Security Type: Common Stock
Bid N/A
Bid Size N/A
Ask N/A
Ask Size N/A
Open 138.50
Day High 139.52
Day Low 138.13
Previous Close 138.89
52-Week High 140.43
52-Week Low 102.89
Price Performance (Last 52 Weeks)
+31.13%
Volume 0
90-Day Average Volume 2,953,171
Primary Exchange NYSE
Index DJIA®
S&P 500®
Options
Yes

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News & Events

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    BULLET: US SWAPTIONS: Gamma levels around 1-3M on 10Y........

    Market News Intl Fixed Income Bullets – 04/22/2014

    US SWAPTIONS: Gamma levels around 1-3M (MMM) on 10Y tails outperformed longer vega slightly, largely due to a slight pick-up in Russia/Ukraine headline risks on the day while flows remained nil, sources confirmed. There really is not much of an advantage to selling the upper left corner of the term structure, one desk said as levels there have really "bottomed out." Meanwhile, the "2W10Y +/-7.5 and +/-10 risk reversals" have flipped "with good offer, i.e., they want to buy the receiver and sell the payer." Otherwise there were still "no big ticket" orders on the day.

  • Show article details.

    3M™ High Performance Acrylic Adhesive 200MP Raises Standards Again

    Business Wire – 04/22/2014

    With a 30-year history as a reliable workhorse for converters and OEMs, 3M™ High Performance Acrylic Adhesive 200MP is about to get even better. Manufacturing for this industry-standard adhesive has always used a solventless process, producing a pressure sensitive adhesive that bonds on contact without the introduction of solvents.

  • Show article details.

    3M Celebrates 10-Year Record of EPA ENERGY STAR Sustained Excellence Award

    Business Wire – 04/22/2014

    As environmental concerns and energy efficiency become increasingly top of mind for many people around the world, corporate social responsibility migrates from just a watchword to a strategic initiative for responsible institutions to demonstrate their commitment to these ideals.

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    BULLET: US SWAPTIONS: OTC vol started new week lower, term...

    Market News Intl Fixed Income Bullets – 04/21/2014

    US SWAPTIONS: OTC vol started new week lower, term structure steeper w/gamma leading early. About what you would expect with long end rates higher, curves flatter as markets got back to work, no geopolitical dust-ups between Russia and Ukraine over the extended Easter holiday weekend. While listed option trade favored bearish low delta put buying and call selling (outright and spreads), OTC flows remained nil, weaker implieds tied to lower rates and diminishing real volatility. The bearish theme in listed options was reflected in OTC space, however, as payer skews climbed slightly, fading the bounce in rates on the week opener. Meanwhile, 1-3M (MMM) gamma on 10Y tails firmed off of midsession lows as rates slipped off early highs.

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    RPT-Wall St Week Ahead-Spring fever brings hope for U.S. earnings

    Reuters – 04/20/2014

    Earnings season shifts into high gear this week, and with nearly one-third of S&P 500 names set to post results, investors hope the news provides a catalyst to buy stocks and leave the market's recent weakness in the dust. Several behemoths, including Apple (AAPL), the largest U.S. company by market value, as well as Microsoft (MSFT), McDonald's and AT&T (T), are due to report earnings.

Events

  • Apr
    24

    MMM to announce Q1 earnings Before Market (Confirmed)

  • Apr
    24

    MMM Earnings Conference Call at 9:00 AM Listen

  • May
    13

    Shareholders Meeting

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Company Profile

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3M Company operates as a diversified technology company worldwide.

Sector (GICS®)

Industrials

Industry (GICS®)

Industrial Conglomerates

Environmental, Social & Governance Summary (ESG)

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ESG ratings enable you to leverage independent ESG research to evaluate how companies are managing ESG risks and addressing ESG opportunities. Learn more

Accounting & Governance Risk Score (AGR®)

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The GMI Accounting and Governance Risk (AGR®) Score & Rating is widely recognized as an indicator of the confidence level surrounding a company's management and reported financials. Learn more

About Environmental, Social & Governance Summary (ESG)

