Fortune Brands Innovations, Inc.

NYSE:FBIN

72.59 (USD) • At close January 14, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Assets:
Current Assets:
Cash & Cash Equivalents 344.8355.1385.6366.4453.4681.7539.1642.5345.3360.6378.2471.5460.7460356.1419.1464.5398.4359.7387.9336.2276.3281.2262.9389.9345.5244.4323277.1252.7210.8251.5278.6278.7253.6238.5350.6223.5179.4191.9175.1145124.2241.4157123.6258.9336216.1147.2120.6120.8127.673.167.960.7
Short Term Investments 000000730000000000000000000000000000000000000000000000000
Cash and Short Term Investments 344.8355.1385.6366.4453.4681.7539.1642.5345.3360.6378.2471.5460.7460356.1419.1464.5398.4359.7387.9336.2276.3281.2262.9389.9345.5244.4323277.1252.7210.8251.5278.6278.7253.6238.5350.6223.5179.4191.9175.1145124.2241.4157123.6258.9336216.1147.2120.6120.8127.673.167.960.7
Net Receivables 555.9593.6615.9534.2578.6621.2559521.8936.1998.51,011.6885.7921.8844.6828.5734.9765.2657.7678.2624.8640.1706.2650.1571.7635.4657.5631.5555.3594.7595.7564.9550.7568.8569.3525.5502.6557573.5477.2458.9534.5535.3482.9477.1517.7499.8429.1381.8407.1405.2379.3346.1391.8410.1393.5374.2
Inventory 962.6990.51,025.2941.3930954.5931.11,021.31,502.31,446.71,334.71,193.81,128.31,046.8958.4867.2738.3732.3703.1718.6758.8741.9737.9678.9684.3627619.2580.8600.1581.4558.8531.1562.5580.5597.9555.6540.4546.4501.8462.2520.9521.2509.5471.6463.1438.8380357.2392.3385.5350.7336.3368.8353.1341.1333
Other Current Assets 155.8145.2171.3162.8187.7186.2272274.8223.9258232.2192.2215.2197.5202.9187.3170168.9173166.9171.6192.5178.8172.6180.6175.5149.4142.6126.4123.3121.6111.9129.8114.1104.3122175.4186.5178.1186.1132.4135.6148.1144135.8141.4131.2151.1122.9130.2123.3150.3126.9206.5111.3699.9
Total Current Assets 2,019.12,081.92,172.11,997.72,149.72,443.62,301.22,460.43,007.63,063.82,956.72,744.52,7262,548.92,345.92,208.52,1381,957.31,9141,898.21,906.71,916.91,8481,686.11,890.21,805.51,644.51,601.71,598.31,553.11,456.11,442.81,539.71,542.61,481.31,418.71,623.41,529.91,336.51,299.11,362.91,337.11,264.71,334.11,273.61,203.61,199.21,226.11,138.41,068.1973.9953.51,015.11,042.8913.81,467.8
Non-Current Assets:
Property, Plant & Equipment, Net 981.61,1401,153.2975929.2859.5805.8902.61,097.71,082.81,064.31,009.5934.7918.2905.1917.4791.7794.2807.6824.2800.4804.9806.3813.4776.3737.6742.8740690.6675.6665.7662.5642.9643.2635.7627.9606.3582543.7539.8533.3540.2532.1534.4513.5522.2499.5509.4497.8509.9515525.8538.1531.8536.1550
Goodwill 2,004.71,994.81,988.71,906.81,904.21,917.81,643.61,640.72,546.22,479.62,487.52,465.12,466.62,470.62,466.22,394.82,085.22,081.32,079.32,090.22,084.92,085.72,0842,080.32,063.31,916.71,918.71,9121,852.81,832.11,832.91,833.81,8351,793.81,757.81,755.31,800.81,904.71,454.41,467.81,455.61,520.61,5181,519.91,521.11,521.81,379.91,3871,368.41,366.41,367.41,366.61,366.51,365.91,366.21,364.9
Intangible Assets 1,324.31,336.21,354.71,354.71,4001,421.5990.71,000.81,375.91,334.61,382.51,383.81,401.31,420.61,434.31,420.31,111.21,1181,139.91,168.91,186.11,229.21,239.71,246.81,333.81,1391,151.21,162.41,105.41,093.21,097.21,1071,113.91,039.3993.3996.7982.2858.8661.5656.5665.9744.2744.9752.9760.7764.6677.9677.7698.1696.1701.4697.3792.2793.8798.4798.8
Goodwill and Intangible Assets 3,3293,3313,343.43,261.53,304.23,339.32,634.32,641.53,922.13,814.23,8703,848.93,867.93,891.23,900.53,815.13,196.43,199.33,219.23,259.13,2713,314.93,323.73,327.13,397.13,055.73,069.93,074.42,958.22,925.32,930.12,940.82,948.92,833.12,751.12,7522,7832,763.52,115.92,124.32,121.52,264.82,262.92,272.82,281.82,286.42,057.82,064.72,066.52,062.52,068.82,063.92,158.72,159.72,164.62,163.7
