The J. M. Smucker Company

NYSE:SJM

104.08 (USD) • At close July 3, 2025
Overzicht | Financiële gegevens

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

2025202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 69.962655.8169.9334.3391.1101.3192.6166.8109.8125.6153.5256.4229.7319.845283.57456.693184.175200.11971.95658.085104.551181.22591.91451.12533.1038.68336.48424.117.611.214.05950.436.324.518.436.727.125.218
Kortetermijnbeleggingen 00487.8000000000000000014.88217.73915.074000000000000000000
Liquide middelen en kortetermijnbeleggingen 69.9621,143.6169.9334.3391.1101.3192.6166.8109.8125.6153.5256.4229.7319.845283.57456.693184.175200.11986.83875.824119.625181.22591.91451.12533.1038.68336.48424.117.611.214.05950.436.324.518.436.727.125.218
Nettovorderingen 619736.5597.6524.7533.7551.4503.8385.6438.7450.1430.1309.4313.7347.5344.41238.867266.037162.426124.048148.014145.73493.617101.36457.37155.98662.51851.85848.73248.140.253.647.82840.441.642.335.629.624.826.221.1
Voorraad 1,209.41,038.91,009.81,089.3959.9895.3910.3854.4905.7899.41,163.6931945.5961.6863.579654.939603.926379.608286.052279.088284.487179.827169.127116.539114.175121.515114.2103.46594.195.5110.7103.23671.977.866.561.547.24742.938.6
Overige vlottende activa 248.3129.5107.7226.2113.8134.9109.8122.4130.6114.1264.6145.279.6104.7109.16546.25472.23549.99829.147128.89849.80657.78214.94413.98913.95611.99611.40112.82512.261.216.36.5625.75.97.74.44.62.92.22.2
Totaal vlottende activa 2,146.61,966.92,858.72,010.11,941.71,972.71,625.21,5551,641.81,573.41,983.91,539.11,595.21,643.51,636.9991,223.631,398.891776.207639.366642.838555.851450.851466.66279.813235.242229.132186.142201.506178.5214.5191.8171.685168.4161.6141119.9118.1101.896.579.9
Niet-vlottende activa:
Materiële vaste activa, netto 3,079.63,247.32,342.52,238.22,143.52,117.81,912.41,729.11,617.51,627.71,678.31,265.61,142.51,096.1867.882858.313838.433496.296454.028456.554521.101317.521274.986162.789171.57174.648166.543143.714139.6143.1140.1137.50696.388.382.975.461.95446.342.7
Goodwill 5,7107,649.95,216.96,015.86,023.66,304.56,310.95,942.26,077.16,091.16,011.63,098.23,052.93,054.62,812.7462,807.732,791.3911,132.476990.771940.96700033.5133.78836.79545.37132.72234.04131.33640.62121.83300000000
Immateriële activa 6,346.97,255.44,429.35,652.26,041.26,4296,718.85,916.56,149.96,494.46,950.33,024.33,089.43,1872,940.013,026.5153,098.976614478.194472.9151,420.966840.897846.35114.82511.84813.4915.2569.68845.444.140.638.32823.22122.523.51411.68.18.5
Goodwill en immateriële activa 12,056.914,905.39,646.211,66812,064.812,733.513,029.711,858.712,22712,585.512,961.96,122.56,142.36,241.65,752.7565,834.2455,890.3671,746.4761,468.9651,413.8821,420.966840.897846.35148.33545.63650.28560.62742.4145.444.140.660.16123.22122.523.51411.68.18.5
Langetermijnbeleggingen 0000038.640.945.847.3000000012.81300000000000000000000000
Belastingvorderingen 0000000000000000000000000000000000000000
Overige niet-vlottende activa 280.2154.2144138.7134.2107.8103.1158.4153.4197.5182.2133151.813466.94858.66551.657110.902131.464136.47137.97674.85627.4133.95526.65621.31920.57120.34321.323.348.59.2896.96.9664.52.621.1
Totaal niet-vlottende activa 15,416.718,306.812,132.714,044.914,342.514,997.715,086.113,746.213,997.914,410.714,822.47,521.17,436.67,471.76,687.5866,751.2236,793.272,353.6742,054.4572,006.9062,080.0431,233.2741,148.747245.079243.862246.252247.741206.467206.3210.5229.2206.956126.4116.2111.4104.980.468.256.452.3
Totaal activa 17,563.320,273.714,991.416,05516,284.216,970.416,711.315,301.215,639.715,984.116,806.39,060.29,031.89,115.28,324.5857,974.8538,192.1613,129.8812,693.8232,649.7442,635.8941,684.1251,615.407524.892479.104477.698437.657410.695384.8425421378.641294.8277.8252.4224.8198.5170152.9132.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,288.71,336.21,392.61,193.31,034.1782591512.1477.2459.4402.8289.2285.8274.7234.916179.509198.954119.84493.588.963105.2962.23268.70432.3929.96732.5240.26241.4136.637.240.537.32227.428.424.8220000
