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Segment and Related Information (Tables)
3 Months Ended
Mar. 31, 2021
Segment and Related Information  
Reportable Segments

Summarized financial information concerning our reportable segments for the three months ended March 31 is shown in the following table (in millions):

Gross

Intercompany

Net

Income

Operating

Operating

Operating

from

    

Revenues

    

Revenues(c)

    

Revenues

    

Operations(d)

2021

 

  

 

  

 

  

 

  

Solid Waste:

 

  

 

  

 

  

 

  

Tier 1

$

1,639

$

(320)

$

1,319

$

425

Tier 2

 

1,007

 

(216)

 

791

 

202

Tier 3

 

1,660

 

(300)

 

1,360

 

291

Solid Waste

 

4,306

 

(836)

 

3,470

 

918

Other (a)

 

665

 

(23)

 

642

 

18

4,971

(859)

4,112

936

Corporate and Other (b)

 

 

 

 

(286)

Total

$

4,971

$

(859)

$

4,112

$

650

2020

 

  

 

  

 

  

 

  

Solid Waste:

 

  

 

  

 

  

 

  

Tier 1

$

1,503

$

(280)

$

1,223

$

393

Tier 2

 

932

 

(198)

 

734

 

188

Tier 3

 

1,541

 

(294)

 

1,247

 

264

Solid Waste

 

3,976

 

(772)

 

3,204

 

845

Other (a)

 

554

 

(29)

 

525

 

(25)

 

4,530

(801)

3,729

820

Corporate and Other (b)

 

 

 

 

(247)

Total

$

4,530

$

(801)

$

3,729

$

573

(a)“Other” includes (i) our Strategic Business Solutions (“WMSBS”) business; (ii) those elements of our landfill gas-to-energy operations and third-party subcontract and administration revenues managed by our Energy and Environmental Services (“EES”) and WM Renewable Energy businesses that are not included in the operations of our reportable segments; (iii) our recycling brokerage services and (iv) certain other expanded service offerings and solutions. In addition, our “Other” segment reflects the results of non-operating entities that provide financial assurance and self-insurance support for our Solid Waste business, net of intercompany activity.

The increase in income from operations was primarily driven by (i) increased market values for renewable energy credits generated by our WM Renewable Energy business; (ii) a gain from the divestitures of certain ancillary operations and (iii) significantly higher commodity prices benefiting our recycling brokerage services.

(b)Corporate operating results reflect certain costs incurred for various support services that are not allocated to our reportable segments. These support services include, among other things, treasury, legal, information technology, tax, insurance, centralized service center processes, other administrative functions and the maintenance of our closed landfills. Income from operations for “Corporate and Other” also includes costs associated with our long-term incentive program and any administrative expenses or revisions to our estimated obligations associated with divested operations.

The decrease in income from operations was primarily driven by increased expenses as a result of (i) higher incentive compensation; (ii) a charge pertaining to reserves for certain loss contingencies and (iii) investments we are making in our digital platform.

(c)Intercompany operating revenues reflect each segment’s total intercompany sales, including intercompany sales within a segment and between segments. Transactions within and between segments are generally made on a basis intended to reflect the market value of the service.
(d)Income from operations provided by our Solid Waste business is generally indicative of the margins provided by our collection, landfill, transfer and recycling lines of business. From time to time, the operating results of our reportable segments are significantly affected by certain transactions or events that management believes are not indicative or representative of our results.

Income from operations in our Solid Waste business increased primarily due to (i) revenue growth from yield in our collection and disposal businesses; (ii) controlling our operating costs and margins with volume declines and (iii) higher recycling commodity prices. During the three months ended March 31, 2021, the contribution of Advanced Disposal to income from operations was offset by elevated depreciation and amortization of acquired assets.

Summary of operating revenues mix

The mix of operating revenues from our major lines of business for the three months ended March 31 are as follows (in millions):

    

2021

    

2020

Commercial

$

1,131

$

1,063

Residential

 

782

 

650

Industrial

 

743

 

693

Other collection

 

116

 

112

Total collection

 

2,772

 

2,518

Landfill

 

915

 

887

Transfer

 

465

 

441

Recycling

 

342

 

254

Other (a)

 

477

 

430

Intercompany (b)

 

(859)

 

(801)

Total

$

4,112

$

3,729

(a)The “Other” line of business includes (i) our WMSBS business; (ii) our landfill gas-to-energy operations; (iii) certain services within our EES business, including our construction and remediation services and our services associated with the disposal of fly ash and (iv) certain other expanded service offerings and solutions. In addition, our “Other” line of business reflects the results of non-operating entities that provide financial assurance and self-insurance support for our Solid Waste business, net of intercompany activity. Activity related to collection, landfill, transfer and recycling within “Other” has been reclassified to the appropriate line of business for purposes of the presentation in this table.
(b)Intercompany revenues between lines of business are eliminated in the Condensed Consolidated Financial Statements included within this report.