Owens-Corning Inc (OC)

Industry Building Products & Equipment

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

$130.00

Buy

$140.81

arrow-down$-1.01 (-0.74%)

Owens-Corning Inc manufactures and sells glass fiber products in the US. The company mainly offers Composites, Insulation, and Roofing solutions. Through these businesses it provides glass fiber, insulation service, shingles and roofing accessories.
Prices updated at 05 Jun 2025, 22:07 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
6,384m7,057m7,160m7,055m8,498m9,761m9,677m10,975m
1,569m1,632m1,609m1,610m2,217m2,616m2,683m3,254m
797m807m787m806m1,438m1,584m1,623m1,701m
12.4811.4410.9911.4216.9216.2316.7715.50
289m545m405m-383m995m1,241m1,196m647m
1,037m1,254m1,178m369m1,941m2,254m2,276m1,805m
Sales, General and administrative620m700m698m664m757m803m831m1,044m
Interest expenses107m117m131m132m126m109m76m212m
Provision for income taxes269m156m186m129m319m373m401m275m
Operating expenses772m825m822m804m779m1,032m1,060m1,553m
Income before taxes559m704m590m-256m1,313m1,614m1,591m916m
Net income available to common shareholders289m545m405m-383m995m1,241m1,196m647m
2.594.943.71-3.539.6112.8513.277.45
Net interest income-107m-117m-131m-132m-126m-109m-76m-212m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)2.554.893.68-3.539.5412.713.147.37
Free cash flow per share5.44572.81064.24067.532611.69149.464412.632715.0269
Book value/share36.538138.036541.128436.477341.932350.489758.543665.8552
Debt equity ratio0.5778470.7849640.6745840.8267110.7143850.6872130.5381341.081544

Balance sheet

20172018201920202021202220232024
Current assets1,985m2,020m2,061m2,606m3,097m3,556m3,917m3,378m
Current liabilities1,282m1,278m1,329m1,440m1,697m2,104m2,324m2,297m
Total capital6,567m7,645m7,617m7,027m7,256m7,567m7,781m10,193m
Total debt2,410m3,362m3,190m3,280m3,118m3,196m3,273m5,616m
Total equity4,162m4,283m4,631m3,901m4,296m4,575m5,166m5,077m
Total non current liabilities--------
Loans2,405m3,362m2,986m3,126m2,960m2,992m2,615m5,116m
Total assets8,632m9,771m10,006m9,481m10,015m10,752m11,237m14,075m
Total liabilities--------
Cash and cash equivalents246m78m172m717m959m1,099m1,615m361m
Common stock112m110m109m106m100m92m87m85m

Cash flow

20172018201920202021202220232024
Cash at beginning of period118m253m85m179m724m966m1,107m1,623m
Cash dividends paid-89m-92m-95m-104m-108m-136m-188m-208m
679m266m590m828m1,087m1,314m1,193m1,245m
Investments (gains) losses-901m-1,589m-394m-205m-377m-623m-356m-3,393m
253m85m179m724m966m1,107m1,623m369m
Net income--------
1,016m803m1,037m1,135m1,503m1,760m1,719m1,892m
-337m-537m-447m-307m-416m-446m-526m-647m
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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