v3.25.4
Consolidated Balance Sheet - USD ($)
$ in Millions
Dec. 31, 2025
Dec. 31, 2024
Current assets    
Cash and cash equivalents $ 5,235 $ 5,600
Marketable securities 698 2,128
Accounts receivable — net of allowances of $61 and $60 3,533 3,194
Inventories    
Finished goods 1,744 1,849
Work in process 1,126 1,051
Raw materials and supplies 791 798
Total inventories 3,661 3,698
Prepaids 391 493
Assets held for sale 46 0
Other current assets 2,823 771
Total current assets 16,387 15,884
Property, plant and equipment 23,922 23,406
Less: accumulated depreciation (16,821) (16,018)
Property, plant and equipment — net 7,101 7,388
Goodwill 6,419 6,281
Intangible assets — net 1,103 1,210
Other assets 6,723 9,105
Total assets 37,733 39,868
Current liabilities    
Short-term borrowings and current portion of long-term debt 1,670 1,919
Accounts payable 2,702 2,660
Accrued payroll 718 712
Liabilities held for sale 55 0
Other current liabilities 4,450 5,965
Total current liabilities 9,595 11,256
Long-term debt 10,932 11,125
Pension and postretirement benefits 1,631 1,813
Other liabilities 10,828 11,780
Total liabilities 32,986 35,974
Commitments and contingencies (Note 17)
3M Company shareholders’ equity:    
Common stock 9 9
Additional paid-in capital 7,440 7,229
Retained earnings 38,258 36,797
Treasury stock, at cost (35,936) (34,462)
Accumulated other comprehensive income (loss) (5,069) (5,731)
Total 3M Company shareholders’ equity 4,702 3,842
Noncontrolling interest 45 52
Total equity 4,747 3,894
Total liabilities and equity $ 37,733 $ 39,868