US Stock MarketDetailed Quotes

MMM 3M

Watchlist
  • 127.160
  • +23.770+22.99%
Close Jul 26 16:00 ET
  • 127.930
  • +0.770+0.61%
Post 20:02 ET
69.86BMarket Cap74.80P/E (TTM)

3M 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
139.64%10.34B
176.42%10.97B
53.76%5.99B
53.76%5.99B
45.25%5.21B
44.57%4.31B
18.16%3.97B
-18.30%3.89B
-18.30%3.89B
-37.40%3.59B
-Cash and cash equivalents
136.80%10.08B
185.33%10.91B
62.33%5.93B
62.33%5.93B
51.00%5.14B
56.43%4.26B
17.77%3.82B
-19.92%3.66B
-19.92%3.66B
-30.22%3.4B
-Short-term investments
355.36%255M
-58.62%60M
-77.73%53M
-77.73%53M
-60.54%73M
-78.63%56M
29.46%145M
18.41%238M
18.41%238M
-78.36%185M
Receivables
-27.73%3.58B
2.41%4.75B
4.94%4.86B
4.94%4.86B
2.75%4.85B
0.67%4.95B
-3.68%4.64B
-2.83%4.64B
-2.83%4.64B
-3.95%4.72B
-Accounts receivable
-27.73%3.58B
2.41%4.75B
4.81%4.75B
4.81%4.75B
2.75%4.85B
0.67%4.95B
-3.68%4.64B
-2.75%4.53B
-2.75%4.53B
-3.95%4.72B
-Other receivables
----
----
10.68%114M
10.68%114M
----
----
----
-6.36%103M
-6.36%103M
----
Inventory
-23.11%4.06B
-7.71%4.9B
-10.24%4.82B
-10.24%4.82B
-9.80%5.07B
-6.47%5.28B
0.30%5.31B
7.76%5.37B
7.76%5.37B
13.43%5.62B
Prepaid assets
-34.12%444M
17.38%655M
11.49%485M
11.49%485M
23.77%578M
14.63%674M
-0.53%558M
-33.49%435M
-33.49%435M
-6.79%467M
Other current assets
103.71%1.1B
-30.89%340M
-21.99%149M
-21.99%149M
-2.39%490M
40.73%539M
15.22%492M
26.49%191M
26.49%191M
53.99%502M
Total current assets
23.87%19.52B
44.44%21.61B
11.51%16.38B
11.51%16.38B
8.75%16.2B
8.54%15.75B
3.54%14.96B
-4.64%14.69B
-4.64%14.69B
-9.32%14.9B
Non current assets
Net PPE
-19.37%8.08B
-3.10%9.82B
-0.89%9.92B
-0.89%9.92B
-2.11%9.79B
-1.29%10.02B
-1.21%10.13B
-2.72%10.01B
-2.72%10.01B
-1.63%10B
-Gross PPE
-12.41%23.89B
0.88%27.42B
2.99%27.63B
2.99%27.63B
-1.81%26.97B
-2.07%27.27B
-3.01%27.18B
-4.43%26.83B
-4.43%26.83B
-2.08%27.47B
-Accumulated depreciation
8.36%-15.81B
-3.25%-17.6B
-5.30%-17.71B
-5.30%-17.71B
1.63%-17.19B
2.52%-17.25B
4.05%-17.05B
5.42%-16.82B
5.42%-16.82B
2.34%-17.47B
Goodwill and other intangible assets
-56.26%7.58B
-3.02%16.91B
-1.92%17.15B
-1.92%17.15B
-2.51%17.05B
-3.98%17.34B
-5.78%17.44B
-6.84%17.49B
-6.84%17.49B
-8.09%17.48B
-Goodwill
-50.91%6.32B
-0.36%12.81B
1.07%12.93B
1.07%12.93B
0.41%12.72B
-1.49%12.87B
-3.84%12.86B
-5.16%12.79B
-5.16%12.79B
-6.83%12.67B
-Other intangible assets
-71.68%1.27B
-10.47%4.11B
-10.07%4.23B
-10.07%4.23B
-10.20%4.32B
-10.47%4.47B
-10.82%4.59B
-11.14%4.7B
-11.14%4.7B
-11.26%4.82B
Investments and advances
----
----
-74.77%244M
-74.77%244M
----
----
----
269.08%967M
269.08%967M
----
Non current accounts receivable
----
----
-54.79%33M
-54.79%33M
----
----
----
43.14%73M
43.14%73M
----
Non current deferred assets
----
----
412.83%4.92B
412.83%4.92B
----
----
----
65.06%959M
65.06%959M
