Air Products & Chemicals Inc (APD)

Industry Specialty Chemicals

This stock can be held in an Investment ISA and an Investment Account
Sell

$272.39

Buy

$278.90

arrow-up$4.51 (+1.64%)

Air Products & Chemicals Inc is a supplier of hydrogen and helium. It also provides semiconductor materials, refinery hydrogen, natural gas liquefaction and coatings and adhesives.
Prices updated at 17 May 2025, 00:37 EDT
| Prices minimum 15 mins delay
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Prices in USD

Income statement

20172018201920202021202220232024
8,188m8,930m8,919m8,856m10,323m12,699m12,600m12,101m
2,436m2,741m2,943m2,998m3,137m3,360m3,767m3,932m
1,786m1,966m2,170m2,238m2,268m2,413m2,739m2,948m
21.8122.0124.3325.2721.9719.0021.7424.36
3,000m1,498m1,760m1,887m2,099m2,256m2,300m3,828m
2,403m3,116m3,509m3,718m3,971m4,221m4,418m6,491m
Sales, General and administrative714m761m750m742m828m901m957m942m
Interest expenses121m131m137m109m142m128m178m219m
Provision for income taxes261m524m480m478m463m501m551m945m
Operating expenses650m775m774m761m869m948m1,028m984m
Income before taxes1,416m2,015m2,290m2,424m2,507m2,755m2,882m4,821m
Net income available to common shareholders3,000m1,498m1,760m1,887m2,099m2,256m2,300m3,828m
13.097.78.568.569.8210.2110.5117.24
Net interest income-121m-130m-137m-109m-142m-128m-177m-219m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)12.987.658.518.529.7810.1910.4917.22
Free cash flow per share2.40314.4094.42333.39953.94471.3649-6.3767-14.1382
Book value/share46.068549.435250.089254.591361.067459.185164.385276.5769
Debt equity ratio0.3373320.3086990.2919770.6428830.5652780.5841370.703030.834144

Balance sheet

20172018201920202021202220232024
Current assets5,877m5,082m4,618m8,685m8,376m6,283m5,201m6,363m
Current liabilities2,489m2,338m1,821m2,417m2,799m3,466m3,896m4,180m
Total capital13,489m14,209m14,281m19,510m20,690m20,230m23,744m30,570m
Total debt3,963m3,813m3,326m8,314m8,219m8,327m11,032m15,006m
Total equity10,086m10,858m11,054m12,080m13,540m13,144m14,313m17,037m
Total non current liabilities--------
Loans3,402m3,352m3,227m7,430m7,150m7,086m9,431m13,533m
Total assets18,467m19,178m18,943m25,169m26,859m27,193m32,003m39,575m
Total liabilities--------
Cash and cash equivalents3,274m2,791m2,249m5,253m4,469m2,711m1,617m2,980m
Common stock218m220m220m221m221m222m222m222m

Cash flow

20172018201920202021202220232024
Cash at beginning of period1,331m3,274m2,791m2,249m5,253m4,469m2,711m1,617m
Cash dividends paid-788m-898m-994m-1,104m-1,257m-1,383m-1,497m-1,565m
528m974m980m756m878m304m-1,420m-3,150m
Investments (gains) losses2,333m-1,630m-2,113m-3,560m-2,733m-3,857m-5,916m-4,919m
3,274m2,791m2,249m5,253m4,469m2,711m1,617m2,980m
Net income--------
1,568m2,542m2,970m3,265m3,342m3,230m3,206m3,647m
-1,040m-1,568m-1,990m-2,509m-2,464m-2,926m-4,626m-6,797m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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