Long Term Investments 03.42.51,243.42.1-138.22.902.32.836.83.73.94.73.500029.200028.700000000000000000000000000000000
Tax Assets 0120.6118.6111.3-2.1138.21430-2.3-2.8-328.8-3.7-3.9-4.7-3.5000-29.2000-28.700000000000000000000000000000000
Other Non-Current Assets 268.7-31.7-1,064.8235230.885.5116.4388.2373.3352297.7340.2337.7330.6417.7392.9381.5359.3309.8307.5306.7311.2138106.198.394.895.3102.299.482.28081.17974.78069.591.189.289.763.54847.143.550.453.267.371.181.885.589.894.712997.198.277.9
Total Non-Current Assets 4,579.34,5924,619.44,526.44,468.44,429.63,671.53,660.55,4085,270.35,286.35,191.75,142.85,147.15,136.25,150.24,3814,3754,386.14,393.14,378.94,426.54,441.24,278.54,279.53,891.63,907.53,909.73,7513,700.33,6783,683.33,672.93,555.33,461.53,459.93,458.83,436.62,748.82,753.82,718.32,8532,842.12,850.72,845.72,861.82,624.62,645.22,646.12,657.92,673.62,684.42,825.82,788.62,798.92,791.6
Total Assets 6,598.46,673.96,791.56,524.16,618.16,873.25,972.76,120.98,415.68,334.18,2437,936.27,868.87,6967,482.17,358.76,5196,332.36,300.16,291.36,285.66,343.46,289.25,964.66,169.75,697.15,5525,511.45,349.35,253.45,134.15,126.15,212.65,097.94,942.84,878.65,082.24,966.54,085.34,052.94,081.24,190.14,106.84,184.84,119.34,065.43,823.83,871.33,784.53,7263,647.53,637.93,840.93,831.43,712.74,259.4
Liabilities & Equity:
Current Liabilities:
Account Payables 493.3554.4571.4568.1570.4489.5423.7421.6672.6756.3728.1561735.7697.5599.2620.5544.1463.9426.4460436.5476.6442459437.7428.7417.1428.8392.5397378.9393.8361.9366.1364.1344.2353.6352.6327.4333.8341.4337.7319.8314.8344.4350.1300.9287253.5287.8254.7260.7258.4282.1237.2252.8
Short Term Debt 499.5499.3000599.8599.5599.2600.300400000000399.9399.7432.5782.6381.85255253503500000003.22.80.83.8026.326.329.710.19.765.628.628.9285.322.121.821.33.33.63.33
Tax Payables 00031.500024.800090.100070.800039.300057.700061.400046.300043.3000280000000000000000
Deferred Revenue 026.70-37.1000000000000000000000000000000000000000000000000548.9000
Other Current Liabilities 539.4494.3491.1600.8621.7551.4390499.1775685.2626.7920793.1667.2597.8653.8590.9488.9419.8510.3507.6436415450.4488.9451.8373.7416.6460394.1328.9402.7414.8348.6318369.6420.3329.7255.4311.5339.1297.1237.4417.9357.9293229.9317.4339286.5240.4315.8884.5326.4300.4320.7
Total Current Liabilities 1,532.21,5481,062.51,159.41,192.11,640.71,413.21,544.72,047.91,441.51,354.81,971.11,528.81,364.71,1971,345.11,135952.81,246.11,409.31,376.61,695.21,238.81,492.11,451.61,230.51,140.8906.8852.5791.1707.8840.4776.7717.9684.9757.9777.7682.3609.1699.6710.2644.9566.9738.7707.9671.7559.7651.3597.8596.4516.9597.81,146.2612.1540.9576.5
Non-Current Liabilities:
Long Term Debt 2,405.62,5363,185.22,813.42,921.42,757.52,164.92,169.72,929.33,507.73,5192,468.62,7962,766.72,831.92,712.72,225.62,383.42,169.31,924.42,088.81,812.32,318.71,8091,988.41,793.31,5381,507.61,462.21,391.91,491.51,431.11,585.81,600.41,619.21,171.61,337.61,389.8733.7643.7653.8595475350350357.5297.5297.5339.3339.3409.3389.316.816.816.816.8
Deferred Revenue Non-Current 011.1140.5-00000000000000000000000000000000002.62.73.4000108.5193.7196200.7252.700250-204.100176.30
Deferred Tax Liabilities Non-Current 0120.6118.6111.3125.5138.2143136.9222.7184.2196.4176167.2171.9167.1160.5149.2152.1157.4157.2160.1167.9161.7162.6149.2156.2158.2166.8176.2168.3170.4163.5170.6189.6177.6201.7266230.2151.7150.6198.2243.4247.7252.5227.9230225.5221.300213.4204.1002650