----
Defined pension benefit
----
----
2.29%1.25B
2.29%1.25B
----
----
----
29.90%1.23B
29.90%1.23B
----
Other non current assets
42.19%8.2B
58.51%6.9B
-34.86%682M
-34.86%682M
73.47%6.59B
98.14%5.76B
64.89%4.35B
35.80%1.05B
35.80%1.05B
42.54%3.8B
Total non current assets
-27.97%23.86B
5.35%33.63B
7.66%34.2B
7.66%34.2B
6.85%33.42B
6.45%33.13B
1.66%31.92B
0.31%31.77B
0.31%31.77B
-1.79%31.28B
Total assets
-11.26%43.38B
17.82%55.24B
8.88%50.58B
8.88%50.58B
7.46%49.62B
7.11%48.88B
2.25%46.89B
-1.31%46.46B
-1.31%46.46B
-4.35%46.18B
Liabilities
Current liabilities
Payables
-5.38%3.22B
10.51%3.76B
4.39%3.83B
4.39%3.83B
-0.27%3.32B
-2.80%3.4B
-1.16%3.4B
2.40%3.67B
2.40%3.67B
6.15%3.33B
-accounts payable
-12.94%2.81B
7.73%3.37B
1.95%3.25B
1.95%3.25B
1.34%3.1B
-1.28%3.23B
-1.07%3.13B
6.31%3.18B
6.31%3.18B
7.02%3.06B
-Total tax payable
136.63%407M
42.91%383M
20.50%582M
20.50%582M
-18.52%220M
-24.56%172M
-2.19%268M
-17.58%483M
-17.58%483M
-2.88%270M
Current accrued expenses
-23.31%602M
0.50%607M
18.36%1.71B
18.36%1.71B
26.22%905M
11.51%785M
-5.33%604M
-17.59%1.44B
-17.59%1.44B
-29.64%717M
Current debt and capital lease obligation
-55.11%1.47B
-68.03%1.05B
44.25%3.17B
44.25%3.17B
60.75%3.37B
30.40%3.28B
53.18%3.28B
40.06%2.2B
40.06%2.2B
-6.13%2.1B
-Current debt
-57.07%1.3B
-72.78%820M
52.06%2.95B
52.06%2.95B
69.02%3.14B
34.38%3.03B
60.47%3.01B
48.28%1.94B
48.28%1.94B
-5.88%1.86B
-Current capital lease obligation
-30.74%169M
-13.69%227M
-13.79%225M
-13.79%225M
-2.90%234M
-4.69%244M
0.77%263M
-0.76%261M
-0.76%261M
-8.02%241M
Current deferred liabilities
----
----
6.32%572M
6.32%572M
----
----
----
1.70%538M
1.70%538M
----
Other current liabilities
160.79%9.05B
136.26%7.75B
319.96%5.68B
319.96%5.68B
131.63%7.87B
9.22%3.47B
11.61%3.28B
3.44%1.35B
3.44%1.35B
4.75%3.4B
Current liabilities
31.17%14.35B
24.63%13.16B
60.63%15.3B
60.63%15.3B
62.07%15.47B
10.51%10.94B
15.34%10.56B
5.40%9.52B
5.40%9.52B
-0.95%9.54B
Non current liabilities
Long term debt and capital lease obligation
-9.61%12.22B
55.51%21.11B
-6.65%13.68B
-6.65%13.68B
-6.89%13.43B
-7.39%13.52B
-11.90%13.58B
-12.45%14.66B
-12.45%14.66B
-14.03%14.42B
-Long term debt
-9.06%11.78B
59.04%20.59B
-6.52%13.09B
-6.52%13.09B
-7.03%12.88B
-7.60%12.95B
-12.52%12.95B
-12.80%14B
-12.80%14B
-14.48%13.85B
-Long term capital lease obligation
-22.28%443M
-17.54%517M
-9.31%594M
-9.31%594M
-3.51%550M
-2.40%570M
3.13%627M
-4.24%655M
-4.24%655M
-1.72%570M
Non current deferred liabilities
----
----
-5.55%528M
-5.55%528M
----
----
----
22.05%559M
22.05%559M
----
Employee benefits
-10.20%1.72B
18.61%2.32B
19.18%2.8B
19.18%2.8B
-26.22%1.85B
-27.52%1.91B
-29.94%1.96B
-28.07%2.35B
-28.07%2.35B
-37.25%2.5B
Other non current liabilities
-24.22%11.1B
151.91%13.72B
253.56%12.53B
253.56%12.53B
