Church & Dwight (NYSE: CHD) → Stocks, dividends, news, and other

Church & Dwight

Free disabling of ads
Dividends News

A US company that produces and sells consumer products for home and personal care. Its products are known under the brand names ARM & HAMMER®, Batiste, OxiClean, Trojan, XTRA, Nair, First Response, Spinbrush, Orajel, Vitafusion, Li'l Critters, Water Pik and FLAWLESS®. The company sells its products through supermarkets, pharmacies, small stores, wholesalers, distributors, and electronic platforms.

The company's business is divided into three main segments: consumer home goods, international consumer goods, and specialty products. If the first segment serves the domestic market of the country, in the second direction, products enter the international markets of the countries of North and South America, France, great Britain and China. Specialized products in the next segment are used in animal husbandry. It also produces sodium bicarbonate (baking soda).
The corporation has been working with TerraCycle, an innovative waste recycling company, for several years. Its partners include other processing organizations: The sustainable packaging coalition (SPC), the Association of plastic processors (APR), and the cardboard recycling Alliance (RPA).

  • CHD Symbol
  • NYSE Exchange
  • 4,700 Employees
3 rated
  • $92.19, $-0.05 (-0.05%) Previous Close
  • 1,183,916 Previous Volume
  • $47.98 / $98.96 52 week low / high
  • -6.84% Percent off 52 week high
  • 2020-10-21 Updated
  • 1.03% Dividend yield (trailing)
  • 1.04% Dividend yield (forward)
  • 246,803,774 Public float
  • 247,312,000 Outstanding shares
  • 31.44 P/E
  • 22.81 B Market Cap
Free disabling of ads

Financial statements

The information is not 100% up-to-date. There may be errors or something missing. Often something is missing, there are almost no errors, but I can't rule them out. Now I'm looking for a supplier of high-quality information, but so far what I find is expensive (about $ 2000 a year).
2015 2016 2017 2018 2019
Total Revenue 3.4B 3.5B 3.8B 4.1B 4.4B
Cost Of Revenue 1.9B 1.9B 2.1B 2.4B 2.5B
Gross Profit 1.5B 1.5B 1.7B 1.8B 1.9B
Research and Development 65M 63M 71M 90M 94M
Selling General and Admin 740M 760M 860M 890M 950M
Operating Expense 2.7B 2.8B 3B 3.4B 3.5B
Operating Income 670M 730M 740M 790M 850M
Other Income Expense Net -37M -23M -43M -72M -77M
EBIT 670M 730M 740M 790M 850M
Interest Income 31M 28M 53M 79M 74M
Pretax Income 640M 710M 690M 720M 770M
Income Tax 230M 250M -51M 150M 160M
Minority Interest 0 0 0 0 0
Net Income 410M 460M 740M 570M 620M
Net Income Basic 410M 460M 740M 570M 620M
2015 2016 2017 2018 2019
Current cash 330M 190M 280M 320M 160M
Short term investments
Receivables 280M 290M 350M 350M 360M
Inventory 270M 260M 330M 380M 420M
Other current assets 26M 24M 45M 33M 27M
Current assets 910M 760M 1B 1.1B 960M
Long term investments 8.4M 8.5M 9.3M 8.5M 9.7M
Property plant equipment 610M 590M 610M 600M 720M
Goodwill 1.4B 1.4B 2B 2B 2.1B
Intangible assets 1.3B 1.4B 2.3B 2.3B 2.8B
Other assets 110M 120M 120M 120M 140M
Total assets 4.3B 4.4B 6B 6.1B 6.7B
Accounts payable 290M 330M 400M 430M 470M
Current long term debt 600M
Other current liabilities 210M 240M 260M 290M 340M
Total current liabilities 870M 1B 940M 1.3B 1.1B
Long term debt 690M 690M 2.1B 1.5B 2B
Other liabilities 180M 170M 200M 200M 360M
Minority Interest 0 0 0 0 0
Total Liabilities 2.2B 2.4B 3.8B 3.6B 4B
Common stock 260M 250M 250M 250M 250M
Retained earning 2.7B 2.9B 3.5B 3.8B 4.2B
Treasury stock 740K 720K 750K 670K 680K
Capital surplus 380M 250M 260M 280M 300M
Shareholder equity 2B 2B 2.2B 2.5B 2.7B
Net tangible assets -2.2B -2.7B -4.4B -4.3B -4.8B
2015 2016 2017 2018 2019
Net Income 410M 460M 740M 570M 620M
Depreciation 100M 110M 130M 140M 180M
Changes in receivables -11M -59M 600K -11M
Changes in inventories -39M 19M -25M -55M -34M
Cash change -93M -140M 91M 38M -160M
Cash flow 610M 660M 680M 760M 860M
Capital expenditures -62M -50M -45M -60M -74M
Investing activity other -4.5M -1.9M -4.8M
Total investing cash flows -140M -350M -1.3B -110M -550M
Dividends paid -180M -180M -190M -210M -220M
Net borrowings -38M 69M 1.3B -270M -49M
Other financing cash flows 15M 24M -18M -3.5M -2.6M
Cash flow financing -540M -440M 700M -610M -470M
Exchange rate effect -23M -3.3M 14M -4.7M 900K
Free disabling of ads
Free disabling of ads