3M CO (MMM)

168.83 1.2 (0.72%)

As of 2026-02-18 04:30:01 EST

The 3M Company (originally the Minnesota Mining and Manufacturing Company) is an American multinational conglomerate operating in the fields of industry, worker safety, and consumer goods. Based in the Saint Paul suburb of Maplewood, the company produces over 60,000 products, including adhesives, abrasives, laminates, passive fire protection, personal protective equipment, window films, paint protection film, electrical, electronic connecting, insulating materials, car-care products, electronic circuits, and optical films. Among its best-known consumer brands are Scotch Tape, Scotchgard surface protectants, Post-it notes, and Nexcare adhesive bandages. 3M's stock ticker symbol is MMM and is listed on the New York Stock Exchange, Inc. (NYSE), and the SIX Swiss Exchange.

Traded asNYSE: MMM
ISINUS88579Y1010
CIK0000066740
LEILUZQVYP4VS22CLWDAR65
EIN410417775
SectorConglomerate
IndustrySurgical & Medical Instruments & Apparatus
CEOWilliam M. Brown
Employees60,500
Fiscal Year End1231
Address3M CENTER, ST PAUL, MN, 55144-1000
Phone6517331110
Websitehttp://3m.com
Stock Quotes
trading_symbolregistrant_nametimepricechangepercentage_change
MMM3M CO2026-02-18 04:30:01168.831.20.72
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Company Information
trading_symbolcentral_index_keyregistrant_nameisin_numberlei_numberein_numberexchangesic_codesic_descriptionfiscal_year_endstate_of_incorporationaddress_streetaddress_cityaddress_stateaddress_zip_codeaddress_countryaddress_country_codephone_numbermailing_addressbusiness_addressformer_nameindustryfounding_datechief_executive_officernumber_of_employeeswebsitemarket_capshares_issuedshares_outstandingdescriptionupdate_time
MMM00000667403M COUS88579Y1010LUZQVYP4VS22CLWDAR65410417775NYSE3841Surgical & Medical Instruments & Apparatus1231DE3M CENTERST PAULMN55144-1000UNITED STATESUS65173311103M CENTER, ST. PAUL, MN, 55144-10003M CENTER, ST PAUL, MN, 55144-1000MINNESOTA MINING & MANUFACTURING COConglomerate1902-06-13William M. Brown60,500http://3m.com81,100,000,000944,033,056526,700,000The 3M Company (originally the Minnesota Mining and Manufacturing Company) is an American multinational conglomerate operating in the fields of industry, worker safety, and consumer goods. Based in the Saint Paul suburb of Maplewood, the company produces over 60,000 products, including adhesives, abrasives, laminates, passive fire protection, personal protective equipment, window films, paint protection film, electrical, electronic connecting, insulating materials, car-care products, electronic circuits, and optical films. Among its best-known consumer brands are Scotch Tape, Scotchgard surface protectants, Post-it notes, and Nexcare adhesive bandages. 3M's stock ticker symbol is MMM and is listed on the New York Stock Exchange, Inc. (NYSE), and the SIX Swiss Exchange.2026-02-12 15:16:35
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MMM Stock Price (End-of-Day)
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MMM Stock Price (1-Minute)
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Market Cap
Fiscal YearMarket CapChange In Market CapPercentage Change In Market CapShares OutstandingChange In Shares OutstandingPercentage Change In Shares Outstanding
202581,100,000,00025,000,000,00044.5633526,700,000-16,200,000-2.984
202456,100,000,000900,000,0001.6304542,900,000-9,800,000-1.7731
202355,200,000,000-18,500,000,000-25.1018552,700,0002,200,0000.3996
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Executive Compensation
Executive NameExecutive PositionFiscal YearSalaryBonusStock AwardsIncentive Plan CompensationOther CompensationTotal Compensation
Anurag MaheshwariChief Financial Officer, Executive Vice President2024350,0003,150,0005,833,685495,070120,9539,949,708
Wendy A. BauerGroup President2024434,2151,200,0003,431,707608,301148,3475,822,571