154.72%14.15B
212.99%14.65B
55.75%5.45B
214.18%3.54B
214.18%3.54B
65.70%5.56B
Total non current liabilities
-16.76%25.04B
77.10%37.15B
37.24%30.42B
37.24%30.42B
30.91%29.42B
37.25%30.09B
-3.32%20.98B
-3.31%22.16B
-3.31%22.16B
-6.78%22.48B
Total liabilities
-3.98%39.39B
59.54%50.31B
44.27%45.71B
44.27%45.71B
40.19%44.89B
28.93%41.02B
2.22%31.54B
-0.84%31.69B
-0.84%31.69B
-5.12%32.02B
Shareholders'equity
Share capital
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
-common stock
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
Retained earnings
-11.95%35.48B
-21.88%37.47B
-21.84%37.48B
-21.84%37.48B
-22.53%37.38B
-11.00%40.29B
4.15%47.97B
4.65%47.95B
4.65%47.95B
6.36%48.25B
Paid-in capital
4.20%7.15B
2.30%6.97B
3.96%6.96B
3.96%6.96B
3.74%6.9B
3.80%6.86B
3.92%6.82B
4.08%6.69B
4.08%6.69B
4.25%6.65B
Less: Treasury stock
0.67%33.15B
-0.61%32.76B
-1.19%32.86B
-1.19%32.86B
0.14%32.89B
6.97%32.93B
6.81%32.96B
9.17%33.26B
9.17%33.26B
10.68%32.84B
Gains losses not affecting retained earnings
13.46%-5.57B
-4.53%-6.83B
-1.57%-6.78B
-1.57%-6.78B
15.77%-6.73B
12.62%-6.43B
4.45%-6.53B
1.14%-6.67B
1.14%-6.67B
-4.79%-7.99B
Total stockholders'equity
-49.78%3.92B
-68.19%4.87B
-67.35%4.81B
-67.35%4.81B
-66.82%4.67B
-43.25%7.8B
2.46%15.3B
-2.15%14.72B
-2.15%14.72B
-2.63%14.08B
Noncontrolling interests
22.03%72M
26.42%67M
27.08%61M
27.08%61M
-22.37%59M
-20.27%59M
-28.38%53M
-32.39%48M
-32.39%48M
8.57%76M
Total equity
-49.24%3.99B
-67.87%4.93B
-67.04%4.87B
-67.04%4.87B
-66.58%4.73B
-43.13%7.86B
2.31%15.35B
-2.30%14.77B
-2.30%14.77B
-2.57%14.16B
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
--
--
--
--
Unqualified Opinion
--
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(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 139.64%10.34B176.42%10.97B53.76%5.99B53.76%5.99B45.25%5.21B44.57%4.31B18.16%3.97B-18.30%3.89B-18.30%3.89B-37.40%3.59B
-Cash and cash equivalents 136.80%10.08B185.33%10.91B62.33%5.93B62.33%5.93B51.00%5.14B56.43%4.26B17.77%3.82B-19.92%3.66B-19.92%3.66B-30.22%3.4B
-Short-term investments 355.36%255M-58.62%60M-77.73%53M-77.73%53M-60.54%73M-78.63%56M29.46%145M18.41%238M18.41%238M-78.36%185M
Receivables -27.73%3.58B2.41%4.75B4.94%4.86B4.94%4.86B2.75%4.85B0.67%4.95B-3.68%4.64B-2.83%4.64B-2.83%4.64B-3.95%4.72B
-Accounts receivable -27.73%3.58B2.41%4.75B4.81%4.75B4.81%4.75B2.75%4.85B0.67%4.95B-3.68%4.64B-2.75%4.53B-2.75%4.53B-3.95%4.72B
-Other receivables --------10.68%114M10.68%114M-------------6.36%103M-6.36%103M----
Inventory -23.11%4.06B-7.71%4.9B-10.24%4.82B-10.24%4.82B-9.80%5.07B-6.47%5.28B0.30%5.31B7.76%5.37B7.76%5.37B13.43%5.62B
Prepaid assets -34.12%444M17.38%655M11.49%485M11.49%485M23.77%578M14.63%674M-0.53%558M-33.49%435M-33.49%435M-6.79%467M
