Church & Dwight Co Inc (CHD)

Industry Household & Personal Products

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

$98.00

Buy

$100.36

arrow-down$-0.64 (-0.64%)

Church & Dwight Co Inc is engaged in the household products industry. It manufactures and markets personal care products under brands like Oxiclean, Spinbrush, First Response and Trojan.
Prices updated at 06 Jun 2025, 00:51 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
3,776m4,146m4,358m4,896m5,190m5,376m5,868m6,107m
1,730m1,841m1,984m2,214m2,264m2,250m2,589m2,790m
733m792m840m1,030m1,079m1,009m1,057m1,164m
19.4019.1019.2821.0320.7918.7718.0219.06
743m569m616m786m828m414m756m585m
871m940m1,024m1,225m1,305m832m1,304m1,090m
Sales, General and administrative997m1,049m1,144m1,185m1,184m1,241m1,531m1,626m
Interest expenses53m79m74m61m55m90m111m95m
Provision for income taxes-51m151m158m188m204m109m212m171m
Operating expenses997m1,049m1,144m1,185m1,184m1,241m1,531m1,626m
Income before taxes693m720m774m974m1,032m523m967m756m
Net income available to common shareholders743m569m616m786m828m414m756m585m
2.972.322.53.183.381.73.092.39
Net interest income-53m-79m-74m-61m-54m-86m-98m-69m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)2.92.272.443.123.321.683.052.37
Free cash flow per share2.1023.07132.94423.80022.94182.92133.81653.5344
Book value/share7.88729.532410.428413.08414.486315.120416.658317.0559
Debt equity ratio0.9483320.6148830.6785370.6000860.4981750.7448640.5711990.505549

Balance sheet

20172018201920202021202220232024
Current assets1,000m1,078m956m1,112m1,233m1,396m1,530m2,241m
Current liabilities935m1,326m1,092m1,389m2,075m1,184m1,422m1,316m
Total capital4,321m3,963m4,478m4,833m4,844m6,089m6,058m6,565m
Total debt2,374m2,107m2,063m2,164m2,563m2,674m2,406m2,205m
Total equity2,218m2,454m2,668m3,020m3,233m3,490m3,855m4,361m
Total non current liabilities--------
Loans2,103m1,509m1,810m1,813m1,611m2,600m2,202m2,205m
Total assets6,015m6,069m6,657m7,415m7,997m8,346m8,569m8,883m
Total liabilities--------
Cash and cash equivalents279m317m156m183m241m270m345m964m
Common stock248m247m245m245m243m244m243m246m

Cash flow

20172018201920202021202220232024
Cash at beginning of period188m279m317m156m183m241m270m345m
Cash dividends paid-190m-213m-224m-237m-247m-255m-266m-277m
637m703m791m891m875m706m807m976m
Investments (gains) losses-1,303m-112m-553m-608m-682m-729m-234m-183m
279m317m156m183m241m270m345m964m
Net income--------
682m764m865m990m994m885m1,031m1,156m
-45m-60m-74m-99m-119m-179m-223m-180m
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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