H B Fuller Cash Flow from Operating Activities 2010-2025 | FUL

H B Fuller cash flow from operating activities from 2010 to 2025. Cash flow from operating activities can be defined as a company's cash flows from operations.
H B Fuller Annual Cash Flow Ops
(Millions of US $)
2024 $302
2023 $378
2022 $257
2021 $213
2020 $332
2019 $269
2018 $253
2017 $166
2016 $196
2015 $211
2014 $30
2013 $133
2012 $109
2011 $88
2010 $72
2009 $71
Sector Industry Market Cap Revenue
Basic Materials Chemicals - Specialty $2.929B $3.569B
H.B. Fuller has been a leading global adhesives provider focusing on perfecting adhesives, sealants and other specialty chemical products to improve products and lives. H.B. Fuller's commitment to innovation brings together people, products and processes that answer and solve some of the world's biggest challenges. H.B. Fuller adhesives products used in manufacturing common consumer and industrial goods, including food and beverage containers, disposable diapers, windows, doors, flooring, appliances, sportswear, footwear, multi-wall bags, water filtration products, insulation, textiles, automotives, solar energy systems and electronics. H.B. Fuller also provides customers with technical support and unique solutions designed to address their specific needs. H.B. Fuller has established a variety of product offerings for residential construction markets, such as tile-setting adhesives, grout, sealants and related products.
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