3M Company vs Materials Select Sector SPDR Fund — how do they compare? 3M Company trades at $164.86 (market cap $86.39B), while Materials Select Sector SPDR Fund trades at $51.45. The key difference: 3M Company pays a 1.86% dividend while Materials Select Sector SPDR Fund pays none, and Materials Select Sector SPDR Fund is trading nearer its 52-week high, 3M Company nearer its low. Which is the better fit depends on your goals.
| MMM | XLB | |
|---|---|---|
Market Cap | $86.39B | — |
Sector | Industrials | — |
52-Week High | $183.79 | $53.67 |
52-Week Low | $141.10 | $42.23 |
Enterprise Value | $95.61B | — |
Dividend Yield | 1.86% | — |
Signals from Pluang's Aura AI — not financial advice
MMM trades at $167.52, down 0.62% on the day, with a bearish technical signal but strong fundamentals including a net income margin of 11.9% and consistent earnings beats. Recent news highlights strength in transportation and electronics segments, though consumer demand remains soft. The stock has gained 9.1% over the past year, supported by industrial momentum and cost management initiatives.
Outlook is mixed: analyst consensus is a Buy with a $173 price target, but high debt and valuation ratios pose risks. Near-term catalysts include Q3 2026 earnings and continued segment growth, while headwinds include cost pressures and weak consumer sales. The dividend of $0.78 per share provides income support.
XLB trades at $51.95, down 0.93% on the day, with technical indicators showing a bullish overall signal driven by moving averages. The ETF offers broad exposure to the materials sector, which is benefiting from infrastructure spending and AI-related demand. Recent news highlights the sector's potential for earnings growth and defensive characteristics in the current market environment.
The materials sector appears well-positioned for continued growth with strong Q2 earnings momentum and AI infrastructure tailwinds. However, investors face risks from cyclical sector exposure and potential geopolitical supply chain disruptions. Current technical strength suggests near-term upside potential, though valuation metrics remain unavailable for detailed fundamental assessment.
Trailing returns across standard periods
3M Company conducts operations in electronics, telecommunications, industrial, consumer and office, health care, safety, and other markets. The Company businesses share technologies, manufacturing operations, marketing channels, and other resources. 3M serves customers worldwide.
Read more on MMM →In seeking to track the performance of the index, the fund employs a replication strategy. It generally invests substantially all, but at least 95%, of its total assets in the securities comprising the index. The index includes securities of companies from the following industries: chemicals; metals and mining; paper and forest products; containers and packaging; and construction materials. The fund is non-diversified.
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