Other current assets 103.71%1.1B-30.89%340M-21.99%149M-21.99%149M-2.39%490M40.73%539M15.22%492M26.49%191M26.49%191M53.99%502M
Total current assets 23.87%19.52B44.44%21.61B11.51%16.38B11.51%16.38B8.75%16.2B8.54%15.75B3.54%14.96B-4.64%14.69B-4.64%14.69B-9.32%14.9B
Non current assets
Net PPE -19.37%8.08B-3.10%9.82B-0.89%9.92B-0.89%9.92B-2.11%9.79B-1.29%10.02B-1.21%10.13B-2.72%10.01B-2.72%10.01B-1.63%10B
-Gross PPE -12.41%23.89B0.88%27.42B2.99%27.63B2.99%27.63B-1.81%26.97B-2.07%27.27B-3.01%27.18B-4.43%26.83B-4.43%26.83B-2.08%27.47B
-Accumulated depreciation 8.36%-15.81B-3.25%-17.6B-5.30%-17.71B-5.30%-17.71B1.63%-17.19B2.52%-17.25B4.05%-17.05B5.42%-16.82B5.42%-16.82B2.34%-17.47B
Goodwill and other intangible assets -56.26%7.58B-3.02%16.91B-1.92%17.15B-1.92%17.15B-2.51%17.05B-3.98%17.34B-5.78%17.44B-6.84%17.49B-6.84%17.49B-8.09%17.48B
-Goodwill -50.91%6.32B-0.36%12.81B1.07%12.93B1.07%12.93B0.41%12.72B-1.49%12.87B-3.84%12.86B-5.16%12.79B-5.16%12.79B-6.83%12.67B
-Other intangible assets -71.68%1.27B-10.47%4.11B-10.07%4.23B-10.07%4.23B-10.20%4.32B-10.47%4.47B-10.82%4.59B-11.14%4.7B-11.14%4.7B-11.26%4.82B
Investments and advances ---------74.77%244M-74.77%244M------------269.08%967M269.08%967M----
Non current accounts receivable ---------54.79%33M-54.79%33M------------43.14%73M43.14%73M----
Non current deferred assets --------412.83%4.92B412.83%4.92B------------65.06%959M65.06%959M----
Defined pension benefit --------2.29%1.25B2.29%1.25B------------29.90%1.23B29.90%1.23B----
Other non current assets 42.19%8.2B58.51%6.9B-34.86%682M-34.86%682M73.47%6.59B98.14%5.76B64.89%4.35B35.80%1.05B35.80%1.05B42.54%3.8B
Total non current assets -27.97%23.86B5.35%33.63B7.66%34.2B7.66%34.2B6.85%33.42B6.45%33.13B1.66%31.92B0.31%31.77B0.31%31.77B-1.79%31.28B
Total assets -11.26%43.38B17.82%55.24B8.88%50.58B8.88%50.58B7.46%49.62B7.11%48.88B2.25%46.89B-1.31%46.46B-1.31%46.46B-4.35%46.18B
Liabilities
Current liabilities
Payables -5.38%3.22B10.51%3.76B4.39%3.83B4.39%3.83B-0.27%3.32B-2.80%3.4B-1.16%3.4B2.40%3.67B2.40%3.67B6.15%3.33B
-accounts payable -12.94%2.81B7.73%3.37B1.95%3.25B1.95%3.25B1.34%3.1B-1.28%3.23B-1.07%3.13B6.31%3.18B6.31%3.18B7.02%3.06B
-Total tax payable 136.63%407M42.91%383M20.50%582M20.50%582M-18.52%220M-24.56%172M-2.19%268M-17.58%483M-17.58%483M-2.88%270M
Current accrued expenses -23.31%602M0.50%607M18.36%1.71B18.36%1.71B26.22%905M11.51%785M-5.33%604M-17.59%1.44B-17.59%1.44B-29.64%717M
Current debt and capital lease obligation -55.11%1.47B-68.03%1.05B44.25%3.17B44.25%3.17B60.75%3.37B30.40%3.28B53.18%3.28B40.06%2.2B40.06%2.2B-6.13%2.1B
-Current debt -57.07%1.3B-72.78%820M52.06%2.95B52.06%2.95B69.02%3.14B34.38%3.03B60.47%3.01B48.28%1.94B48.28%1.94B-5.88%1.86B
-Current capital lease obligation -30.74%169M-13.69%227M-13.79%225M-13.79%225M-2.90%234M-4.69%244M0.77%263M-0.76%261M-0.76%261M-8.02%241M