Other Non-Current Liabilities 264.7138.7144.4146.5160.1159.7169.1182.7185.6248.3258431.7322.2349.2361.7364.9380.6380.9369.4372.6323.4323.3322.9320.9346.9342.4356.7329.1312.5333.4333.7328.1319.3497468.9495.3562.6522441.2443.1376.6418.6424.9334.5313.7311.8304.763.80540.174.4322.2549.5535.2102.23,721
Total Non-Current Liabilities 2,670.32,795.33,448.23,071.33,2073,055.42,4772,489.33,337.63,940.23,973.42,900.33,285.43,287.83,360.73,238.12,755.42,916.42,696.12,454.22,572.32,303.52,803.32,292.52,484.52,291.92,052.92,003.51,950.91,893.61,995.61,922.72,075.72,097.42,088.11,666.91,900.21,914.41,177.61,090.21,030.41,013.6899.9793857.4865.3802.9835.3852.4879.4947.1915.6566.3552560.33,737.8
Total Liabilities 4,202.54,343.34,510.74,230.74,399.14,696.13,890.24,0345,385.55,381.75,328.24,871.44,814.24,652.54,557.74,583.23,890.43,869.23,942.23,863.53,948.93,998.74,042.13,784.63,936.13,522.43,193.72,910.32,803.42,684.72,703.42,763.12,852.42,815.32,7732,424.82,677.92,596.71,786.71,789.81,740.61,658.51,466.81,531.71,565.31,5371,362.61,486.61,450.21,475.81,4641,513.41,712.51,164.11,101.24,314.3
Equity:
Preferred Stock 00000000000000000000000000000000000000000000000000000000
Common Stock 1.91.91.91.91.91.91.91.91.91.91.91.91.91.91.91.81.81.81.81.81.81.81.81.81.81.81.81.71.71.71.71.71.71.71.71.71.71.71.71.71.71.71.71.71.71.61.61.61.61.61.61.61.6000
Retained Earnings 2,882.52,805.52,701.82,605.32,554.22,475.42,402.42,323.83,2773,1452,989.42,807.92,6702,539.32,3582,180.22,052.71,954.71,872.11,7631,692.51,648.11,541.41,448.11,393.41,350.51,249.91,174.21,076.51,002892814.6738.4664.4558.5501.6439.4376.7319.5279.5256.5315.6241.8200.8156.7125.878.34122.6-17.4-65.2-77.7-635.4-655.5-697.8-685.4
Accumulated Other Comprehensive Income/Loss 54.34351.363.336.655.342.937.4-2.227.835.3-24.6-53.8-38.4-51-55.1-91.5-110.3-123.2-72.6-75.5-64.1-67.3-67-45.7-53.2-36-39.2-25.5-54.6-64.7-71.9-52.2-39.3-38.9-52.5-39.1-24.5-26.1-6.777.387.887.895.451.652.157.730.624.310.51510.6-104.4-64.8-67.9-76.3
Other Total Stockholders Equity -542.8-519.8-474.2-377.1-373.7-355.5-364.7-276.2-246.6-222.3-111.8279.6436.5540.7615.5648.6665.6615.6606.3734.4716.6757.7769.6795.3882.48741,141.11,462.81,491.61,618.11,600.21,617.11,670.91,654.21,646.82,000.11,999.62,013.51,999.61,9852,001.72,123.52,305.92,351.52,340.52,3462,320.92,307.92,282.42,252.32,229.12,186.32,863.13,384.43,374.3703.3
Total Shareholders Equity 2,395.92,330.62,280.82,293.42,2192,177.12,082.52,086.93,030.12,952.42,914.83,064.83,054.63,043.52,924.42,775.52,628.62,461.82,3572,426.62,335.42,343.52,245.52,178.22,231.92,173.12,356.82,599.52,544.32,567.22,429.22,361.52,358.82,2812,168.12,450.92,401.62,367.42,294.72,259.52,337.22,528.62,637.22,649.42,550.52,525.52,458.52,381.12,330.92,2472,180.52,120.82,124.92,664.12,608.6-58.4
Total Equity 2,395.92,330.62,280.82,293.42,2192,177.12,082.52,086.93,030.12,952.42,914.83,064.83,054.63,043.52,924.42,775.52,628.62,463.12,357.92,427.82,336.72,344.72,247.12,1802,233.62,174.72,358.32,601.12,545.92,568.72,430.72,3632,360.22,282.62,169.82,453.82,404.32,369.82,298.62,263.12,340.62,531.62,6402,653.12,5542,528.42,461.22,384.72,334.32,250.22,183.52,124.52,128.42,667.32,611.5-54.9
Total Liabilities & Shareholders Equity 6,598.46,673.96,791.56,524.16,618.16,873.25,972.76,120.98,415.68,334.18,2437,936.27,868.87,6967,482.17,358.76,5196,332.36,300.16,291.36,285.66,343.46,289.25,964.66,169.75,697.15,5525,511.45,349.35,253.45,134.15,126.15,212.65,097.94,942.84,878.65,082.24,966.54,085.34,052.94,081.24,190.14,106.84,184.84,119.34,065.43,823.83,871.33,784.53,7263,647.53,637.93,840.93,831.43,712.74,259.4