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3m Company  (MMM)
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    Sector  Conglomerates    Industry Conglomerates
   Industry Conglomerates
   Sector  Conglomerates

3m's Quick Ratio

MMM's quarterly Quick Ratio and Cash & cash equivalent, Current Liabilities growth




MMM Quick Ratio (Mar 31 2019)
I. Quarter
(Dec 31 2018)
IV. Quarter
(Sep 30 2018)
III. Quarter
(Jun 30 2018)
II. Quarter
(Mar 31 2018)
I. Quarter
Y / Y Current Liabilities Change -23.32 % -5.76 % 11.19 % 56.26 % 49.44 %
Y / Y Cash & cash equivalent Change -10.76 % -64.68 % -42.32 % 175 % -73.9 %
Quick Ratio MRQ 0.08 0.05 0.05 0.04 0.07
Overall Ranking # # # # #
Seq. Current Liabilities Change -5.16 % -1.25 % -17.59 % -0.64 % 16.55 %
Seq. Cash & cash equivalent Change 41.84 % 12.43 % -12.21 % -36.26 % -43.87 %



Quick Ratio first quarter 2019 Comment
3m's Cash & cash equivalent grew by 41.84 % in I. Quarter sequntially, while Current Liabilities decreased, this led to improvement in 3m's Quick Ratio to 0.08, Quick Ratio remained below 3m Company average.

Within Conglomerates industry 3 other companies have achieved higher Quick Ratio than 3m in first quarter 2019. While total ranking remained unchanged compare to previous quarter at no. .

Explain Quick Ratio?
What are MMM Segments?
See Quick Ratio MMM on the trailing twelve month basis
Quick Ratio first quarter 2019 Company Ranking
Within: No.
Conglomerates Industry # 4
Conglomerates Sector # 5
Overall Market # 330


Quick Ratio Statistics
High Average Low
1.08 0.43 0.02
(Dec. 31, 2010)   (Jun 30 2017)




Financial Statements
3m's Current Liabilities $ 6,870 Millions Visit MMM's Balance sheet
3m's Cash & cash equivalent $ 539 Millions Visit MMM's Balance sheet
Source of MMM's Sales Visit MMM's Sales by Geography




Companies with similar Quick Ratio in the quarter endingMar 31 2019, within Conglomerates Industry Quick RatioMar 31 2019 MRQ Cash & cash equivalentMar 31 2019 MRQ Current Liabilities
Acorn Energy, Inc.  0.20 $ 0.779  Millions$ 3.861  Millions
Berkshire Hathaway Inc.  0.18 $ 41,902.000  Millions$ 229,054.000  Millions
Compass Diversified Holdings  0.16 $ 39.837  Millions$ 250.112  Millions
Live Ventures Inc  0.10 $ 3.292  Millions$ 32.776  Millions
3m Company  0.08 $ 539.000  Millions$ 6,870.000  Millions
Helen Of Troy Ltd  0.04 $ 11.871  Millions$ 312.031  Millions


             
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