Conagra Brands, Inc.

NYSE:CAG

22.67 (USD) • At close May 29, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 77.793.383.379.2553.3236.6128251.4798.1164.7141.3183.9103972.4953.2243.2140.9730.8331.6207.6608.6628.6157.9198.1157.662.8108.4105.8113.760166.4257354.8715.7120.5380.4167.8194.9128.6
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 77.793.383.379.2553.3236.6128251.4798.1164.7141.3183.9103972.4953.2243.2140.9730.8331.6207.6608.6628.6157.9198.1157.662.8108.4105.8113.760166.4257354.8715.7120.5380.4167.8194.9128.6
Nettovorderingen 871.8952.8867.4793.9860.8818.2569.4563.4650.17391,058.41,279.4924.8849.4849.6755.3890.68191,178.11,260.81,384.4800.91,276.41,605.41,241.51,449.41,546.91,367.61,428.41,5401,589.61,421.41,290.41,228.91,3001,094.9754.4602.4478.3
Voorraad 2,0832,212.21,966.71,709.71,364.81,548.9988.7927.91,044.11,642.62,0772,340.91,869.61,803.41,597.91,821.71,926.31,625.12,130.62,153.62,580.92,455.64,077.15,071.44,0563,782.53,540.83,342.93,573.43,167.33,170.42,439.22,373.92,019.81,648.81,383.11,096.1864640.7
Overige vlottende activa 117126.7116.3119.3107130.1252.8270.51,084.41,017954.1575.6321.4274.1559.4516.43,124.21,831.11,1501,152.8575.42,174.5922.5487.7404.8296.8341.6388.7451.4372.9216.9369.1352.1378.5278.530257.945.835.9
Totaal vlottende activa 3,149.53,3853,033.72,702.12,885.92,733.81,938.92,013.23,576.73,563.34,230.84,379.83,218.83,899.33,960.13,336.66,0825,0064,790.34,774.85,149.36,059.66,433.97,362.65,859.95,591.55,537.75,2055,566.95,140.25,143.34,486.74,371.24,342.93,347.83,160.42,076.21,707.11,283.5
Niet-vlottende activa:
Materiële vaste activa, netto 2,896.92,736.42,737.22,5722,365.42,327.41,589.51,633.11,697.82,644.63,6363,757.62,741.92,670.12,602.42,559.22,482.32,206.52,268.42,3652,837.42,678.33,449.93,884.73,5843,614.23,449.73,242.52,820.52,7962,586.32,388.22,276.81,941.51,034.7825.5696.1601.9427.1
Goodwill 10,582.711,109.411,329.211,338.911,361.511,435.44,487.44,295.34,318.94,544.67,828.58,426.74,015.43,609.43,549.93,483.63,480.13,404.83,445.63,451.50000000000000000000
Immateriële activa 2,708.43,192.33,857.84,124.64,302.44,539.31,282.81,223.71,223.31,272.53,204.93,403.61,191.5936.3874.8834.9816.7774.8799.58014,615.54,631.54,7864,840.22,3662,408.72,391.72,4342,405.62,420.12,626.42,670.32,723.62,710.9251.5116.273.770.848.8
Goodwill en immateriële activa 13,291.114,301.715,18715,463.515,663.915,974.75,770.25,5195,542.25,817.111,033.411,830.35,206.94,545.74,424.74,318.54,296.84,179.64,245.14,252.54,615.54,631.54,7864,840.22,3662,408.72,391.72,4342,405.62,420.12,626.42,670.32,723.62,710.9251.5116.273.770.848.8
Langetermijnbeleggingen 000000000000000000000000000000000000000
Belastingvorderingen 000000000000000000000000000000000000000
Overige niet-vlottende activa 1,524.81,629.51,477.21,4581,388.81,177.91,090.99312,573.95,412.8419.3437.6274.3293.6750.8859821.4443.4666.61,650.51,6201,702901.1393.3386.7467.1429.4395.6403.6444.7365.8443.5387.1425170.2176.1196.9102.760.3
Totaal niet-vlottende activa 17,712.818,667.619,401.419,493.519,418.119,4808,450.68,083.19,813.913,874.515,088.716,025.58,223.17,509.47,777.97,736.77,600.56,829.57,180.18,2689,072.99,011.89,1379,118.26,336.76,4906,270.86,072.15,629.75,660.85,578.55,5025,387.55,077.41,456.41,117.8966.7775.4536.2
Totaal activa 20,862.322,052.622,435.122,195.622,30422,213.810,389.510,096.313,390.617,437.819,319.520,405.311,441.911,408.711,73811,073.313,682.511,835.511,970.413,042.814,222.215,071.415,570.916,480.812,196.612,081.511,808.511,277.111,196.610,80110,721.89,988.79,758.79,420.34,804.24,278.23,042.92,482.51,819.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,493.71,525.51,864.61,655.91,507.11,252.1905.3773.1706.71,0801,349.31,498.11,190.31,083.7919.1809.1786746.5867.6781.6940.8788.12,103.92,289.82,042.52,022.21,9711,894.71,856.91,574.81,610.51,459.62,637.62,363.41,3900000
Kortlopende schulden 948.72,152.3891.6730.5846.642.2584.3227.2573.31,015.7225.9702.978.1363.5260.827.6614.739.2431.1125.8413510.3239.92,800.21,276.1861.9910.8881.9558.847.9539.7710.1390.3794.6382.83722312.912.1
