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Air Products and Chemicals (APD)

Air Products and Chemicals (APD)
282.64 x 1 311.11 x 1
Post-market by (Cboe BZX)
292.27 -2.85 (-0.97%) 03/28/25 [NYSE]
282.64 x 1 311.11 x 1
Post-market 292.27 unch (unch) 16:28 ET
Financial Summary for Fri, Mar 28th, 2025
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Air Products and Chemicals Inc. makes industrial gases as well as a variety of polymer and performance chemicals. It also supplies processing equipment. Air Products' reporting segments are as follows: Industrial Gases - Americas, Industrial Gases Europe, Middle East, and Africa/EMEA and Industrial Gases Asia segments include the results of the company's regional industrial gases businesses. These businesses sell atmospheric gases such as oxygen, nitrogen and argon and processes gases to a number of industries. Process gases such as carbon dioxide, helium, hydrogen, etc. are produced by other methods that exclude air separation. The largest cost component of the atmospheric gases is electricity. The Industrial Gases Global division designs and manufactures cryogenic and gas-processing equipment for air separation. The Corporate and other segment includes Air Products' liquefied natural gas sale of equipment business and helium storage and distribution vessel sale of equipment business.

Fiscal Year End Date: 09/30

(Values in U.S. Thousands) Sep, 2024 Sep, 2023 Sep, 2022 Sep, 2021 Sep, 2020
Sales 12,100,600 12,600,000 12,698,600 10,323,000 8,856,300
Sales Growth -3.96% -0.78% +23.01% +16.56% -0.70%
Net Income 3,828,200 2,300,200 2,256,100 2,099,100 1,886,700
Net Income Growth +66.43% +1.95% +7.48% +11.26% +7.20%
(Values in U.S. Thousands) Sep, 2024 Sep, 2023 Sep, 2022 Sep, 2021 Sep, 2020
Total Assets 39,574,602 32,002,500 27,192,600 26,859,199 25,168,500
Total Assets Growth +23.66% +17.69% +1.24% +6.72% +32.87%
Total Liabilities 20,900,900 16,342,200 13,490,200 12,771,200 12,725,400
Total Liabilities Growth +27.90% +21.14% +5.63% +0.36% +68.45%
(Values in U.S. Thousands) Sep, 2024 Sep, 2023 Sep, 2022 Sep, 2021 Sep, 2020
Operating Cash Flow 3,646,700 3,205,700 3,170,600 3,335,200 3,264,700
Operating Cash Flow Growth +13.76% +1.11% -4.94% +2.16% +9.93%
Net Cash Flow 1,362,700 -1,094,000 -1,757,900 -784,100 3,004,300
Change in Net Cash Flow +224.56% +37.77% -124.19% -126.10% +653.69%
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