Eastman Chemical Co (EMN)

Industry Specialty Chemicals

This stock can be held in an Investment Account
Sell

$76.00

Buy

$79.50

arrow-up$1.70 (+2.23%)

Eastman Chemical Co is a advanced materials and specialty additives company that is engaged in producing and selling a portfolio of chemicals, plastics and fibers.
Prices updated at 02 May 2025, 21:29 EDT
| Prices minimum 15 mins delay
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Prices in USD

Income statement

20172018201920202021202220232024
9,549m10,151m9,273m8,473m10,476m10,580m9,210m9,382m
2,363m2,479m2,234m1,975m2,500m2,137m2,061m2,290m
1,407m1,523m1,309m1,095m1,863m1,248m1,054m1,376m
14.7315.0014.1212.9217.7811.8011.4414.67
1,384m1,080m759m478m857m793m894m905m
2,120m2,152m1,734m1,314m1,818m1,642m1,810m1,803m
Sales, General and administrative729m721m691m654m383m625m768m664m
Interest expenses244m238m221m210m198m188m225m216m
Provision for income taxes-99m226m140m41m215m181m191m170m
Operating expenses956m956m925m880m637m889m1,007m914m
Income before taxes1,289m1,310m902m530m1,082m977m1,087m1,078m
Net income available to common shareholders1,384m1,080m759m478m857m793m894m905m
9.567.655.523.536.356.427.547.75
Net interest income-241m-235m-218m-210m-198m-182m-215m-200m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)9.477.565.483.56.256.357.497.67
Free cash flow per share4.84935.95148.02589.69818.42072.21454.34335.0211
Book value/share35.134142.353144.26744.714547.453745.321145.609649.0933
Debt equity ratio1.1377011.0210240.9417590.8748130.7734920.7810980.788750.790275

Balance sheet

20172018201920202021202220232024
Current assets3,143m3,365m3,321m3,541m4,646m3,778m3,481m4,101m
Current liabilities1,982m1,851m1,789m2,038m2,971m3,251m2,576m2,708m
Total capital11,550m11,728m11,569m11,292m10,116m9,178m9,763m10,346m
Total debt6,540m6,168m5,782m5,618m5,159m5,151m4,846m5,017m
Total equity5,403m5,803m5,958m6,023m5,704m5,153m5,458m5,779m
Total non current liabilities--------
Loans6,147m5,925m5,611m5,269m4,412m4,025m4,305m4,567m
Total assets15,999m15,995m16,008m16,083m15,519m14,667m14,633m15,213m
Total liabilities--------
Cash and cash equivalents191m226m204m564m459m493m548m837m
Common stock143m140m136m136m129m119m117m115m

Cash flow

20172018201920202021202220232024
Cash at beginning of period181m191m226m204m564m459m493m548m
Cash dividends paid-296m-318m-343m-358m-375m-381m-376m-379m
1,008m1,015m1,079m1,072m1,041m351m541m688m
Investments (gains) losses-643m-463m-480m-394m-29m392m-432m-534m
191m226m204m564m459m493m548m837m
Net income--------
1,657m1,543m1,504m1,455m1,619m975m1,374m1,287m
-649m-528m-425m-383m-578m-624m-833m-599m
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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