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Batic Investments and Logistics Co. vs 3M Company

A head-to-head of Batic Investments and Logistics Co. (4110) and 3M Company (MMM) across valuation, profitability, growth, and dividends. Green marks the more favourable value on that metric only — not a recommendation.

Metric4110MMM
Market Cap1.30B SAR$83.37B
P/E (TTM)33.0630.80
Forward P/E16.84
P/S2.293.02
P/B2.8045.57
EV/EBITDA21.8614.10
Dividend Yield1.05%
Profit Margin6.83%11.14%
Gross Margin13.86%39.91%
Operating Margin7.95%19.20%
Revenue Growth (YoY)+19.01%+1.28%
FCF Yield8.11%2.73%
Debt / Equity21.47379.22
Current Ratio1.431.59

Which is better: Batic Investments and Logistics Co. or 3M Company?

  • Larger by market cap: 3M Company
  • Cheaper valuation (lower P/E): 3M Company
  • More profitable (net margin): 3M Company
  • Faster revenue growth: Batic Investments and Logistics Co.
  • Higher free-cash-flow yield: Batic Investments and Logistics Co.

Across 11 available metrics, 3M Company leads 6–5.

There's no single "better" — it depends on your goal: income investors may prefer the higher yield, growth investors the faster grower, and value investors the cheaper one. See each stock's page for deeper detail. This is an automated read, not a recommendation.

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This comparison is for informational and educational purposes only, based on available data — not a recommendation to buy or sell any stock.