bf/NYSE:ITW_icon.jpeg

COM:ITW

Illinois Tool Works Inc.

  • Stock

Last Close

266.38

21/11 21:00

Market Cap

70.40B

Beta: -

Volume Today

762.92K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.77B
-
1.23B
30.62%
1.90B
54.64%
2.04B
7.16%
1.69B
17.10%
2.56B
51.93%
2.52B
1.64%
2.11B
16.34%
2.69B
27.74%
3.03B
12.62%
2.96B
2.54%
depreciation and amortization
613M
-
507M
17.29%
477M
5.92%
470M
1.47%
462M
1.70%
461M
0.22%
426M
7.59%
427M
0.23%
410M
3.98%
410M
0%
395M
3.66%
deferred income tax
6M
-
55M
816.67%
-11M
120%
-263M
2,290.91%
64M
124.33%
34M
46.88%
32M
5.88%
-30M
193.75%
-148M
393.33%
-150M
1.35%
-88M
41.33%
stock based compensation
37M
-
39M
5.41%
41M
5.13%
39M
4.88%
36M
7.69%
40M
11.11%
41M
2.50%
42M
2.44%
53M
26.19%
63M
18.87%
69M
9.52%
change in working capital
163M
-
-159M
197.55%
-106M
33.33%
38M
135.85%
158M
315.79%
-288M
282.28%
31M
110.76%
249M
703.23%
-438M
275.90%
-816M
86.30%
210M
125.74%
accounts receivables
-83M
-
-70M
15.66%
-42M
40%
-132M
214.29%
-138M
4.55%
-60M
56.52%
40M
166.67%
95M
137.50%
-240M
352.63%
-461M
92.08%
64M
113.88%
inventory
24M
-
-10M
141.67%
25M
350%
9M
64%
-81M
1,000%
-108M
33.33%
98M
190.74%
43M
56.12%
-450M
1,146.51%
-455M
1.11%
360M
179.12%
accounts payables
8M
-
-20M
350%
-30M
50%
-3M
90%
39M
1,400%
-46M
217.95%
-16M
65.22%
19M
218.75%
37M
94.74%
35M
5.41%
-14M
140%
other working capital
214M
-
-59M
127.57%
-59M
0%
164M
377.97%
338M
106.10%
-74M
121.89%
-91M
22.97%
92M
201.10%
215M
133.70%
65M
69.77%
-200M
407.69%
other non cash items
-61M
-
-54M
11.48%
-1M
98.15%
-17M
1,600%
-5M
70.59%
1M
120%
-56M
5,700%
10M
117.86%
-14M
240%
-193M
1,278.57%
-4M
97.93%
net cash provided by operating activities
2.53B
-
1.62B
36.08%
2.30B
42.26%
2.30B
0.13%
2.40B
4.34%
2.81B
17.03%
3.00B
6.55%
2.81B
6.28%
2.56B
8.91%
2.35B
8.17%
3.54B
50.72%
investments in property plant and equipment
-368M
-
-361M
1.90%
-284M
21.33%
-273M
3.87%
-297M
8.79%
-364M
22.56%
-326M
10.44%
-236M
27.61%
-296M
25.42%
-412M
39.19%
-455M
10.44%
acquisitions net
-367M
-
-27M
92.64%
23M
185.19%
-450M
2,056.52%
-1M
99.78%
1M
200%
116M
11,500%
1M
99.14%
-731M
73,200%
276M
137.76%
7M
97.46%
purchases of investments
244M
-
3.22B
1,219.26%
30M
99.07%
183M
510.00%
14M
92.35%
25M
-
10M
60%
8M
20%
20M
-
sales maturities of investments
40M
-
28M
30%
22M
21.43%
21M
4.55%
43M
104.76%
16M
62.79%
20M
25%
14M
30%
38M
171.43%
12M
68.42%
27M
125%
other investing activites
