.38B-6.36%2.14B-6.36%2.14B-1.50%2.3B-4.46%2.36B-3.42%2.43B3.31%2.28B3.31%2.28B-2.75%2.33B
-Accounts receivable -2.25%2.31B-1.93%2.38B-4.27%2.06B-4.27%2.06B-1.50%2.3B-4.46%2.36B-3.42%2.43B3.01%2.16B3.01%2.16B-2.75%2.33B
-Other receivables ---------20.63%150M-20.63%150M------------11.18%189M11.18%189M----
-Recievables adjustments allowances ---------21.88%-78M-21.88%-78M-------------16.36%-64M-16.36%-64M----
Inventory -10.01%1.92B-15.60%1.88B-13.84%1.96B-13.84%1.96B-11.40%2.02B-6.58%2.13B-1.81%2.22B1.34%2.27B1.34%2.27B8.72%2.28B
Other current assets -16.54%565M-27.64%487M-30.94%520M-30.94%520M-8.47%594M12.09%677M7.00%673M-11.31%753M-11.31%753M-23.01%649M
Total current assets 3.57%5.95B-4.29%5.6B-0.45%5.7B-0.45%5.7B1.81%5.73B1.45%5.74B-0.88%5.85B2.95%5.73B2.95%5.73B-0.02%5.63B
Non current assets
Net PPE -2.50%7.62B-1.20%7.77B0.36%7.91B0.36%7.91B-0.48%7.7B-1.46%7.82B-3.06%7.87B-2.62%7.89B-2.62%7.89B-2.85%7.74B
-Gross PPE 1.37%18.98B1.95%19.06B3.25%19.15B3.25%19.15B2.79%18.65B1.47%18.72B-0.03%18.7B0.11%18.55B0.11%18.55B-1.08%18.14B
-Accumulated depreciation -4.13%-11.36B-4.23%-11.29B-5.38%-11.24B-5.38%-11.24B-5.22%-10.95B-3.68%-10.91B-2.29%-10.83B-2.23%-10.66B-2.23%-10.66B-0.28%-10.41B
Goodwill and other intangible assets -4.01%2.2B-24.51%2.23B-21.98%2.28B-21.98%2.28B-22.93%2.24B-23.41%2.29B-4.67%2.96B10.38%2.93B10.38%2.93B11.63%2.91B
-Goodwill -3.21%2.02B-2.25%2.04B0.53%2.09B0.53%2.09B0.10%2.05B-0.76%2.09B-4.00%2.09B12.72%2.07B12.72%2.07B13.75%2.04B
-Other intangible assets -12.02%183M-78.11%190M-76.85%197M-76.85%197M-77.25%197M-76.71%208M-6.26%868M5.06%851M5.06%851M6.91%866M
Investments and advances 27.42%381M29.54%364M28.57%306M28.57%306M20.30%320M10.74%299M5.64%281M-17.93%238M-17.93%238M-21.76%266M
Other non current assets -8.37%1.13B-8.03%1.12B-4.44%1.14B-4.44%1.14B-10.39%1.16B-1.99%1.23B-5.05%1.22B-3.40%1.19B-3.40%1.19B4.84%1.3B
Total non current assets -2.65%11.33B-6.77%11.49B-4.90%11.64B-4.90%11.64B-6.43%11.43B-6.53%11.64B-3.47%12.33B-0.25%12.24B-0.25%12.24B0.51%12.21B
Total assets -0.59%17.28B-5.97%17.09B-3.48%17.34B-3.48%17.34B-3.83%17.15B-4.04%17.38B-2.65%18.18B0.75%17.97B0.75%17.97B0.34%17.84B
Liabilities
Current liabilities
Payables -2.12%4.02B-5.83%3.94B-3.94%4.34B-3.94%4.34B-4.03%3.89B0.46%4.11B-1.23%4.18B-0.53%4.52B-0.53%4.52B3.82%4.05B
-accounts payable -2.69%3.61B-6.78%3.53B-4.20%3.65B-4.20%3.65B-4.64%3.49B0.32%3.71B-1.51%3.79B-0.70%3.81B-0.70%3.81B4.01%3.66B
-Total tax payable ---------7.55%294M-7.55%294M-------------1.55%318M-1.55%318M----
-Dividends payable 3.29%408M3.30%407M1.55%394M1.55%394M1.80%395M1.80%395M1.55%394M2.11%388M2.11%388M2.11%388M
Current accrued expenses -5.13%2.18B-10.31%2.13B12.47%1.4B12.47%1.4B3.15%2.26B10.20%2.3B15.68%2.38B-0.24%1.24B-0.24%1.24B11.05%2.19B
Current debt and capital lease obligation 328.72%806M50.93%809M-28.22%697M-28.22%697M-28.36%687M-81.77%188M-44.69%536M72.47%971M72.47%971M-30.86%959M
