Cummins Inc (CMI)

Industry Specialty Industrial Machinery

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

$331.13

Buy

$331.70

arrow-down$-1.485 (-0.45%)

Cummins Inc designs, manufactures, distributes, and services diesel and natural gas engines and engine-related component products, including filtration, after treatment, turbochargers, fuel systems, controls systems, air handling systems, and others.
Prices updated at 15 May 2025, 16:16 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
20,428m23,771m23,571m19,811m24,021m28,074m34,065m34,102m
5,100m5,737m5,980m4,894m5,695m6,719m8,249m8,439m
1,977m2,392m2,489m1,847m2,200m2,580m3,323m3,382m
9.6810.0610.569.329.169.199.759.92
999m2,141m2,260m1,789m2,131m2,151m735m3,946m
3,029m3,478m3,615m3,111m3,524m3,802m3,025m6,338m
Sales, General and administrative2,429m2,437m2,454m2,125m2,374m2,687m3,333m3,275m
Interest expenses81m114m109m100m111m199m375m370m
Provision for income taxes1,371m566m566m527m587m636m786m835m
Operating expenses3,123m3,345m3,491m3,047m3,495m4,139m4,926m5,057m
Income before taxes2,365m2,753m2,834m2,338m2,751m2,819m1,626m4,903m
Net income available to common shareholders999m2,141m2,260m1,789m2,131m2,151m735m3,946m
5.9913.214.5412.0714.7415.25.1928.55
Net interest income-14m-56m-50m-5m-29m-74m-136m-184m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)5.9713.1514.4812.0114.6115.125.1528.37
Free cash flow per share9.00689.313315.959611.935213.54626.949215.20442.402
Book value/share46.04145.512751.824852.147756.715859.306475.162275.0728
Debt equity ratio0.2187630.2173380.2592250.4880920.4793760.5421730.5848590.505598

Balance sheet

20172018201920202021202220232024
Current assets8,928m9,818m9,387m11,897m12,309m14,451m15,198m14,752m
Current liabilities5,677m6,384m6,260m6,335m7,084m11,421m12,903m11,234m
Total capital8,847m8,945m9,083m11,672m12,053m13,473m13,652m15,055m
Total debt2,006m2,476m2,868m4,617m4,613m8,355m7,208m7,598m
Total equity7,259m7,348m7,507m8,062m8,474m8,975m8,850m10,271m
Total non current liabilities--------
Loans1,588m1,597m1,576m3,610m3,579m4,498m4,802m4,784m
Total assets18,075m19,062m19,737m22,624m23,710m30,299m32,005m31,540m
Total liabilities--------
Cash and cash equivalents1,369m1,303m1,129m3,401m2,592m2,101m2,179m1,671m
Common stock166m158m151m148m143m141m142m137m

Cash flow

20172018201920202021202220232024
Cash at beginning of period1,120m1,369m1,303m1,129m3,401m2,592m2,101m2,179m
Cash dividends paid-701m-718m-761m-782m-809m-855m-921m-969m
1,690m1,594m2,406m2,147m1,470m1,046m2,753m279m
Investments (gains) losses-1,052m-974m-1,150m-719m-873m-4,172m-1,643m-1,782m
1,369m1,303m1,129m3,401m2,592m2,101m2,179m1,671m
Net income--------
2,277m2,378m3,181m2,722m2,256m1,962m3,966m1,487m
-587m-784m-775m-575m-786m-916m-1,213m-1,208m
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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