239M
-
3.20B
1,239.75%
29M
99.09%
170M
486.21%
4M
97.65%
22M
450%
-18M
181.82%
-3M
83.33%
-3M
0%
14M
566.67%
-2M
114.29%
net cash used for investing activites
-456M
-
2.84B
723.25%
-210M
107.39%
-532M
153.33%
-251M
52.82%
-325M
29.48%
-183M
43.69%
-214M
16.94%
-984M
359.81%
-110M
88.82%
-403M
266.36%
debt repayment
-6M
-
-1.75B
29,083.33%
-2M
99.89%
-1M
50%
-652M
65,100%
-1M
99.85%
-1.35B
135,000%
-4M
99.70%
-351M
8,675%
-1.11B
217.09%
-679M
38.99%
common stock issued
206M
-
148M
28.16%
59M
60.14%
84M
42.37%
84M
0%
22M
73.81%
85M
286.36%
66M
22.35%
50M
24.24%
29M
42%
53M
82.76%
common stock repurchased
-2.11B
-
-4.35B
106.36%
-2.00B
53.93%
-2B
0.10%
-1B
50%
-2B
100%
-1.50B
25%
-706M
52.93%
-1B
41.64%
-1.75B
75%
-1.50B
14.29%
dividends paid
-528M
-
-711M
34.66%
-742M
4.36%
-821M
10.65%
-941M
14.62%
-1.12B
19.45%
-1.32B
17.53%
-1.38B
4.39%
-1.46B
6.09%
-1.54B
5.40%
-1.61B
4.73%
other financing activites
1.29B
-
3.11B
140.26%
161M
94.82%
483M
200%
835M
72.88%
-861M
203.11%
1.76B
304.53%
-26M
101.48%
200M
869.23%
1.38B
588%
959M
30.31%
net cash used provided by financing activities
-1.14B
-
-3.55B
211.49%
-2.53B
28.87%
-2.25B
10.73%
-1.67B
25.76%
-3.96B
136.80%
-2.33B
41.32%
-2.05B
11.91%
-2.56B
25.13%
-3B
17.00%
-2.78B
7.27%
effect of forex changes on cash
-93M
-
-535M
475.27%
-463M
13.46%
-133M
71.27%
145M
209.02%
-112M
177.24%
-9M
91.96%
39M
533.33%
-46M
217.95%
-57M
23.91%
3M
105.26%
net change in cash
839M
-
372M
55.66%
-900M
341.94%
-618M
31.33%
622M
200.65%
-1.59B
355.63%
477M
130%
583M
22.22%
-1.04B
277.87%
-819M
21.02%
357M
143.59%
cash at beginning of period
2.78B
-
3.62B
30.19%
3.99B
10.28%
3.09B
22.56%
2.47B
20%
3.09B
25.16%
1.50B
51.39%
1.98B
31.72%
2.56B
29.43%
1.53B
40.44%
708M
53.63%
cash at end of period
3.62B
-
3.99B
10.28%
3.09B
22.56%
2.47B
20%
3.09B
25.16%
1.50B
51.39%
1.98B
31.72%
2.56B
29.43%
1.53B
40.44%
708M
53.63%
1.06B
50.42%
operating cash flow
2.53B
-
1.62B
36.08%
2.30B
42.26%
2.30B
0.13%
2.40B
4.34%
2.81B
17.03%
3.00B
6.55%
2.81B
6.28%
2.56B
8.91%
2.35B
8.17%
3.54B
50.72%
capital expenditure
-368M
-
-361M
1.90%
-284M
21.33%
-273M
3.87%
-297M
8.79%
-364M
22.56%
-326M
10.44%
-236M
27.61%
-296M
25.42%
-412M
39.19%
-455M
10.44%
free cash flow
2.16B
-
1.25B
41.90%
2.02B
60.56%
2.03B
0.69%
2.10B
3.75%
2.45B
16.25%
2.67B
9.07%
2.57B
3.67%
2.26B
12.06%
1.94B
14.37%
3.08B
59.30%

All numbers in (except ratios and percentages)