-Current debt 328.72%806M50.93%809M-32.82%567M-32.82%567M-28.36%687M-81.77%188M-44.69%536M94.92%844M94.92%844M-30.86%959M
-Current capital lease obligation --------2.36%130M2.36%130M-------------2.31%127M-2.31%127M----
Other current liabilities ---------17.80%494M-17.80%494M------------51.39%601M51.39%601M----
Current liabilities 6.26%7.01B-3.04%6.88B-5.51%6.93B-5.51%6.93B-5.09%6.83B-8.48%6.6B-2.25%7.09B8.67%7.33B8.67%7.33B-0.84%7.2B
Non current liabilities
Long term debt and capital lease obligation -9.93%7.16B-9.87%7.16B-2.12%7.42B-2.12%7.42B-2.95%7.4B3.23%7.95B-1.93%7.95B-6.92%7.58B-6.92%7.58B0.97%7.63B
-Long term debt -9.93%7.16B-9.87%7.16B-2.12%7.42B-2.12%7.42B-2.95%7.4B3.23%7.95B-1.93%7.95B-6.92%7.58B-6.92%7.58B0.97%7.63B
Non current deferred liabilities -22.45%380M-35.46%395M-42.19%374M-42.19%374M-36.48%404M-30.30%490M-10.92%612M-6.77%647M-6.77%647M-9.27%636M
Employee benefits 0.16%640M1.09%652M2.29%669M2.29%669M-21.62%656M-22.92%639M-19.07%645M-19.16%654M-19.16%654M-3.68%837M
Preferred securities outside stock equity -87.62%26M-87.62%26M-89.92%26M-89.92%26M-19.23%210M-19.23%210M-19.23%210M892.31%258M892.31%258M828.57%260M
Other non current liabilities -7.55%784M-1.73%796M7.63%860M7.63%860M16.40%809M26.00%848M13.13%810M17.33%799M17.33%799M5.78%695M
Total non current liabilities -11.31%8.99B-11.66%9.03B-5.94%9.35B-5.94%9.35B-5.71%9.48B-0.29%10.13B-3.21%10.22B-4.01%9.94B-4.01%9.94B2.51%10.06B
Total liabilities -4.38%16B-8.13%15.91B-5.76%16.28B-5.76%16.28B-5.45%16.31B-3.68%16.73B-2.82%17.32B0.99%17.27B0.99%17.27B1.08%17.25B
Shareholders'equity
Share capital 0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M
-common stock 0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M0.00%473M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 8.63%8.73B2.82%8.6B2.04%8.37B2.04%8.37B1.62%8.22B0.22%8.04B4.72%8.37B4.36%8.2B4.36%8.2B2.58%8.09B
Paid-in capital 15.06%802M26.37%877M29.31%878M29.31%878M20.22%761M16.56%697M15.86%694M12.23%679M12.23%679M3.09%633M
Less: Treasury stock 3.35%5.24B1.92%5.25B1.65%5.22B1.65%5.22B-0.49%5.1B-0.78%5.07B-0.43%5.15B-0.89%5.14B-0.89%5.14B-1.25%5.13B
Gains losses not affecting retained earnings 0.19%-3.63B0.14%-3.66B2.37%-3.58B2.37%-3.58B-1.13%-3.67B-7.38%-3.64B-15.09%-3.66B-13.28%-3.67B-13.28%-3.67B-9.80%-3.63B
Total stockholders'equity 127.20%1.14B45.20%1.04B67.28%915M67.28%915M55.61%680M-15.68%500M1.99%719M6.42%547M6.42%547M-7.81%437M
Noncontrolling interests -3.97%145M-1.41%140M0.00%153M0.00%153M9.59%160M1.34%151M-4.70%142M-31.39%153M-31.39%153M-37.34%146M
Total equity 96.77%1.28B37.51%1.18B52.57%1.07B52.57%1.07B44.08%840M-12.26%651M0.82%861M-5.02%700M-5.02%700M-17.54%583M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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