H.B. Fuller Company
H.B. Fuller Company, together with its subsidiaries, formulates, manufactures, and markets adhesives, sealants, coatings, polymers, tapes, encapsulants, and other specialty chemical products worldwide. The company operates through five segments: Americas Adhesives, EIMEA, Asia Pacific, Construction Adhesives, and Engineering Adhesives. It produces and supplies industrial adhesives products for applications in various markets, including appliances, filters, and insulating glass; food and beverage containers, flexible packaging, consumer goods, package integrity and re-enforcement, and durable and non-durable goods; corrugation, folding carton, tape and label, paper converting, envelopes, books, multi-wall bags, sacks, and tissue and towel; nonwoven and hygiene, such as disposable diapers, feminine care, and medical garments; windows, doors, and wood flooring; and insulating glass and textile. The company also provides specialty adhesives, including thermoplastic, thermoset, reactive, water-based, and solvent-based products; and products used for tile setting, commercial roofing, heating, ventilation, and air conditioning and insulation applications, as well as caulks and sealants for the consumer market and professional trade. In addition, it produces and supplies high performance industrial adhesives to the transportation, electronics, medical, clean energy, aerospace and defense, appliance, and heavy machinery markets. The company sells its products directly through distributors and retailers. H.B. Fuller Company was founded in 1887 and is headquartered in Saint Paul, Minnesota. Show More...
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Website http://www.hbfuller.com
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Sector Basic Materials
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Industry Specialty Chemicals
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Last Quote 73.68 USD
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Last Updated 25-04-2024
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External Links Yahoo Finance Morningstar Ratios
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Interest Coverage
The interest coverage ratio is a debt ratio and profitability ratio used to determine how easily a company can pay interest on its outstanding debt.
Reference: Investopedia -
2010-11 2011-11 2012-11 2013-11 2014-11 2015-11 2016-11 2017-11 2018-11 2019-11 TTM Earnings Per Share USD 1.43 1.79 2.48 1.89 0.97 1.69 2.37 1.15 3.29 2.52 2.47 Dividends USD 0.28 0.29 0.33 0.39 0.46 0.51 0.55 0.59 0.61 0.64 0.64 Payout Ratio % * 19.4 16.5 24.6 19.2 36.9 34.9 25.1 28.4 26.0 23.4 25.9 Shares Mil 50.0 50.0 51.0 51.0 51.0 51.0 51.0 52.0 52.0 52.0 52.0 Book Value Per Share * USD 12.85 14.31 15.6 16.71 18.89 18.05 19.0 20.51 22.24 22.94 23.76 Free Cash Flow Per Share * USD 0.77 1.33 1.16 0.31 -2.48 2.39 2.8 1.38 2.14 4.58 Return on Assets % 6.29 7.48 8.34 5.29 2.66 4.43 6.05 1.81 4.01 3.21 3.14 Financial Leverage (Average) 1.83 1.74 2.3 2.01 2.1 2.34 2.19 4.18 3.63 3.26 3.3 Return on Equity % 11.59 13.33 16.94 11.33 5.47 9.83 13.71 5.88 15.6 11.02 10.73 Return on Invested Capital % 9.28 10.62 12.3 8.04 4.32 6.63 8.76 3.57 7.73 5.93 5.74 Interest Coverage 9.42 11.64 5.52 7.67 5.02 6.53 7.12 2.34 2.41 2.67 2.74 Current Ratio 2.31 2.34 2.28 2.2 2.41 2.29 2.07 2.27 1.99 1.9 1.89 Quick Ratio 1.58 1.62 1.52 1.41 1.37 1.47 1.32 1.37 1.21 1.17 0.99 Debt/Equity 0.32 0.25 0.61 0.51 0.62 0.77 0.63 2.3 1.86 1.55 1.56