Kortlopende schulden 640.81,630.833.2220.11,276284.51,224.5144953284226343.25050010626.72603328.6250.378000008.96600004.32700000.70.72.51.7
Belastingschulden 000000000000007.70675.97717.69000000001.6874.76.7314.11603.8582.12400000000
Uitgestelde opbrengsten 0000000000000000000000000000000000000000
Overige kortlopende verplichtingen 722.5794.1560.9539.4557.4520.6526377.7402.4469.6393.8253.4261292.2240.054213.411217.866119.553109.968117.857152.624112.98898.5748.04138.09533.98233.70336.75931.28430.335.44239.42229.125.225.223.741.23533.126.6
Totaal kortlopende verplichtingen 2,6523,761.11,986.71,952.82,867.51,587.12,341.51,033.81,832.61,2131,022.6885.8596.8616.9482.676478.8971,061.236239.397236.468235.44308.292175.22167.27480.43168.06268.18987.63184.97267.579.883.19556.553.65045.741.935.735.628.3
Langlopende verplichtingen:
Langetermijnschulden 7,036.86,917.24,391.44,386.83,629.65,493.34,686.34,6884,445.55,1465,944.91,873.11,967.82,020.51,304.039900910789.684392.643428.602431.561351351351357500060.867.148.55803.84.34.353.14.24.5
Uitgestelde opbrengsten niet-vlottend 0000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 01,737.41,138.91,325.81,349.31,351.61,398.61,377.22,1672,230.32,3971,020.7987.2992.71,042.8231,101.5061,145.808175.95158.418155.579110.505136.255134.0184.1054.9813.2217.0076.8047.68.552.4693.36.76.46.25.64.34.13.5
Overige niet-vlottende verplichtingen 1,791.9164.1183.6249.5313347.5314.4311.1344.4386.3354.9251331.2321.7202.684168.13135.186124.997110.637102.06494.73726.95754.94425.21220.27615.50114.91614.09213.26611.80111.08210.017-3.3-10.5-10.7-10.5-10.6-7.4-8.3-8
Totaal niet-vlottende verplichtingen 8,828.78,818.75,713.95,962.15,291.97,192.46,399.36,376.36,956.97,762.68,696.83,144.83,286.23,334.92,549.5462,169.6362,190.9941,090.631661.698686.245636.802298.212323.962164.317160.25793.72221.92320.89620.86681.10183.18261.04400000000
Totaal passiva 11,480.712,579.87,700.67,914.98,159.48,779.58,740.87,410.18,789.58,975.69,719.44,030.63,8833,951.83,032.2222,648.5333,252.231,330.028898.166921.685945.094473.432491.236244.748228.319157.09106.109101.76992.9148.7163144.23974.365.662.257.75444.745.437.7
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000000000000
Gewone aandelen 026.526.126.627.12928.928.928.429.129.925.426.627.628.543000014.23714.63512.54312.4426.2176.097.0817.297.2867.3027.2937.2917.27700000000
Ingehouden winsten 02,188.12,132.12,8932,847.52,746.82,367.62,239.21,240.51,267.71,159.21,0911,075.5961.2866.933746.063424.504567.419553.631489.067447.831387.065323.064267.793253.226310.843318.66298.316284.6269254.9233.42219209.6186.9165.4143.4122.8105.993.3
Overige gereserveerde algehele resultaten 0-234.6-239.2-237.4-277.4-379-181.8-116.7-143.4-148.4-109.8-51.6-76.6-843.629-20.581-57.2737.13311.7412.157-11.776-18.238-27.102-27.05-27.809-9.327-5.698-5.991-1.032-0.479-3.383-4.3100000000
Overige totale aandeelhoudersvermogen 6,082.65,713.95,371.85,457.95,527.65,794.15,755.85,739.75,724.75,860.16,007.63,964.84,123.34,258.64,393.2584,600.8384,572.6971,195.3011,230.2861,212.5981,240.11829.323815.76733.18419.27812.01111.2969.3151.030.486-0.808-1.9851.52.63.31.71.12.51.61.2
Totaal eigen vermogen van aandeelhouders 6,082.67,693.97,290.88,140.18,124.88,190.97,970.57,891.16,850.27,008.57,086.95,029.65,148.85,163.45,292.3635,326.324,939.9311,799.8531,795.6571,728.0591,690.81,210.6931,124.171280.144250.785320.608331.548308.926291.9276.3258234.402220.5212.2190.2167.1144.5125.3107.594.5
Totaal eigen vermogen 6,082.67,693.97,290.88,140.18,124.88,190.97,970.57,891.16,850.27,008.57,086.95,029.65,148.85,163.45,292.3635,326.324,939.9311,799.8531,795.6571,728.0591,690.81,210.6931,124.171280.144250.785320.608331.548308.926291.9276.3258234.402220.5212.2190.2167.1144.5125.3107.594.5
Totaal passiva en aandeelhoudersvermogen 17,563.320,273.714,991.416,05516,284.216,970.416,711.315,301.215,639.715,984.116,806.39,060.29,031.89,115.28,324.5857,974.8538,192.1613,129.8812,693.8232,649.7442,635.8941,684.1251,615.407524.892479.104477.698437.657410.695384.8425421378.641294.8277.8252.4224.8198.5170152.9132.2