3M financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
$20.01B $21.17B $22.92B $24.46B $25.27B $23.12B $26.66B $29.61B $29.90B $30.87B $31.82B $30.27B $30.11B $31.66B $32.77B $32.14B $32.18B $35.36B $34.23B $32.68B $0.00M
GM % Gross Margin %
50.02% 50.83% 49.47% 48.20% 47.54% 48.11% 48.12% 47.00% 47.55% 47.83% 48.31% 49.32% 49.79% 49.56% 49.17% 46.90% 48.74% 46.89% 43.82% 43.46% 0.00%
OM Operating Margin
21.62% 22.93% 22.51% 22.20% 21.88% 21.72% 22.20% 20.86% 21.68% 21.59% 22.42% 23.17% 23.62% 23.16% 23.71% 19.62% 22.23% 22.03% 12.83% -27.65% 0.00%
EPS Earnings Per Share
$4.26 $4.49 $4.98 $5.17 $4.69 $5.75 $5.96 $6.32 $6.72 $7.49 $7.58 $8.16 $9.17 $10.46 $8.89 $8.74 $10.12 $10.10 $9.12 $0.00
Div. Dividends
$1.44 $1.68 $1.84 $1.92 $2.00 $2.04 $2.10 $2.20 $2.36 $2.54 $3.42 $4.10 $4.44 $4.70 $5.44 $5.76 $5.88 $5.92 $5.96 $6.14 $0.00
PR % Payout Ratio %
38.40% 39.44% 40.98% 38.55% 38.68% 43.50% 36.52% 36.91% 37.34% 37.80% 45.66% 54.09% 54.41% 51.25% 52.01% 64.79% 67.28% 58.50% 59.01% 67.32% 0
Sha. Shares
778.53m 759.93m 736.37m 713.23m 692.96m 707.96m 714.86m 700.84m 691.93m 665.24m 640.82m 615.71m 601.47m 595.61m 582.29m 575.05m 576.82m 576.25m 569.06m 552.32m 552.58m
OCF Operating Cash Flow
$4.23B $4.20B $3.84B $4.25B $4.53B $4.94B $5.17B $5.28B $5.30B $5.82B $6.63B $6.42B $6.66B $6.24B $6.44B $7.07B $8.11B $7.45B $5.59B $6.68B $0.00M
FCF Free Cash Flow
$3.29B $3.26B $2.67B $2.82B $3.06B $4.04B $4.08B $3.91B $3.82B $4.15B $5.13B $4.96B $5.24B $4.87B $4.86B $5.37B $6.61B $5.85B $3.84B $5.07B $0.00M
FCFS Free Cash Flow Per Share
$4.22 $4.26 $3.57 $3.93 $4.38 $5.76 $5.72 $5.51 $5.50 $6.09 $7.91 $7.93 $8.67 $8.15 $8.26 $9.31 $11.45 $10.11 $6.79 $9.14 $0.00