3M Company XBRL Taxonomy Presentation Networks

-Network: (0010 - Statement - Consolidated Statement of Income)
-Consolidated Statement of Income {ID1}
Net sales {ID2}
-Operating expenses {ID3}
Cost of sales {ID4}
Selling, general and administrative expenses {ID5}
Research, development and related expenses {ID6}
(Gain)/loss from sale of businesses {ID7}
Total operating expenses {ID8}
Operating income {ID9}
-Interest expense and income {ID10}
Interest expense {ID11}
Interest income {ID12}
Total interest expense (income) {ID13}
Income before income taxes {ID14}
Provision for income taxes {ID15}
Net income including noncontrolling interest {ID16}
Less: Net income attributable to noncontrolling interest {ID17}
Net income attributable to 3M {ID18}
Weighted average 3M common shares outstanding - basic (in shares) {ID19}
Earnings per share attributable to 3M common shareholders - basic (in dollars per share) {ID20}
Weighted average 3M common shares outstanding - diluted (in shares) {ID21}
Earnings per share attributable to 3M common shareholders - diluted (in dollars per share) {ID22}
Cash dividends paid per 3M common share (in dollars per share) {ID23}
-Network: (0020 - Statement - Consolidated Balance Sheet)
-Consolidated Balance Sheet {ID24}
-Assets: {ID25}
-Current assets {ID26}
Cash and cash equivalents {ID27}
Marketable securities - current {ID28}
Accounts receivable - net {ID29}
-Inventories {ID30}
Finished goods {ID31}
Work in process {ID32}
Raw materials and supplies {ID33}
Total inventories {ID34}
Other current assets {ID35}
Total current assets {ID36}
Marketable securities - non-current {ID37}
Investments {ID38}
Property, plant and equipment {ID39}
Less: Accumulated depreciation {ID40}
Property, plant and equipment - net {ID41}
Goodwill {ID42}
Intangible assets - net {ID43}
Prepaid pension benefits {ID44}
Other assets {ID45}
Total assets {ID46}
-Liabilities and Equity {ID47}
-Liabilities: {ID48}
-Current liabilities {ID49}
Short-term borrowings and current portion of long-term debt {ID50}
Accounts payable {ID51}
Accrued payroll {ID52}
Accrued income taxes {ID53}
Other current liabilities {ID54}
Total current liabilities {ID55}
Long-term debt {ID56}
Pension and postretirement benefits {ID57}
Other liabilities {ID58}
Total liabilities {ID59}
Commitments and contingencies (Note 11) {ID60}
Common stock par value, $.01 par value, 944,033,056 shares issued {ID61}
Additional paid-in capital {ID62}
Retained earnings {ID63}
Treasury stock, at cost; 245,712,394 shares at June 30, 2009; 250,489,769 shares at Dec. 31, 2008 {ID64}
Unearned compensation {ID65}
Accumulated other comprehensive income (loss) {ID66}
Total 3M Company shareholders' equity {ID67}
Noncontrolling interest {ID68}
Total equity {ID69}
Total liabilities and equity {ID70}
-Network: (0025 - Statement - Consolidated Balance Sheet (Parenthetical))
-Consolidated Balance Sheet {ID71}
Common stock, par value (in dollars per share) {ID72}
Common stock, shares issued {ID73}
Treasury stock, shares {ID74}
-Network: (0030 - Statement - Consolidated Statement of Cash Flows)
-Cash Flows {ID75}
- {ID76}
-Cash Flows from Operating Activities {ID77}
Net income including noncontrolling interest {ID78}
-Adjustments to reconcile net income including noncontrolling interest to net cash provided by operating activities {ID79}
Depreciation and amortization {ID80}
Company pension and postretirement contributions {ID81}
Company pension and postretirement expense {ID82}
Stock-based compensation expense {ID83}
(Gain)/loss from sale of businesses {ID84}
Deferred income taxes {ID85}
Excess tax benefits from stock-based compensation {ID86}
-Changes in assets and liabilities {ID87}
