Other

Cash and cash equivalents, end of period

3M Cash and cash equivalents, end of period decreased by 28.8% to $3.73B in Q1 2026 compared to the prior quarter. Year-over-year, this metric declined by 41.1%, from $6.33B to $3.73B. Over 5 years (FY 2020 to FY 2025), Cash and cash equivalents, end of period shows an upward trend with a 2.5% CAGR. This decline may warrant attention — for this metric, higher values are generally preferred.

Analysis

StatementBalance Sheet Statement
SectionOther
CategoryLiquidity
SignalHigher is better
VolatilityModerate
First reportedQ4 2016
Last reportedQ1 2026Apr 21, 2026

How to read this metric

Higher levels indicate strong liquidity and readiness to meet claims, whereas lower levels may signal a need for capital raising or asset liquidation.

Detailed definition

This represents the total liquidity available to the company, including highly liquid assets and cash that may be subjec...

Peer comparison

Insurance companies typically maintain high levels of cash and equivalents to satisfy regulatory liquidity requirements.

Metric ID: other_cash_cash_equivalents_restricted_cash_and_restrict_5675e1

Historical Data

20 periods
 Q2 '21Q3 '21Q4 '21Q1 '22Q2 '22Q3 '22Q4 '22Q1 '23Q2 '23Q3 '23Q4 '23Q1 '24Q2 '24Q3 '24Q4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Value$4.70B$4.88B$4.56B$3.25B$2.72B$3.40B$3.66B$3.82B$4.26B$5.14B$5.74B$10.91B$10.08B$6.05B$5.60B$6.33B$3.71B$4.67B$5.24B$3.73B
QoQ Change+3.9%-6.4%-28.9%-16.2%+25.1%+7.4%+4.6%+11.3%+20.7%+11.6%+90.3%-7.6%-40.0%-7.4%+13.0%-41.3%+25.8%+12.1%-28.8%
YoY Change-42.0%-30.2%-19.9%+17.8%+56.4%+51.0%+56.9%+185.3%+136.8%+17.7%-2.4%-42.0%-63.2%-22.8%-6.5%-41.1%
Range$2.72B$10.91B
CAGR-4.7%
Avg YoY Growth+15.7%
Median YoY Growth-4.4%

Cash and cash equivalents, end of period at Other Companies

Frequently Asked Questions

What is 3M's cash and cash equivalents, end of period?
3M (MMM) reported cash and cash equivalents, end of period of $3.73B in Q1 2026.
How has 3M's cash and cash equivalents, end of period changed year-over-year?
3M's cash and cash equivalents, end of period decreased by 41.1% year-over-year, from $6.33B to $3.73B.
What is the long-term trend for 3M's cash and cash equivalents, end of period?
Over 5 years (2020 to 2025), 3M's cash and cash equivalents, end of period has grown at a 2.5% compound annual growth rate (CAGR), from $4.63B to $5.24B.
What does cash and cash equivalents, end of period mean?
The total amount of cash and highly liquid assets held by the company, including restricted funds.