International Paper (IP) 10-K Summaries & Annual Filing History
Review International Paper Company (IP) 10-K filings from 2023 through the latest annual report, including business, financial performance, risks, and liquidity.
Key takeaway
Year ended Dec 31, 2025 · FY2025 10-K
International Paper Company reported a significant net loss for the annual period, despite a substantial increase in revenue in the final quarter. The company generated positive operating cash flow for the year.
Financial snapshot
Selected annual figures reported with the filing, shown separately from the narrative summary.
Annual revenue
$23.6B
Revenue reported for the fiscal year.
Operating income
n/a
Income from operations reported for the year.
Net income
-$3.5B
Net income reported for the year.
Operating cash flow
$1.7B
Cash generated by operating activities.
Annual revenue trend
Reported annual revenue and its change from the preceding fiscal year.
| Period ended | Revenue | Year-over-year change |
|---|---|---|
| Mar 31, 2025 | $5.3B | -66.8% |
| Jun 30, 2025 | $6.1B | +16.7% |
| Sep 30, 2025 | $6.2B | +1.3% |
| Dec 31, 2025 | $23.6B | +279.8% |
Business overview
International Paper is a global producer of renewable fiber-based packaging and pulp products. Its operations are subject to competition, raw material availability, government regulation, and environmental and climate change considerations, as described in the business overview. The company provides detailed information on its products, marketing, human capital, and forward-looking statements.
Financial performance
Annual revenue trended upward through the year, reaching a higher level in the final period. Despite this revenue growth, the company reported a negative net income for the full year. Operating cash flow remained positive for the annual period.
Material risks
The filing contains a dedicated risk factors section covering numerous operational and market uncertainties. These include competitive pressures, raw material costs and availability, regulatory changes, environmental liabilities, and climate-related impacts. The company also cautions that forward-looking statements are subject to risks and uncertainties.
Liquidity and capital
Liquidity and capital resources are discussed in a dedicated section of the management's analysis. The filing describes how the company manages its cash flow, financing, and capital allocation, though specific allocation decisions are not detailed in the provided context.
What to watch
Monitor whether the company's revenue trend can sustain into future periods and if operating cash flow can cover capital spending and debt obligations.