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3M Company

NYSE: MMM

Stock price

150.32 USD

(-9.19%) 5 years

manufacturing
Conglomerates

Financial Performance

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5Y price score: (14)

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The price score is a basic measure of the stock's performance
against the S&P 500 Index over a five-year period.
A score of 100 indicates that the stock did as well as the S&P 500 Index.
A score below 100 means the stock underperformed the index,
while a score above 100 means it outperformed the S&P 500.

10Y return: 38.9%

DATE RANGE:

US$ Per
Share

  • Earnings per share

  • Free cash flow per share

  • Stock price

By default your notes are visible only to you.

124.6

52-week range

177.4

150.32

Your model inputs

Required return / cost of capital
FCFF terminal growth rate

Your fair value & Margin of safety

To calculate fair value based on cost of capital and terminal growth assumptions above, please select free cash flow forecast.

Forecast:

Valuation

Free Cash Flow Yield

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FCF Yield TTM = Trailing Twelve Months free cash flow per share / current market price per share

1.7 %

Dividend Yield TTM

2 %

Market cap $

$ 79,173.5

Price / Earnings TTM

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P/E TTM = current market price per share / Trailing Twelve Months diluted earnings per share

25.1

Price / Book TTM

17.1

PEG TTM

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Price/Earnings-to-Growth ratio = P/E TTM divided by most recent annual diluted earnings per share growth rate

(1.2)

Earnings growth and return

LTM

5YR

10YR

Total return (price & dividends)

15.2 %

3.6 %

38.9 %

Free cash flow per share growth

124.2 %

(77.2) %

(66.7) %

Earnings per share growth

(20.5) %

(35.9) %

(20.8) %

Founded: 1,902

Employees: 85,000

Business Summary: 3M Company operates as a diversified technology company worldwide. It operates through four segments: Safety and Industrial; Transportation and Electronics; Health Care; and Consumer. The Safety and Industrial segment offers industrial abrasives and finishing for metalworking applications; autobody repair solutions; closure systems for personal hygiene products, masking, and packaging materials; electrical products and materials for construction and maintenance, power distribution, and electrical original equipment manufacturers; structural adhesives and tapes; respiratory, hearing, eye, and fall protection solutions; and natural and color-coated mineral granules for shingles. The Transportation and Electronics segment provides ceramic solutions; attachment tapes, films, sound, and temperature management for transportation vehicles; premium large format graphic films for advertising and fleet signage; light management films and electronics assembly solutions; packaging and interconnection solutions; and reflective signage for highway, and vehicle safety. The Healthcare segment offers food safety indicator solutions; health care procedure coding and reimbursement software; skin, wound care, and infection prevention products and solutions; dentistry and orthodontia solutions; and filtration and purification systems. The Consumer segment provides consumer bandages, braces, supports and consumer respirators; cleaning products for the home; retail abrasives, paint accessories, car care DIY products, picture hanging, and consumer air quality solutions; and stationery products. It offers its products through e-commerce and traditional wholesalers, retailers, jobbers, distributors, and dealers. The company was founded in 1902 and is based in St. Paul, Minnesota.

Financials

all figures in USD Millions except per share data

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Averages

based on historical growth rates (CAGR) and average margins for last 10 or max, available and up to 10 years.

Analysts

Average Revenue and Net Income forecast estimates from analysts who cover the stock.

Custom

you can edit default forecast based on averages or analysts consensus and use it to calculate fair value based on your assumptions.