GMI ESG Ratings

Environmental, Social, and Governance (ESG) Flags: GMI Ratings publishes Environmental, Social and Governance (ESG) ratings on over 6,000 companies worldwide. These ratings provide an independent assessment of the sustainable investment value of public companies. The ESG Ratings model is based on a carefully crafted and applied list of KeyMetrics® that result in an overall ESG concern level as expressed by Red (High Concern), Yellow (Average Concern), and Green (Low Concern) flags. Unlike traditional ESG risk models, GMI's rating methodology is designed to identify risks most likely to affect equity valuations. Specifically, these ratings reflect actual corporate behaviors rather than policies or affirmations of intent to adhere to best ESG practices. Further, unlike other models with evenly weighted metrics, we assign context-sensitive relative weightings to our key metrics, based on market, regional, ownership or sector differences. Individual company scores are then assigned as a percentile rank, ranging from 1 (worst ranked) to 100 (best) on the basis of these KeyMetrics® and then converted to the Red, Yellow or Green flag designation.

Company Reports: In addition to a company's overall risk rating, ESG reports also include an industry rating based on a comparison between the company's risk levels in each ESG component area relative to its industry peers. Further, the ESG analysis serves as a summary of behavioral events that contributed to the company's overall risk level.

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GMI Accounting and Governance Risk (AGR) Score & Rating

The GMI Accounting and Governance Risk (AGR) Score & Rating is widely recognized as an indicator of the confidence level surrounding a company's management and reported financials.

Scores range from 0 to 100, and correspond to a risk classification for each company ranging from "Very Aggressive" to "Conservative." The AGR Score is a percentile ranking among the approximately 8,000 companies rated by GMI. Through continued back-testing, GMI has demonstrated a strong correlation between its quarterly AGR Score and the likelihood of adverse events, including securities class action litigation, financial restatements, regulatory enforcement actions, and stock price declines. Thus, a company's AGR Score can help investors looking to manage risk or enhance investment performance. GMI forensically analyzes the financial reporting and governance practices of over 8,000 North American-based publicly traded companies.

About GMI

GMI is an independent risk research firm which provides a statistically modeled assessment of corporate integrity. Founded in 2002 in direct response to the growing number of scandals, lawsuits and investor losses resulting from fraudulent corporate behavior, the firm identifies potential high-risk company accounting and governance activity, which in turn has been historically correlated to stock price declines, securities class-action litigation, and material financial restatements. The product of GMI's analysis is a unique risk measure - the AGR Score which can be used by investors as a way to more effectively manage corporate risk.

More About GMI

Full Time Employees: 88,667

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www.3m.com

3M Center
St Paul, MN 55144
United States of America

1-651-733-1110

Analyst Opinions

The Equity Summary Score is an accuracy-weighted sentiment derived from the ratings of independent research providers on Fidelity.com. It uses the past relative accuracy of the providers in determining the emphasis placed on any individual opinion. Learn More....

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Research Reports

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This generated report* has historical data on financials with interactive charts, technical indicators, and five-year peer comparison trend charts.

*Generated reports are built dynamically when you select them. Reports may not be available for some symbols. Select the link to check availability for this symbol.

MMM Industry Comparison:

MMMIndustry AveragePercentile
in Industry
Market Capitalization$91.36B$9.24B84th
Beta (1 Year Annualized)1.081.5350th
EPS (TTM)
 
$6.72$3.6092nd
Current Consensus EPS Estimate$1.80----
EPS Growth
(TTM vs. Prior TTM)
6.50%+104.18%70th
P/E (TTM)
20.6319.6970th
Dividend Yield (Annual)
2.47%2.58%50th
Total Revenue (TTM)
$30.87B$92.74B59th
Revenue Growth
(TTM vs Prior TTM)
+3.23%+1.46%64th
Shares Outstanding657,808,0004,733,081,08850th
Shares Short*
7.66M----
Institutional Ownership69.23%41.78%67th

* Short Interest data provided by NASDAQ, NYSE, or AMEX and is updated periodically and on a bi-monthly basis (depending on the listing exchange).

† The Equity Summary Score provided by StarMine is current as of the date specified. There may be differences between the Equity Summary Score analyst count and the number of underlying analysts listed. Due to the timing in receiving ratings changes into the Equity Summary Score model, the Equity Summary Score analyst count may lag the ratings count displayed by one or more days. There may also be analyst count variations for symbols with multiple share classes and ADRs. More details on Equity Summary Score calculation are included in the Understanding and Using the Equity Summary Score Methodology (PDF).

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