William M. BrownChief Executive Officer, Chairman Of The Board20241,200,0003,000,0009,333,4922,711,725612,01321,191,031
Michael F. RomanExecutive Chairman20241,165,39906,500,0152,622,780154,69317,213,005
Peter D. GibbonsGroup President2024882,07604,942,0211,134,370210,6927,169,159
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Employee Count
Fiscal YearEmployee Count
202560,500
202461,500
202385,000
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Income Statements
Fiscal Year202520242023
Revenue24,948,000,00024,575,000,00032,681,000,000
Cost Of Revenue14,991,000,00014,447,000,00018,477,000,000
Gross Profit
Research And Development Expenses1,169,000,000700,000,0001,000,000,000
General And Administrative Expenses3,997,000,0004,221,000,00021,526,000,000
Operating Expenses20,319,000,00019,753,000,00041,809,000,000
Operating Income4,629,000,0004,822,000,000-9,128,000,000
Net Income3,250,000,0004,173,000,000-6,995,000,000
Earnings Per Share Basic6.057.58-12.63
Earnings Per Share Diluted67.55-12.63
Weighted Average Shares Outstanding Basic537,400,000550,800,000553,900,000
Weighted Average Shares Outstanding Diluted541,300,000552,400,000553,900,000
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Balance Sheet Statements
Fiscal Year202520242023
Cash And Cash Equivalents5,235,000,0005,600,000,0005,933,000,000
Marketable Securities Current
Accounts Receivable3,533,000,0003,194,000,0004,750,000,000
Inventories3,661,000,0003,698,000,0004,822,000,000
Non Trade Receivables
Other Assets Current2,823,000,000828,000,000336,000,000
Total Assets Current16,387,000,00015,884,000,00016,379,000,000
Marketable Securities Non Current
Property Plant And Equipment7,101,000,0007,388,000,0009,159,000,000
Other Assets Non Current6,723,000,0008,540,000,0007,130,000,000
Total Assets Non Current21,346,000,00023,984,000,00034,201,000,000
Total Assets37,733,000,00039,868,000,00050,580,000,000
Accounts Payable2,702,000,0002,660,000,0003,245,000,000
Deferred Revenue15,000,000572,000,000
Short Term Debt1,670,000,0001,919,000,0002,947,000,000
Other Liabilities Current4,450,000,0005,471,000,0007,611,000,000
Total Liabilities Current9,595,000,00011,256,000,00015,297,000,000
Long Term Debt12,602,000,00013,044,000,00014,240,000,000
Other Liabilities Non Current10,828,000,00011,375,000,00014,322,000,000
Total Liabilities Non Current23,391,000,00024,718,000,00030,415,000,000
Total Liabilities32,986,000,00035,974,000,00045,712,000,000
Common Stock9,000,0009,000,0009,000,000
Retained Earnings38,258,000,00036,797,000,00037,479,000,000
Accumulated Other Comprehensive Income-5,069,000,000-5,731,000,000-6,778,000,000
Total Shareholders Equity4,702,000,0003,842,000,0004,807,000,000
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Cash Flow Statements
Fiscal Year202520242023
Depreciation And Amortization1,308,000,0001,363,000,0001,987,000,000
Share Based Compensation Expense225,000,000289,000,000274,000,000
Other Non Cash Income Expense
Change In Accounts Receivable211,000,000-114,000,000170,000,000
Change In Inventories-139,000,000-41,000,000-567,000,000
Change In Non Trade Receivables
Change In Other Assets
Change In Accounts Payable21,000,00046,000,000138,000,000
Change In Other Liabilities3,145,000,0005,152,000,000-14,979,000,000
Cash From Operating Activities2,306,000,0001,819,000,0006,680,000,000
Purchases Of Marketable Securities1,305,000,0004,153,000,0001,466,000,000
Sales Of Marketable Securities3,468,000,0002,074,000,0001,660,000,000
Acquisition Of Property Plant And Equipment910,000,0001,181,000,0001,615,000,000
Acquisition Of Business
Other Investing Activities3,000,0007,000,000-35,000,000
Cash From Investing Activities1,350,000,000-3,206,000,000-1,207,000,000
Tax Withholding For Share Based Compensation
Payments Of Dividends1,562,000,0001,982,000,0003,311,000,000
Issuance Of Common Stock
