GLOBAL RESEARCH ARCHIVE
3M Company "Thoughts on PFAS news" (Buy) Mehrotra
Research evidence excerpt
3M Company "Thoughts on PFAS news" (Buy) Mehrotra
Forecast returns
Forecast price appreciation 22.4%
Forecast dividend yield 2.1%
Forecast stock return 24.5%
Market return assumption 9.0%
Forecast excess return 15.5%
Company Description
3M is an industrial company with three segments: Safety & Industrial, Transportation &
Electronics, and Consumer.
Valuation Method and Risk Statement
Our price target is based on P/E.
Risks: The Electrical Equipment and Multi Industry sector faces a broad range of risks. It is
cyclical in nature with exposure to the underlying cycles inherent in everything from aviation,
auto, trucking and trains to construction and consumer electronics to mining, power, oil and
gas and more depending on the specific stock. EEMI companies are subject to risks associated
with unexpected changes in the underlying global macro environment, currency and interest
rate movements, commodity price inflation as well as company-specific risks from execution,
M&A, integration, labor relations, litigation (e.g., PFAS), and changes in the competitive or
regulatory environment. These changes can be in the form of product technology,
ecommerce and other digital disruption and/or channel disintermediation. Changes in the
overall macro environment can result from health emergencies such as COVID-19 and other
pandemics. Capacity and related pricing pressures are also a risk through the cycle. Finally,
these multinational companies are subject to policy changes taking place in the US and
internationally, including those related to environmental regulation and tariffs.
Company-specific risks include slower progress on resumption of growth, more legal outlays
than we estimate and mis-execution and persistently weak market trends.
3M Company 28 May 2026 ab 4
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