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COM:ITW

Illinois Tool Works Inc.

  • Stock

USD

Last Close

269.85

22/11 21:00

Market Cap

70.40B

Beta: -

Volume Today

948.85K

Avg: -

Preview

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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 USD (except ratios and percentages)