Actual
10 year gagr
Estimated
Projected
Fiscal
FISCAL PERIOD END DATES
01Earnings per share
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Diluted EPS
02FCF per share
03Dividends per share
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Adjusted for splits
04Dividends payout, %
05Revenue
06ㅤ% Change
07Net Income
08ㅤ% Margin
09CFO
10ㅤ% Of revenue
11CAPEX
12ㅤ% Change
13FCFF
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Free Cash Flow to the Firm = Cash Flows from Operating Activities (09) – Capital Expenditures (11)
14Total assets
15ㅤ% Change
16Total liabilities
17ㅤ% Of assets
18Shareholders Equity
19Net Debt
20Shares Outstanding
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Diluted Weighted-average Shares Outstanding
21ㅤ% Change
22ROA
23ROE
24Interest coverage
25Dividend Yield
26P/E Ratio
27Stock price range
28Market Cap
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End of Period Market Cap
29FCF Yield
30Average stock price
31 CEO
Fair Value Reference Estimate

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  • Total

Required return / cost of capital
FCFF terminal growth rate
Free cash flow forecast
Terminal value
ㅤPV breakdown
Enterprise value / PV of FCF
ㅤPlus / (Less): Net Debt
ㅤLess: preferred stock
ㅤLess: minority interest
Market cap
ㅤNumber of shares
Price per share

Latest Earnings Call Takeaways

2025 Q4 (Jan 20, 2026)

1) Strategy & Leadership
- 3M Company reported solid Q4 results, with a focus on commercial excellence and innovation driving organic sales growth of 2.2%.
- The company emphasized three pillars of commercial excellence: improved sales effectiveness, stronger collaboration with channel partners, and increased customer loyalty.
- 284 new products were launched in 2025, exceeding targets and contributing to a 23% increase in sales from products launched in the last five years.
- The company is transitioning to a more integrated operating model, focusing on priority verticals that represent over 60% of revenue, with plans to adjust the portfolio to enhance growth potential.

2) Financial & Segment Results
- Q4 adjusted EPS was $1.83, a 9% increase YoY, with full-year adjusted EPS of $8.06, reflecting a 10% growth.
- Organic sales growth for 2025 was 2.1%, with margin expansion of 200 basis points, and free cash flow conversion slightly above 100%.
- The Safety and Industrial segment saw a 3.8% organic sales increase in Q4, driven by strong performance in safety and industrial adhesives.
- Transportation and Electronics segment grew 2.4% in Q4, while the Consumer segment declined by 2.2%, impacted by weaker consumer sentiment.

3) Operational Improvements & Challenges
- Operational metrics improved significantly: OTIF (On-Time In Full) reached above 90%, OEE (Overall Equipment Effectiveness) increased to about 63%, and cost of poor quality decreased to 6% of the cost of goods.
- The company faced headwinds from tariffs and stranded costs, which impacted margins and profitability.
- Consumer segment challenges included sluggish retail traffic and lower point-of-sale trends, particularly in discretionary categories.

4) Guidance & Outlook
- For 2026, 3M expects organic sales growth of approximately 3%, adjusted EPS between $8.5 and $8.7, and free cash flow conversion greater than 100%.
- The company anticipates continued strength in industrial businesses, with watch items including consumer recovery and auto build rates.
- Margin expansion of 70 to 80 basis points is expected, driven by volume growth and productivity improvements, despite ongoing headwinds from tariffs and increased investments.

5) Investor Angle & Missing Information
- The company is committed to returning $10 billion to shareholders through dividends and buybacks, having returned $4.8 billion in 2025.
- There was no detailed discussion on specific litigation costs or the impact of potential new tariffs from Europe, which could affect future guidance.
- Overall, the transcript provided a comprehensive view of the company's performance and strategic direction, but further details on litigation and tariff impacts would enhance clarity for investors.

Bottom line: 3M Company demonstrated solid operational performance and strategic execution in 2025, positioning itself for continued growth in 2026 despite macroeconomic challenges. The focus on innovation and commercial excellence is expected to drive organic growth and shareholder returns, making it a potentially attractive investment for shareholders.

3M Company — Financial Overview, Stock Price, Market Cap

3M Company is a company. Founded in 1902. As of April 13, 2026, the company's market capitalization is $79173544000 with a current stock price of $150.32.