Belastingschulden 0023.1000000000000000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000000
Overige kortlopende verplichtingen 799.4762.9739.5919.8933.7848.3846.6720.21,252.41,214.41,067.21,200.3956.8678.4856.3737.42,250.61,895.21,666.11,732.31,650.72,5051,969.61,845.62,146.82,4822,211.92,2132,7782,342.22,602.62,102.91,053.4929.41,194.72,279.51,613.11,223.7914.1
Totaal kortlopende verplichtingen 3,241.84,440.73,518.83,306.23,287.42,142.62,336.21,720.52,532.43,310.12,642.43,401.32,225.22,125.62,036.21,574.13,651.32,680.92,964.82,639.73,004.53,803.44,313.46,935.65,465.45,366.15,093.74,989.65,193.73,964.94,752.84,272.64,081.34,087.42,967.52,651.51,636.11,236.6926.2
Langlopende verplichtingen:
Langetermijnschulden 7,664.87,266.98,287.68,460.39,106.910,655.73,231.52,769.24,881.46,888.88,720.58,886.92,858.62,870.33,226.43,455.43,386.93,418.63,154.84,349.15,280.75,395.25,725.84,109.52,566.82,543.12,503.52,355.72,262.92,5202,206.82,159.22,124.42,093635.4560.1489.9428.7309
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 01,143.81,344.51,271.41,330.11,349487.3466.534200000000452.60000000000000000103.3108.492.981.459.8
Overige niet-vlottende verplichtingen 1,444.4393.9422526.3628.9602.8577.91,062.31,8402,628.92,601.42,754.11,822.11,736.11,546.51,322.91,306.9700.51,200.81,194.61,143.11,251.11,223.51,452.51,275.71,308.2847.3935.1959.51,465.81,079.71,146.5964.71,066.408.79.613.314.2
Totaal niet-vlottende verplichtingen 9,109.28,804.610,054.110,25811,065.912,607.54,296.74,2987,063.49,517.711,321.911,6414,680.74,606.44,772.94,778.34,693.84,571.74,355.65,543.76,423.86,646.36,949.35,5623,842.53,851.33,350.83,290.83,222.43,985.83,286.53,305.73,089.13,159.4738.7677.2592.4523.4383
Totaal passiva 12,35113,245.313,572.913,564.214,353.314,750.16,632.96,018.59,595.812,827.813,964.315,042.36,905.96,7326,809.16,352.48,345.17,252.67,320.48,183.49,428.310,449.711,262.712,497.69,307.99,217.48,444.58,280.48,416.17,950.78,039.37,578.37,170.47,246.83,706.23,328.72,228.51,7601,309.2
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000354.9455.6355.9356356.12.20000
Gewone aandelen 2,921.22,921.22,921.22,921.22,921.22,921.22,839.72,839.72,839.72,839.72,839.72,839.72,839.72,839.72,839.72,835.92,833.42,832.22,831.12,829.72,829.22,828.12,827.52,826.72,620.72,598.20000000000000
Ingehouden winsten 6,276.36,599.46,550.76,262.65,471.25,047.94,744.94,2473,218.34,331.15,010.65,129.54,765.14,690.34,417.14,042.53,409.52,8562,454.62,438.12,349.22,080.51,821.91,534.81,345.31,325.11,337.72,061.21,683.51,712.51,422.71,1671,048.5692.5490.6560.7444.3352.7276.1
Overige gereserveerde algehele resultaten -35.5-44.4-11.25.8-109.6-110.3-110.5-212.9-344.5-329.5-134.3-196.1-299.1-91.2-285.3-103.7286.5-5.9-2439.3-16.4-326.2-401.6-387.9-464.6-528.70000000000000
Overige totale aandeelhoudersvermogen -721.6-739.4-673-637.8-406.7-474.2-3,797.9-2,883-1,999.9-2,315.3-2,457.5-2,508.7-2,866.2-2,769.1-2,047.6-2,053.8-1,192-1,099.4-611.7-447.7-368.139.360.49.6-612.7-530.51,501.3410.5572782.9804.2887.51,183.81,124.9605.2388.8370.1369.8234.4
Totaal eigen vermogen van aandeelhouders 8,440.48,736.88,787.78,551.87,876.17,384.63,676.23,990.83,713.64,5265,258.55,264.44,439.54,669.74,923.94,720.95,337.44,582.94,6504,859.44,793.94,621.74,308.23,983.22,888.72,864.12,8392,471.72,255.52,850.32,682.52,410.42,588.32,173.51,098949.5814.4722.5510.5
Totaal eigen vermogen 8,511.38,807.38,862.28,631.47,950.77,463.73,756.64,077.83,794.84,6105,355.25,3634,5364,676.74,928.94,720.95,337.44,582.94,6504,859.44,793.94,621.74,308.23,983.22,888.72,864.13,3642,996.72,780.52,850.32,682.52,410.42,588.32,173.51,098949.5814.4722.5510.5
Totaal passiva en aandeelhoudersvermogen 20,862.322,052.622,435.122,195.622,30422,213.810,389.510,096.313,390.617,437.819,319.520,405.311,441.911,408.711,73811,073.313,682.511,835.511,970.413,042.814,222.215,071.415,570.916,480.812,196.612,081.511,808.511,277.111,196.610,80110,721.89,988.79,758.79,420.34,804.24,278.23,042.92,482.51,819.7