Masco Corp (MAS)

Industry Building Products & Equipment

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

$64.00

Buy

$68.60

arrow-up$0.44 (+0.65%)

Masco Corp provides homebuilding solutions the United States. Its array of products entails faucets, showerheads, paints and coatings.
Prices updated at 16 May 2025, 23:42 EDT
| Prices minimum 15 mins delay
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Prices in USD

Income statement

20172018201920202021202220232024
6,014m6,654m6,707m7,188m8,375m8,680m7,967m7,828m
2,220m2,327m2,371m2,587m2,863m2,713m2,836m2,831m
1,003m1,063m1,076m1,260m1,020m1,323m1,363m1,363m
16.6815.9816.0417.5312.1815.2417.1117.41
533m734m935m1,224m408m846m908m822m
1,124m1,219m1,232m1,408m1,117m1,446m1,493m1,410m
Sales, General and administrative1,217m1,264m1,295m1,327m1,843m1,390m1,473m1,468m
Interest expenses279m156m159m144m278m108m106m99m
Provision for income taxes245m221m230m269m210m288m278m287m
Operating expenses1,217m1,264m1,295m1,327m1,843m1,390m1,473m1,468m
Income before taxes718m907m914m1,131m688m1,193m1,238m1,161m
Net income available to common shareholders528m727m929m1,215m406m842m908m822m
1.682.383.244.61.633.654.033.77
Net interest income-275m-151m-156m-141m-277m-108m-106m-99m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)1.662.373.224.591.623.634.023.76
Free cash flow per share1.66742.31242.77712.51113.34712.84754.32194.4199
Book value/share-0.51220.1225-0.51890.5461-0.5224-2.7386-0.2539-0.4141
Debt equity ratio---15.082051----

Balance sheet

20172018201920202021202220232024
Current assets3,215m2,766m2,711m3,489m3,422m2,946m2,856m2,730m
Current liabilities1,628m1,684m1,548m1,934m1,939m1,889m1,695m1,560m
Total capital2,909m2,860m2,536m2,987m2,770m2,466m2,819m2,665m
Total debt3,085m2,979m2,811m2,983m3,169m3,445m3,250m3,214m
Total equity-60m-111m-235m195m-179m-480m-126m-280m
Total non current liabilities--------
Loans2,969m2,971m2,771m2,792m2,949m2,946m2,945m2,945m
Total assets5,488m5,393m5,027m5,777m5,575m5,187m5,363m5,016m
Total liabilities--------
Cash and cash equivalents1,194m559m697m1,326m926m452m634m634m
Common stock310m294m276m258m241m225m221m213m

Cash flow

20172018201920202021202220232024
Cash at beginning of period990m1,194m559m697m1,326m926m452m634m
Cash dividends paid-129m-134m-144m-145m-211m-258m-257m-254m
578m813m671m839m802m616m1,170m907m
Investments (gains) losses-25m-651m582m531m-12m-230m-383m-50m
1,194m559m697m1,326m926m452m634m634m
Net income--------
751m1,032m833m953m930m840m1,413m1,075m
-173m-219m-162m-114m-128m-224m-243m-168m
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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