US Stock MarketDetailed Quotes

3M (MMM)

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  • 145.990
  • +1.150+0.79%
Close Apr 24 16:00 ET
  • 145.850
  • -0.140-0.10%
Post 20:01 ET
76.14BMarket Cap28.13P/E (TTM)

3M (MMM) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
826.58%574M
26.77%2.31B
-12.93%1.58B
198.27%1.76B
-193.44%-954M
-110.30%-79M
-72.77%1.82B
-8.46%1.82B
-193.56%-1.79B
-32.34%1.02B
Net income from continuing operations
-41.27%659M
-22.11%3.26B
-21.15%574M
-38.88%841M
-37.01%725M
20.26%1.12B
160.01%4.19B
-23.13%728M
166.44%1.38B
116.84%1.15B
Operating gains losses
-36.23%44M
-58.07%434M
-12.20%72M
307.27%224M
-91.82%69M
27.78%69M
849.54%1.04B
156.25%82M
2,650.00%55M
2,121.05%844M
Depreciation and amortization
12.41%326M
-4.04%1.31B
33.54%430M
-3.87%298M
-3.65%290M
-32.56%290M
-31.40%1.36B
-40.04%322M
-42.06%310M
-32.96%301M
Deferred tax
-50.00%75M
30.22%418M
328.57%120M
-54.49%81M
331.03%67M
4.17%150M
108.33%321M
107.24%28M
119.33%178M
98.82%-29M
Other non cash items
-65.22%-38M
5.84%-145M
-21.05%-46M
-26.67%-38M
0.00%-38M
52.08%-23M
-1.32%-154M
43.28%-38M
-7.14%-30M
-26.67%-38M
Change In working capital
67.72%-572M
38.81%-3.2B
-39.91%390M
107.99%297M
-53.08%-2.11B
-128.65%-1.77B
-134.15%-5.22B
-25.57%649M
-185.53%-3.72B
-113.39%-1.38B
-Change in receivables
4.25%-248M
-285.09%-211M
19.40%240M
-124.24%-32M
-11.89%-160M
-240.79%-259M
167.06%114M
0.00%201M
500.00%132M
55.31%-143M
-Change in inventory
59.20%-51M
239.02%139M
8.45%231M
51.02%148M
10.85%-115M
11.35%-125M
-92.77%41M
-35.65%213M
-27.41%98M
-1,390.00%-129M
-Change in payables and accrued expense
-10.45%120M
-54.35%21M
-58.42%79M
71.74%-39M
25.37%-153M
-32.66%134M
-66.67%46M
-51.16%190M
-700.00%-138M
24.91%-205M
-Change in other working capital
74.18%-393M
42.02%-3.15B
-455.56%-160M
105.77%220M
-86.59%-1.68B
-101.06%-1.52B
-136.75%-5.42B
191.84%45M
-191.43%-3.81B
-108.29%-902M
Cash from discontinued investing activities
Operating cash flow
826.58%574M
26.77%2.31B
-12.93%1.58B
198.27%1.76B
-193.44%-954M
-110.30%-79M
-72.77%1.82B
-8.46%1.82B
-193.56%-1.79B
-32.34%1.02B
Investing cash flow
Cash flow from continuing investing activities
-95.08%60M
142.11%1.35B
64.66%-405M
138.62%465M
115.12%70M
410.43%1.22B
-165.62%-3.21B
-280.73%-1.15B
-319.51%-1.2B
-98.71%-463M
Net PPE purchase and sale
-2.29%-223M
27.23%-815M
22.11%-222M
30.33%-170M
13.50%-205M
38.42%-218M
25.13%-1.12B
19.26%-285M
22.29%-244M
33.61%-237M
Net business purchase and sale
----
--5M
--0
--0
----
----
--0
--0
--0
----
Net investment purchase and sale
-80.50%281M
204.04%2.16B
79.23%-183M
166.01%635M
220.00%270M
13,200.00%1.44B
-1,171.65%-2.08B
-2,057.78%-881M
-4,480.95%-962M
-367.86%-225M
Net other investing changes
166.67%2M
57.14%-3M
--0
--0
--0
89.29%-3M
-120.00%-7M
185.71%20M
116.67%2M
---1M
Cash from discontinued investing activities
Investing cash flow
-95.08%60M
142.11%1.35B
64.66%-405M
138.62%465M
115.12%70M
410.43%1.22B
-165.62%-3.21B
-280.73%-1.15B
-319.51%-1.2B
-98.71%-463M
Financing cash flow
Cash flow from continuing financing activities
-403.32%-2.12B
-465.76%-4.02B
42.87%-617M
-11.34%-1.21B
-30.27%-1.77B
-109.13%-422M
134.89%1.1B
-16.88%-1.08B