Current deferred liabilities --------6.32%572M6.32%572M------------1.70%538M1.70%538M----
Other current liabilities 160.79%9.05B136.26%7.75B319.96%5.68B319.96%5.68B131.63%7.87B9.22%3.47B11.61%3.28B3.44%1.35B3.44%1.35B4.75%3.4B
Current liabilities 31.17%14.35B24.63%13.16B60.63%15.3B60.63%15.3B62.07%15.47B10.51%10.94B15.34%10.56B5.40%9.52B5.40%9.52B-0.95%9.54B
Non current liabilities
Long term debt and capital lease obligation -9.61%12.22B55.51%21.11B-6.65%13.68B-6.65%13.68B-6.89%13.43B-7.39%13.52B-11.90%13.58B-12.45%14.66B-12.45%14.66B-14.03%14.42B
-Long term debt -9.06%11.78B59.04%20.59B-6.52%13.09B-6.52%13.09B-7.03%12.88B-7.60%12.95B-12.52%12.95B-12.80%14B-12.80%14B-14.48%13.85B
-Long term capital lease obligation -22.28%443M-17.54%517M-9.31%594M-9.31%594M-3.51%550M-2.40%570M3.13%627M-4.24%655M-4.24%655M-1.72%570M
Non current deferred liabilities ---------5.55%528M-5.55%528M------------22.05%559M22.05%559M----
Employee benefits -10.20%1.72B18.61%2.32B19.18%2.8B19.18%2.8B-26.22%1.85B-27.52%1.91B-29.94%1.96B-28.07%2.35B-28.07%2.35B-37.25%2.5B
Other non current liabilities -24.22%11.1B151.91%13.72B253.56%12.53B253.56%12.53B154.72%14.15B212.99%14.65B55.75%5.45B214.18%3.54B214.18%3.54B65.70%5.56B
Total non current liabilities -16.76%25.04B77.10%37.15B37.24%30.42B37.24%30.42B30.91%29.42B37.25%30.09B-3.32%20.98B-3.31%22.16B-3.31%22.16B-6.78%22.48B
Total liabilities -3.98%39.39B59.54%50.31B44.27%45.71B44.27%45.71B40.19%44.89B28.93%41.02B2.22%31.54B-0.84%31.69B-0.84%31.69B-5.12%32.02B
Shareholders'equity
Share capital 0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M
-common stock 0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M
Retained earnings -11.95%35.48B-21.88%37.47B-21.84%37.48B-21.84%37.48B-22.53%37.38B-11.00%40.29B4.15%47.97B4.65%47.95B4.65%47.95B6.36%48.25B
Paid-in capital 4.20%7.15B2.30%6.97B3.96%6.96B3.96%6.96B3.74%6.9B3.80%6.86B3.92%6.82B4.08%6.69B4.08%6.69B4.25%6.65B
Less: Treasury stock 0.67%33.15B-0.61%32.76B-1.19%32.86B-1.19%32.86B0.14%32.89B6.97%32.93B6.81%32.96B9.17%33.26B9.17%33.26B10.68%32.84B
Gains losses not affecting retained earnings 13.46%-5.57B-4.53%-6.83B-1.57%-6.78B-1.57%-6.78B15.77%-6.73B12.62%-6.43B4.45%-6.53B1.14%-6.67B1.14%-6.67B-4.79%-7.99B
Total stockholders'equity -49.78%3.92B-68.19%4.87B-67.35%4.81B-67.35%4.81B-66.82%4.67B-43.25%7.8B2.46%15.3B-2.15%14.72B-2.15%14.72B-2.63%14.08B
Noncontrolling interests 22.03%72M26.42%67M27.08%61M27.08%61M-22.37%59M-20.27%59M-28.38%53M-32.39%48M-32.39%48M8.57%76M
Total equity -49.24%3.99B-67.87%4.93B-67.04%4.87B-67.04%4.87B-66.58%4.73B-43.13%7.86B2.31%15.35B-2.30%14.77B-2.30%14.77B-2.57%14.16B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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