3M Company

MMM.DE · XETRA
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Assets
Cash & Equivalents€5,600€5,933€3,655€4,564
Short-Term Investments€2,128€53€238€201
Receivables€3,272€4,864€4,532€4,660
Inventory€3,698€4,822€5,372€4,985
Other Curr. Assets€1,186€707€891€993
Total Curr. Assets€15,884€16,379€14,688€15,403
Property Plant & Equip (Net)€7,953€9,918€10,007€10,287
Goodwill€6,281€12,927€12,790€13,486
Intangibles€1,210€4,226€4,699€5,288
Long-Term Investments€2,505€244€967€262
Tax Assets€4,146€0€959€581
Other NC Assets€1,889€6,886€2,345€1,765
Total NC Assets€23,984€34,201€31,767€31,669
Other Assets€0€0€0€0
Total Assets€39,868€50,580€46,455€47,072
Liabilities
Payables€2,660€2,776€3,183€2,994
Short-Term Debt€2,082€3,172€2,199€1,577
Tax Payable€515€582€259€260
Deferred Revenue€15€11€538€529
Other Curr. Liab.€5,984€8,767€3,882€4,204
Total Curr. Liab.€11,256€15,297€9,523€9,035
LT Debt€11,577€13,682€14,758€16,740
Deferred Rev, NC€0-€70€0-€458
Deferred Tax Liab, NC€354€315€559€458
Other NC Liab.€12,787€16,418€7,404€6,180
Total NC Liab.€24,718€30,415€22,162€22,920
Other Liabilities€0€0€0€0
Cap. Leases€615€819€916€954
Total Liabilities€35,974€45,712€31,685€31,955
Equity
Pref Stock€0€0€0€0
Common Stock€9€9€9€9
Retained Earnings€36,797€37,479€47,950€45,821
AOCI-€5,731-€6,778-€6,673-€6,750
Other Equity-€27,233-€25,903-€26,564-€24,034
Total Equity€3,842€4,807€14,770€15,117
Supplemental Information
Minority Interest€52€61€48€71
Total Liab. & Tot. Equity€39,868€50,580€46,455€47,072
Net Debt€8,059€10,921€13,302€13,753