Francesco Laconi EQUITY RESEARCH
FINANCIAL MODEL

Waste Management, Inc.

WM · all figures in $M unless noted
burgundy figures open the exact filing page they were verified against · green figures are computed — click for the formula
FY2015FY2016FY2017FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025
Income Statement
Revenue13,60914,48514,91415,45515,21817,93119,69820,42622,06325,204
Cost of Goods Sold8,4869,0219,2499,4969,34111,11112,29412,60613,38315,012
Gross Profit
SG&A1,4101,4681,4531,6311,7281,8641,9381,9262,2642,722
R&D
EBITDA
D&A1,3011,3761,4771,5741,6711,9992,0382,0712,2672,863
EBIT (Operating Income)2,2962,6362,7892,7062,4342,9653,3653,5754,0634,308
Interest Expense376363374411425365378500598912
Pre-Tax Income1,8222,1912,3762,1051,8932,3492,9183,0213,4583,426
Tax Expense642242453434397532678745713717
Net Income1,1821,9491,9251,6701,4961,8162,2382,3042,7462,708
Diluted EPS2.654.414.453.913.524.295.395.666.816.70
Diluted Shares (M)446.5441.9432.2427.5425.1422.9415.0406.9403.4404.2
Balance Sheet
Total Cash & Equivalents3222613,561553118351458414201
Short-term Debt07394322185517084143341,359711
Long-term Debt9,3108,7529,59413,28013,25912,69714,57015,89522,54122,196
Total Debt
Net Debt
Total Current Assets2,6942,6456,2093,5403,0693,5513,8044,7744,910
Total Current Liabilities3,2623,1083,1443,5534,0824,3944,2266,2585,524
Total Assets20,85921,82922,65027,74329,34529,09731,36732,82344,56745,835
Total Liabilities15,56215,78716,37420,67321,89121,97124,50325,92736,31335,844
Shareholders' Equity5,2976,0196,2757,0687,4527,1246,8496,9038,2529,990
Minority Interest23122215721
Intangibles & Goodwill6,2476,4306,5328,9949,0289,3239,25413,43813,880
PP&E11,55911,94212,89314,14814,41915,71916,96819,34020,378
Receivables1,8051,9311,9492,0972,2782,4612,6333,2723,435
Payables1,0401,0371,0651,1211,3751,7661,7092,0461,867
Inventory
Retained Earnings8,5889,79710,59211,15912,00413,16714,33415,85817,232
Cash Flow
Cash from Operations3,0033,1803,5703,8743,4034,3384,5364,7195,3906,043
Capital Expenditures1,3391,5091,6941,8181,6321,9042,5872,8953,2313,227
Free Cash Flow
Stock-Based Compensation901018986941088493118169
Dividends Paid7267508028769279701,0771,1361,2101,334
Share Repurchases7257501,0042484021,3501,5001,3022620