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What is WM's Cash To Income Ratio?

  Waste Management Inc ( WM ) |
1995 - 2021 (27 years)

Cash To Income Ratio is 
1.53 (1Y +7.26% )

WM Stock Price & Cash To Income Ratio

Cash To Income Ratio for WM competitors.
SRCL CWST ECOL CLH RSG PESI WCN
Note: Stonk = Stock. Both words are used interchangeably. 🙂

Historical (All-Time) Stats for Cash To Income Ratio

chevron_right 2021 1.49 +0.2x *
( +0.8% / year avg)
chevron_left 1995 -1.22
vertical_align_top Peak 2.6 +3.14x *
vertical_align_bottom Bottom -1.22
arrow_drop_up # Up Years 15 15 of 27
years up.
arrow_drop_down # Down Years 12
Up Years = Positive (0%+) YoY change
Down Years = Zero or Negative (0% or less) YoY change

Key Points (Stonk Price Comparison)

  • WM's stock price has rallied +4,321% from $2.65 in 1995 , or -19.2x faster than it's cash to income ratio over the same period.
  • If WM grows it's stock at the same rate as it's cash to income ratio (+0.8%/year) , it's stock price will grow +108% and hit $126.78 over the next 10 years.
  • WM's stock price has gone up 11 of the 15 years (+73%) it's cash to income ratio were also up.
* A modified method (see: here) is used to calculate changes that involve negative numbers.
5-Year Change 🚀
+29.5%$16.4BNet Revenue (Sales)
+26.1%$10.1BCost of Revenue (Sales)
+35.1%$6.4BGross Profit Margin
+4.33%1.55Gross Profit Margin Ratio
+27.6%$1.8BSelling, General, and Administrative (SG&A)
-111.1%$4.0MOther Income/Expenses, Net
+38.0%$3.7BTotal Operating Expenses
+29.1%$13.8BCost & Expenses
+2.11%$388.0MInterest Expense/Income, Net
+50.9%$1.7BDepreciation & Amortization (D&A)
+38.3%$4.4BEBITDA
+6.85%1.07EBITDA Margin
+31.2%$2.7BOperating Income
-17.3%0.53Operating Margin
+44.4%-$104.0MTotal Other Income/Expenses
+37.6%$2.2BPretax Income (Earnings)
+6.3%0.53Pretax Income (Earnings) Margin
-11.4%$496.0MProvision For Income Taxes
+63.2%$1.7BNet Income (Earnings)
+26.0%0.41Net Profit Margin
+72.9%4.0Earnings Per Share (EPS)
+72.1%3.96Earnings Per Share (EPS) Diluted
-5.2%$1.7BShares Outstanding
-5.42%$1.7BShares Outstanding (Diluted)
+357%$1.9BCash and Cash Equivalents
+357%$1.9BCash And Short-Term Investments
+34.8%$496.0MInventory
+154%$1.2BOther Current Assets
+44.5%$13.3BTotal Current Assets
+30.0%$56.2BPP&E
+44.5%$35.9BGoodwill
+53.5%$4.0BIntangible Assets
+45.3%$39.9BGoodwill and Intangible Assets
+14.8%$1.7BLong-term Investments
+39.9%$116.3BTotal Assets
+105%$4.8BAccounts Payables
-53.4%$976.0MShort-term Debt
+17.8%$2.2BDeferred Revenue
+28.3%$13.1BTotal Current Liabilities
+46.0%$53.0BLong-term Debt
+25.5%$7.2BDeferred Tax Liabilities Non-Current
+31.4%$4.2BOther Non-Current Liabilities
+42.2%$73.4BTotal Non-Current Liabilities
+39.9%$86.6BTotal Liabilities
0%$24.0MCommon Stock
+61.7%$45.3BRetained Earnings
-182.8%$192.0MAccumulated Other Comprehensive Income Loss
+40.4%$29.7BTotal Shareholders Equity
+40.0%$116.3BTotal Liabilities & Stockholders Equity
+40.6%$54.0BTotal Debt
+37.1%$52.0BNet Debt
-143.8%-$56.0MDeferred Income Tax
-23.3%$92.0MStock-Based Compensation (SBC)
-276.3%$656.0MChange in Working Capital
-84.9%-$156.0MOther Working Capital
+13.0%$104.0MOther Non-Cash Items
+58.6%$4.5BNet Cash Provided by Operating Activities
+1,100%-$288.0MOther Investing Activities
-60.6%-$1.3BNet Cash used for Investing Activities
-49.1%-$1.3BDebt Repayment
0%-$1000.0MCommon Stock Repurchased
+35.0%-$988.0MDividends Paid
-36.4%-$84.0MOther Financing Activities
-502.9%-$3.3BNet Cash Used Provided by Financing Activities
-164.6%-$168.0MNet Change in Cash
+482%$2.4BCash at End of Period
+1,561%$2.6BCash at Beginning of Period
+58.6%$4.5BOperating Cash Flow
-14.8%-$1.1BCapital Expenditure (capex)
+118%$3.4BFree Cash Flow
  • WM Historical Cash To Income Ratio Table