Accounts receivable {ID88}
Inventories {ID89}
Accounts payable {ID90}
Accrued income taxes {ID91}
Product and other insurance receivables and claims {ID92}
Other - net {ID93}
Net cash provided by operating activities {ID94}
-Cash Flows from Investing Activities {ID95}
Purchases of property, plant and equipment (PP&E) {ID96}
Proceeds from sale of PP&E and other assets {ID97}
Acquisitions, net of cash acquired {ID98}
Purchases of marketable securities and investments {ID99}
Proceeds from sale of marketable securities and investments {ID100}
Proceeds from maturities of marketable securities {ID101}
Proceeds from sale of businesses {ID102}
Other investing {ID103}
Net cash used in investing activities {ID104}
-Cash Flows from Financing Activities {ID105}
Change in short-term debt - net {ID106}
Repayment of debt (maturities greater than 90 days) {ID107}
Purchases of treasury stock {ID108}
Reissuances of treasury stock {ID109}
Dividends paid to stockholders {ID110}
Distributions to noncontrolling interest {ID111}
Excess tax benefits from stock-based compensation {ID112}
Other - net {ID113}
Net cash used in financing activities {ID114}
Effect of exchange rate changes on cash and cash equivalents {ID115}
Net increase (decrease) in cash and cash equivalents {ID116}
Cash and cash equivalents at beginning of year {ID117}
Cash and cash equivalents at end of period {ID118}
-Network: (1010 - Notes - Significant Accounting Policies)
-Notes to Financials {ID119}
Significant Accounting Policies {ID120}
-Network: (1020 - Notes - Acquisitions)
-Notes to Financials {ID121}
NOTE 2. Acquisitions {ID122}
-Network: (1030 - Notes - Goodwill and Intangible Assets)
-Notes to Financials {ID123}
NOTE 3. Goodwill and Intangible Assets {ID124}
-Network: (1040 - Notes - Restructuring Actions and Exit Activities)
-Notes to Financials {ID125}
NOTE 4. Restructuring Actions and Exit Activities {ID126}
-Network: (1050 - Notes - Supplemental Equity and Comprehensive Income Information)
-Notes to Financials {ID127}
NOTE 5. Supplemental Equity and Comprehensive Income Information {ID128}
-Network: (1060 - Notes - Income Taxes)
-Notes to Financials {ID129}
NOTE 6. Income Taxes {ID130}
-Network: (1070 - Notes - Marketable Securities)
-Notes to Financials {ID131}
NOTE 7. Marketable Securities {ID132}
-Network: (1080 - Notes - Pension and Postretirement Benefit Plans)
-Notes to Financials {ID133}
NOTE 8. Pension and Postretirement Benefit Plans {ID134}
-Network: (1090 - Notes - Derivatives)
-Notes to Financials {ID135}
NOTE 9. Derivatives {ID136}
-Network: (1100 - Notes - Fair Value Measurements)
-Notes to Financials {ID137}
NOTE 10. Fair Value Measurements {ID138}
-Network: (1110 - Notes - Commitments and Contingencies)
-Notes to Financials {ID139}
NOTE 11. Commitments and Contingencies {ID140}
-Network: (1120 - Notes - Stock-Based Compensation)
-Notes to Financials {ID141}
NOTE 12. Stock-Based Compensation {ID142}
-Network: (1130 - Notes - Business Segments)
-Notes to Financials {ID143}
NOTE 13. Business Segments {ID144}
-Network: (1140 - Notes - Subsequent Events)
-Notes to Financials {ID145}
NOTE 14. Subsequent Events {ID146}
-Network: (9999 - Disclosure - Document and Entity Information)
-Document and Entity Information {ID147}
Document Type {ID148}
Document Period End Date {ID149}
Amendment Flag {ID150}
Amendment Description {ID151}
Entity Registrant Name {ID152}
Entity Central Index Key {ID153}
Entity Current Reporting Status {ID154}
Entity Voluntary Filers {ID155}
Current Fiscal Year End Date {ID156}
Entity Filer Category {ID157}
Entity Well-known Seasoned Issuer {ID158}
Entity Common Stock, Shares Outstanding {ID159}
Entity Public Float {ID160}