3M Company MMM
Industrials · Conglomerates · United States · S&P 500
Based on the available data, 3M Company gets an algorithmic score of 54/100. It trades at 168.49 $, with a bullish technical trend (RSI 48.7) and 26.3% annual volatility.
Updated: 2026-09-30
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Strengths
- High ROE (81.9%): generates strong profit on equity.
Weaknesses
- Shrinking revenue (-1.6% per year).
- High leverage (debt/equity 438%): rate-sensitive.
Fundamentals
| P/E | 29.93 |
| Forward P/E | 17.17 |
| PEG | 1.61 |
| P/B | 29.44 |
| EV/EBITDA | 14.61 |
| P/S | 3.45 |
| ROE % | 81.89 |
| ROA % | 8.74 |
| Gross margin % | 39.41 |
| Operating margin % | 20.35 |
| Net margin % | 11.90 |
| Revenue growth % (y/y) | 2.50 |
| Earnings growth % (y/y) | 32.80 |
| Revenue CAGR % | -1.57 |
| Earnings CAGR % | -17.45 |
| Debt/Equity % | 437.94 |
| Current ratio | 1.24 |
| FCF yield % | 1.61 |
| Dividend yield % | 1.85 |
| Payout % | 53.64 |
Returns
| 1 month | -3.4 % |
| 3 months | +4.5 % |
| 6 months | +19.4 % |
| YTD | +5.6 % |
| 1 year | +12.3 % |
| 3 years | +125.5 % |
| 5 years | +34.6 % |
Risk
| 1-year volatility | 26.3 % |
| Beta | 0.92 |
| 5-year max drawdown | -48.9 % |
| Sharpe 1A | 0.42 |
Macroeconomic context
Cyclical: depends on manufacturing PMI, infrastructure investment and defence spending. Sensitive to energy prices and supply chains. As a US company, its valuation depends on the Fed, 10-year Treasury yields and the US earnings cycle.
How the score is calculated
The score combines profitability (ROE, ROA, net margin), growth (revenue and earnings), valuation (P/E, EV/EBITDA, free cash flow), financial strength (debt and liquidity; not applied to banks and insurers) and momentum (6 and 12-month returns and trend). It is an educational quantitative filter, not a buy or sell recommendation.