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Kimberly-Clark Corporation

KMB

NYSE

127.38

USD
-0.37(-0.29%)

As of today

Kimberly-Clark Corporation fundamentals

Key ratios

P/E Ratio
17.35
Price/Book
38.39
Debt/Equity
658.22%
Return on Equity
226.04%
Dividend Yield
3.89%
EBITDA
3.98B

Statements Highlights

Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
Total Revenue19,140,000,00019,440,000,00020,175,000,00020,431,000,00020,058,000,000
Gross Profit6,822,000,0005,988,000,0006,219,000,0007,032,000,0007,180,000,000
Operating Income3,244,000,0002,561,000,0002,681,000,0002,344,000,0003,210,000,000
Net Income2,352,000,0001,814,000,0001,934,000,0001,764,000,0002,545,000,000
Total Assets17,523,000,00017,837,000,00017,970,000,00017,344,000,00016,546,000,000
Total Current Liabilities6,443,000,0006,749,000,0007,334,000,0006,930,000,0007,004,000,000
Total Equity869,000,000737,000,000700,000,0001,068,000,000975,000,000
Free Cash Flow2,512,000,0001,723,000,0001,857,000,0002,776,000,0002,513,000,000
Cash from Operations3,729,000,0002,730,000,0002,733,000,0003,542,000,0003,234,000,000
Cash from Investing-2,305,000,000-1,056,000,000-785,000,000-418,000,000-100,000,000
Cash from Financing-1,567,000,000-1,696,000,000-1,760,000,000-2,374,000,000-3,166,000,000
Net Change in Cash-139,000,000-33,000,000157,000,000666,000,000-72,000,000

Dividends

Analyst Recomendations