Kimberly-Clark Corp (KMB)

Industry Household & Personal Products

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

$135.20

Buy

$135.58

arrow-down$-3.13 (-2.26%)

Kimberly-Clark Corp is engaged in the manufacturing and marketing of a range of products made from natural or synthetic fibers using technologies in fibers, nonwovens, and absorbency. It offers personal care, consumer tissue, and K-C professional.
Prices updated at 06 Jun 2025, 00:53 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
18,348m18,486m18,450m19,140m19,440m20,175m20,431m20,058m
6,587m5,597m6,035m6,822m5,988m6,219m7,032m7,180m
3,358m2,229m2,991m3,244m2,561m2,681m3,002m3,307m
18.3012.0616.2116.9513.1713.2914.6916.49
2,278m1,410m2,157m2,352m1,814m1,934m1,764m2,545m
4,033m2,958m3,828m3,978m3,247m3,376m3,067m3,978m
Sales, General and administrative3,202m3,367m3,254m3,632m3,399m3,581m3,961m4,311m
Interest expenses318m263m261m252m256m282m293m270m
Provision for income taxes776m471m576m676m479m495m453m565m
Operating expenses3,229m3,368m3,044m3,578m3,427m3,538m4,030m3,873m
Income before taxes2,991m1,813m2,650m2,930m2,225m2,340m2,021m2,927m
Net income available to common shareholders2,278m1,410m2,157m2,352m1,814m1,934m1,764m2,545m
6.444.056.286.95.385.735.227.58
Net interest income-308m-253m-250m-244m-250m-268m-227m-222m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)6.44.036.246.875.355.725.217.55
Free cash flow per share6.02366.05974.57127.37994.41145.46767.59438.5856
Book value/share0.7377-0.3855-0.41290.98911.40741.29482.01783.8728
Debt equity ratio10.289348--12.58466515.83852113.8537488.1060118.184524

Balance sheet

20172018201920202021202220232024
Current assets5,211m5,041m5,057m5,174m5,565m5,729m5,703m5,580m
Current liabilities5,858m6,536m6,919m6,443m6,749m7,334m6,930m7,004m
Total capital7,101m5,960m6,180m8,504m8,655m8,125m8,332m7,715m
Total debt7,425m7,455m7,877m8,497m8,704m8,549m8,114m7,574m
Total equity629m-287m-33m626m514m547m915m840m
Total non current liabilities--------
Loans6,472m6,247m6,213m7,878m8,141m7,578m7,417m6,875m
Total assets15,151m14,518m15,283m17,523m17,837m17,970m17,344m16,546m
Total liabilities--------
Cash and cash equivalents616m539m442m303m270m427m1,093m1,021m
Common stock351m345m342m339m337m338m337m332m

Cash flow

20172018201920202021202220232024
Cash at beginning of period923m616m539m442m303m270m427m1,093m
Cash dividends paid-1,359m-1,386m-1,408m-1,451m-1,516m-1,558m-1,588m-1,628m
2,144m2,093m1,527m2,512m1,723m1,857m2,776m2,513m
Investments (gains) losses-851m-902m-1,042m-2,305m-1,056m-785m-418m-100m
616m539m442m303m270m427m1,093m1,021m
Net income--------
2,929m2,970m2,736m3,729m2,730m2,733m3,542m3,234m
-785m-877m-1,209m-1,217m-1,007m-876m-766m-721m
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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