Olin Corp (OLN)

Industry Chemicals

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

$20.62

Buy

$22.05

arrow-up$0.04 (+0.19%)

Olin Corp is manufactures and sells chlor alkali products. It is engaged in three segments Chlor Alkali Products, Epoxy and Winchester.
Prices updated at 17 May 2025, 00:27 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
6,268m6,946m6,110m5,758m8,911m9,376m6,833m6,540m
714m1,124m671m383m2,294m2,182m1,166m738m
344m694m254m-38m1,879m1,804m802m330m
5.499.994.16-0.6621.0819.2411.735.04
550m328m-11m-970m1,297m1,327m460m109m
894m1,282m804m-159m2,469m2,419m1,274m844m
Sales, General and administrative370m431m417m422m417m394m407m409m
Interest expenses217m243m243m293m348m144m181m185m
Provision for income taxes-432m109m-26m-50m242m349m107m37m
Operating expenses370m430m417m421m416m378m364m408m
Income before taxes117m437m-37m-1,020m1,539m1,676m559m142m
Net income available to common shareholders550m328m-11m-970m1,297m1,327m460m109m
3.311.97-0.07-6.148.159.163.660.92
Net interest income-216m-242m-242m-292m-348m-142m-177m-181m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)3.261.95-0.07-6.147.968.943.570.91
Free cash flow per share2.16542.49192.15381.06987.128611.41625.49634.719
Book value/share13.755217.682416.89739.298115.22919.272119.363617.7761
Debt equity ratio1.3114361.0961091.5065562.8460851.0859661.1257671.2875831.461322

Balance sheet

20172018201920202021202220232024
Current assets1,699m1,707m1,714m1,717m2,248m2,156m1,973m2,080m
Current liabilities954m1,118m1,082m1,199m1,682m1,561m1,528m1,632m
Total capital6,365m5,937m5,756m5,288m5,230m5,115m4,824m4,736m
Total debt3,612m3,230m3,724m4,230m3,158m2,945m3,023m3,150m
Total equity2,754m2,832m2,418m1,451m2,652m2,544m2,232m2,023m
Total non current liabilities--------
Loans3,611m3,104m3,339m3,838m2,578m2,571m2,591m2,713m
Total assets9,218m8,997m9,188m8,271m8,518m8,044m7,713m7,579m
Total liabilities--------
Cash and cash equivalents218m179m221m190m181m194m170m176m
Common stock167m165m158m158m157m132m120m116m

Cash flow

20172018201920202021202220232024
Cash at beginning of period185m218m179m221m190m181m194m170m
Cash dividends paid-133m-134m-129m-126m-128m-116m-101m-94m
355m523m232m120m1,540m1,685m738m308m
Investments (gains) losses-498m-382m-366m-836m-197m-260m-341m-284m
218m179m221m190m181m194m170m176m
Net income--------
649m908m617m418m1,741m1,922m974m503m
-294m-385m-386m-299m-201m-237m-236m-195m
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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