-54.12%-1.09B
-69.12%-1.36B
Net issuance payments of debt
--0
-113.00%-716M
-266.67%-11M
---554M
---500M
-93.66%349M
12,069.57%5.51B
97.22%-3M
--0
--0
Net common stock issuance
-56.91%-2B
-80.51%-3.25B
21.70%-552M
30.07%-472M
-138.25%-953M
-5,966.67%-1.27B
-5,357.58%-1.8B
-35,150.00%-705M
-33,650.00%-675M
---400M
Cash dividends paid
-4.04%-412M
21.19%-1.56B
-2.38%-387M
-1.57%-389M
-1.04%-390M
52.57%-396M
40.14%-1.98B
54.35%-378M
53.74%-383M
53.38%-386M
Proceeds from stock option exercised by employees
-66.63%302M
1,597.83%1.56B
1,329.17%343M
507.89%231M
591.67%83M
4,927.78%905M
-65.15%92M
26.32%24M
40.74%38M
-61.29%12M
Net other financing activities
-150.00%-15M
93.17%-49M
44.44%-10M
63.08%-24M
98.46%-9M
88.00%-6M
-3,314.29%-717M
-260.00%-18M
-828.57%-65M
-11,580.00%-584M
Cash from discontinued financing activities
Financing cash flow
-403.32%-2.12B
-465.76%-4.02B
42.87%-617M
-11.34%-1.21B
-30.27%-1.77B
-109.13%-422M
134.89%1.1B
-16.88%-1.08B
-54.12%-1.09B
-69.12%-1.36B
Net cash flow
Beginning cash position
-6.52%5.24B
-5.61%5.6B
-22.79%4.67B
-63.19%3.71B
-42.02%6.33B
-5.61%5.6B
62.33%5.93B
17.70%6.05B
136.80%10.08B
185.33%10.91B
Current changes in cash
-307.23%-1.49B
-24.57%-360M
237.50%561M
124.85%1.01B
-231.63%-2.65B
-85.61%719M
-112.42%-289M
-153.61%-408M
-543.53%-4.08B
-269.13%-800M
Effect of exchange rate changes
-285.71%-13M
193.18%41M
111.90%5M
-123.26%-10M
239.29%39M
141.18%7M
8.33%-44M
-231.25%-42M
216.22%43M
28.21%-28M
End cash Position
-41.05%3.73B
-6.52%5.24B
-6.52%5.24B
-22.79%4.67B
-63.19%3.71B
-42.02%6.33B
-5.61%5.6B
-5.61%5.6B
17.70%6.05B
136.80%10.08B
Free cash flow
210.79%349M
118.81%1.4B
-12.57%1.34B
175.65%1.54B
-254.52%-1.16B
-180.36%-315M
-87.40%638M
-6.20%1.53B
-235.08%-2.03B
-33.57%752M
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
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 826.58%574M26.77%2.31B-12.93%1.58B198.27%1.76B-193.44%-954M-110.30%-79M-72.77%1.82B-8.46%1.82B-193.56%-1.79B-32.34%1.02B
Net income from continuing operations -41.27%659M-22.11%3.26B-21.15%574M-38.88%841M-37.01%725M20.26%1.12B160.01%4.19B-23.13%728M166.44%1.38B116.84%1.15B
Operating gains losses -36.23%44M-58.07%434M-12.20%72M307.27%224M-91.82%69M27.78%69M849.54%1.04B156.25%82M2,650.00%55M2,121.05%844M
Depreciation and amortization 12.41%326M-4.04%1.31B33.54%430M-3.87%298M-3.65%290M-32.56%290M-31.40%1.36B-40.04%322M-42.06%310M-32.96%301M
Deferred tax -50.00%75M30.22%418M328.57%120M-54.49%81M331.03%67M4.17%150M108.33%321M107.24%28M119.33%178M98.82%-29M
Other non cash items -65.22%-38M5.84%-145M-21.05%-46M-26.67%-38M0.00%-38M52.08%-23M-1.32%-154M43.28%-38M-7.14%-30M-26.67%-38M
Change In working capital 67.72%-572M38.81%-3.2B-39.91%390M107.99%297M-53.08%-2.11B-128.65%-1.77B-134.15%-5.22B-25.57%649M-185.53%-3.72B-113.39%-1.38B
-Change in receivables 4.25%-248M-285.09%-211M19.40%240M-124.24%-32M-11.89%-160M-240.79%-259M167.06%114M0.00%201M500.00%132M55.31%-143M
-Change in inventory 59.20%-51M239.02%139M8.45%231M51.02%148M10.85%-115M11.35%-125M-92.77%41M-35.65%213M-27.41%98M-1,390.00%-129M
-Change in payables and accrued expense -10.45%120M-54.35%21M-58.42%79M71.74%-39M25.37%-153M-32.66%134M-66.67%46M-51.16%190M-700.00%-138M24.91%-205M