    * A modified method (see: here) is used to calculate changes that involve negative numbers.
    Year Cash To Income Ratio YoY % Change* Stock Price YoY % Change (Stock Price)
    4/1/2021 1.49 3.8% 117.07 3.2%
    4/1/2020 1.44 6.0% 113.46 -2.7%
    4/1/2019 1.36 5.5% 116.62 33.9%
    4/1/2018 1.28 4.5% 87.08 20.5%
    4/1/2017 1.23 5.7% 72.28 23.5%
    4/1/2016 1.16 -0.7% 58.52 31.5%
    4/1/2015 1.17 4.8% 44.52 9.9%
    4/1/2014 1.12 -6.0% 40.51 20.2%
    4/1/2013 1.19 -3.5% 33.69 21.7%
    4/1/2012 1.23 6.9% 27.68 9.3%
    4/1/2011 1.15 -5.2% 25.34 3.5%
    4/1/2010 1.21 1.3% 24.47 14.9%
    4/1/2009 1.2 9.7% 21.31 -12.2%
    4/1/2008 1.09 -4.4% 24.27 -3.8%
    4/1/2007 1.14 -7.5% 25.22 12.7%
    4/1/2006 1.24 -10.8% 22.37 28.2%
    4/1/2005 1.38 3.5% 17.45 1.4%
    4/1/2004 1.34 4.1% 17.2 6.5%
    4/1/2003 1.28 -10.5% 16.14 12.5%
    4/1/2002 1.43 -44.8% 14.35 -23.4%
    4/1/2001 2.6 115.1% 18.75 63.3%
    4/1/2000 1.21 110.8% 11.48 -25.6%
    4/1/1999 0.57 -56.6% 15.44 -53.7%
    4/1/1998 1.32 66.2% 33.36 31.2%
    4/1/1997 0.8 -16.5% 25.42 52.7%
    4/1/1996 0.95 -178.3% 16.64 41.0%
    4/1/1995 -1.22 - 11.8 -

  • About
    Industry: Waste Management
    Sector: Industrials
    Country: US
    IPO Date: 7/20/1993
    Stonk Exchange: NYSE
    • Waste Management, Inc
    • engages in the provision of waste management environmental services.
    • The company is headquartered in Houston, Texas and currently employs 43,700 full-time employees.
    • The Company, through its subsidiaries, is a provider of waste management environmental services.
    • The firm's segments include Solid Waste and Other.
    • The firm's Solid Waste segment includes its solid waste business.
    • The Other segment includes its Strategic Business Solutions (WMSBS) organization; its landfill gas-to-energy operations and third-party subcontract and administration services managed by its Energy and Environmental Services and WM Renewable Energy organizations; its recycling brokerage services, and its service offerings and solutions, such as portable self-storage and long distance moving services, fluorescent lamp recycling and interests it holds in oil and gas producing properties.
    • As of December 31, 2016, the Company owned or operated 243 solid waste landfills and five secure hazardous waste landfills.
    • Its recycling brokerage services involve managing the marketing of recyclable materials for third parties.
  • Cash to income = (CFO)/(Operating income)
    Cash generated from operations

    For more detailed definitions, please see Investopedia.
    Year Cash To Income Ratio YoY % Change Stock Price YoY % Change (Stock Price) operating income operating cash flow
    4/1/2021 1.49 3.8% 117.07 3.2% 2490.00 3746.00
    4/1/2020 1.44 6.0% 113.46 -2.7% 2549.00 3672.00
    4/1/2019 1.36 5.5% 116.62 33.9% 2785.00 3764.00
    4/1/2018 1.28 4.5% 87.08 20.5% 2690.00 3448.00
    4/1/2017 1.23 5.7% 72.28 23.5% 2564.00 3143.00
    4/1/2016 1.16 -0.7% 58.52 31.5% 2365.00 2733.00
    4/1/2015 1.17 4.8% 44.52 9.9% 2151.00 2492.00
    4/1/2014 1.12 -6.0% 40.51 20.2% 2167.00 2408.00
    4/1/2013 1.19 -3.5% 33.69 21.7% 2068.00 2435.00
    4/1/2012 1.23 6.9% 27.68 9.3% 2000.00 2450.00
    4/1/2011 1.15 -5.2% 25.34 3.5% 2070.00 2359.00
    4/1/2010 1.21 1.3% 24.47 14.9% 1956.00 2373.00
    4/1/2009 1.20 9.7% 21.31 -12.2% 1959.00 2315.00
    4/1/2008 1.09 -4.4% 24.27 -3.8% 2291.00 2495.00
    4/1/2007 1.14 -7.5% 25.22 12.7% 2225.00 2521.00
    4/1/2006 1.24 -10.8% 22.37 28.2% 2060.00 2530.00
    4/1/2005 1.38 3.5% 17.45 1.4% 1686.00 2326.00
    4/1/2004 1.34 4.1% 17.2 6.5% 1692.00 2258.00
    4/1/2003 1.28 -10.5% 16.14 12.5% 1525.00 1912.00
    4/1/2002 1.43 -44.8% 14.35 -23.4% 1682.00 2374.00
    4/1/2001 2.60 115.1% 18.75 63.3% 1200.00 2010.67
    4/1/2000 1.21 110.8% 11.48 -25.6% 1787.00 2125.00
    4/1/1999 0.57 -56.6% 15.44 -53.7% 1333.90 1689.60
    4/1/1998 1.32 66.2% 33.36 31.2% 1965.90 2961.90
    4/1/1997 0.80 -16.5% 25.42 52.7% 627.70 533.17
    4/1/1996 0.95 -178.3% 16.64 41.0% 242.32 264.67
    4/1/1995 -1.22 11.8 27.40 -154.40