Repurchase Of Common Stock3,251,000,0001,801,000,00033,000,000
Issuance Of Long Term Debt
Repayment Of Long Term Debt
Other Financing Activities-49,000,000-96,000,000-21,000,000
Cash From Financing Activities-4,016,000,0001,098,000,000-3,147,000,000
Change In Cash-365,000,000-333,000,0002,278,000,000
Cash At End Of Period5,235,000,0005,600,000,0005,933,000,000
Income Taxes Paid800,000,000852,000,0001,384,000,000
Interest Paid467,000,000505,000,000520,000,000
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Key Metrics
Fiscal Year202520242023
Earnings Per Share6.057.58-12.63
Price To Earnings Ratio26.462817.0303-7.4299
Earnings Growth Rate-20.1847-160.0158-223.7023
Price Earnings To Growth Ratio-1.311-0.10640.0332
Book Value Per Share8.83337.06978.7886
Price To Book Ratio18.124718.259610.6775
Ebitda5,806,000,0006,860,000,000-2,682,000,000
Enterprise Value95,074,740,00080,465,772,00063,231,865,220
Dividend Yield0.01820.02790.0637
Dividend Payout Ratio0.48060.475-0.4733
Debt To Equity Ratio3.03533.89463.5754
Capital Expenditures1,021,000,000-408,000,0001,968,000,000
Free Cash Flow1,285,000,0002,227,000,0004,712,000,000
Return On Equity0.69121.0862-1.4552
One Year Beta1.03250.72081.177
Three Year Beta0.99350.78760.7403
Five Year Beta0.81230.79220.8251
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Insider Transactions
Insider NameRelationship To IssuerTransaction DateAmount Of SecuritiesAcquired Or DisposedSecurities Owned Following Transaction
Reinseth Theresa ESr Vice President & CAO2026-02-111,796D2,584
Reinseth Theresa ESr Vice President & CAO2026-02-113,349A5,933
Reinseth Theresa ESr Vice President & CAO2026-02-111,123D4,810
Reinseth Theresa ESr Vice President & CAO2026-02-111,946D2,864
Reinseth Theresa ESr Vice President & CAO2026-02-11240D2,624
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Senate Trading
Name Of Reporting PersonType Of Reporting PersonReport DateTransaction TypeTransaction DateOwner TypeAmount
Thomas H TubervilleSenator2024-05-15Sale (Full)2024-04-29Joint$15,001 - $50,000
Thomas H TubervilleSenator2023-11-16Purchase2023-10-17Joint$15,001 - $50,000
Sheldon WhitehouseSenator2023-10-17Sale (Full)2023-09-20Self$15,001 - $50,000
Thomas H TubervilleSenator2023-08-14Purchase2023-07-25Joint$1,001 - $15,000
Angus S King, Jr.Senator2023-06-20Sale (Full)2023-05-19Spouse$1,001 - $15,000
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House Trading
Name Of Reporting PersonReport DateStateTransaction TypeTransaction DateOwner TypeAmount
Julie Johnson2026-01-15TX32Sale2025-12-18Joint$1,001 - $15,000
Julia Letlow2026-01-13LA05Purchase2025-01-17$1,001 - $15,000
Julie Johnson2025-12-11TX32Sale (Partial)2025-11-13Joint$1,001 - $15,000
Josh Gottheimer2025-11-17NJ05Sale (Partial)2025-10-20Joint$1,001 - $15,000
Valerie Hoyle2025-09-12OR04Sale2025-07-28Spouse$1,001 - $15,000
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Institutional Holdings
Investor NamePeriod Of ReportMarket ValueAmount Of SecuritiesPrice Per Security
CARDIFF PARK ADVISORS, LLC2025-12-31355,5822,221160.1
WFA of San Diego, LLC2025-12-3164,040400160.1
LAZARD ASSET MANAGEMENT LLC2025-12-31105,871,248661,282160.1
Cetera Investment Advisers2025-12-3139,097,210244,204160.1006
Redwood Park Advisors LLC2025-12-319616160.1667
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Mutual Fund Holdings
Registrant NamePeriod Of ReportFund NameFund SymbolAmount Of UnitsValue In UsdPercentage Value Compared To Assets
EMPOWER FUNDS, INC.2025-12-31Institutional ClassMXKWX81,76913,091,216.850.1417
EMPOWER FUNDS, INC.2025-12-31Investor ClassMXVIX81,76913,091,216.850.1417
EMPOWER FUNDS, INC.2025-12-31Institutional ClassMXCOX600,000565,626.940.0118
EMPOWER FUNDS, INC.2025-12-31Institutional ClassMXCOX1,000,000744,3940.0156
EMPOWER FUNDS, INC.2025-12-31Investor ClassMXBIX600,000565,626.940.0118
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