-Change in other working capital 74.18%-393M42.02%-3.15B-455.56%-160M105.77%220M-86.59%-1.68B-101.06%-1.52B-136.75%-5.42B191.84%45M-191.43%-3.81B-108.29%-902M
Cash from discontinued investing activities
Operating cash flow 826.58%574M26.77%2.31B-12.93%1.58B198.27%1.76B-193.44%-954M-110.30%-79M-72.77%1.82B-8.46%1.82B-193.56%-1.79B-32.34%1.02B
Investing cash flow
Cash flow from continuing investing activities -95.08%60M142.11%1.35B64.66%-405M138.62%465M115.12%70M410.43%1.22B-165.62%-3.21B-280.73%-1.15B-319.51%-1.2B-98.71%-463M
Net PPE purchase and sale -2.29%-223M27.23%-815M22.11%-222M30.33%-170M13.50%-205M38.42%-218M25.13%-1.12B19.26%-285M22.29%-244M33.61%-237M
Net business purchase and sale ------5M--0--0----------0--0--0----
Net investment purchase and sale -80.50%281M204.04%2.16B79.23%-183M166.01%635M220.00%270M13,200.00%1.44B-1,171.65%-2.08B-2,057.78%-881M-4,480.95%-962M-367.86%-225M
Net other investing changes 166.67%2M57.14%-3M--0--0--089.29%-3M-120.00%-7M185.71%20M116.67%2M---1M
Cash from discontinued investing activities
Investing cash flow -95.08%60M142.11%1.35B64.66%-405M138.62%465M115.12%70M410.43%1.22B-165.62%-3.21B-280.73%-1.15B-319.51%-1.2B-98.71%-463M
Financing cash flow
Cash flow from continuing financing activities -403.32%-2.12B-465.76%-4.02B42.87%-617M-11.34%-1.21B-30.27%-1.77B-109.13%-422M134.89%1.1B-16.88%-1.08B-54.12%-1.09B-69.12%-1.36B
Net issuance payments of debt --0-113.00%-716M-266.67%-11M---554M---500M-93.66%349M12,069.57%5.51B97.22%-3M--0--0
Net common stock issuance -56.91%-2B-80.51%-3.25B21.70%-552M30.07%-472M-138.25%-953M-5,966.67%-1.27B-5,357.58%-1.8B-35,150.00%-705M-33,650.00%-675M---400M
Cash dividends paid -4.04%-412M21.19%-1.56B-2.38%-387M-1.57%-389M-1.04%-390M52.57%-396M40.14%-1.98B54.35%-378M53.74%-383M53.38%-386M
Proceeds from stock option exercised by employees -66.63%302M1,597.83%1.56B1,329.17%343M507.89%231M591.67%83M4,927.78%905M-65.15%92M26.32%24M40.74%38M-61.29%12M
Net other financing activities -150.00%-15M93.17%-49M44.44%-10M63.08%-24M98.46%-9M88.00%-6M-3,314.29%-717M-260.00%-18M-828.57%-65M-11,580.00%-584M
Cash from discontinued financing activities
Financing cash flow -403.32%-2.12B-465.76%-4.02B42.87%-617M-11.34%-1.21B-30.27%-1.77B-109.13%-422M134.89%1.1B-16.88%-1.08B-54.12%-1.09B-69.12%-1.36B
Net cash flow
Beginning cash position -6.52%5.24B-5.61%5.6B-22.79%4.67B-63.19%3.71B-42.02%6.33B-5.61%5.6B62.33%5.93B17.70%6.05B136.80%10.08B185.33%10.91B
Current changes in cash -307.23%-1.49B-24.57%-360M237.50%561M124.85%1.01B-231.63%-2.65B-85.61%719M-112.42%-289M-153.61%-408M-543.53%-4.08B-269.13%-800M
Effect of exchange rate changes -285.71%-13M193.18%41M111.90%5M-123.26%-10M239.29%39M141.18%7M8.33%-44M-231.25%-42M216.22%43M28.21%-28M
End cash Position -41.05%3.73B-6.52%5.24B-6.52%5.24B-22.79%4.67B-63.19%3.71B-42.02%6.33B-5.61%5.6B-5.61%5.6B17.70%6.05B136.80%10.08B
Free cash flow 210.79%349M118.81%1.4B-12.57%1.34B175.65%1.54B-254.52%-1.16B-180.36%-315M-87.40%638M-6.20%1.53B-235.08%-2.03B-33.57%752M
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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