Conagra Brands, Inc.

NYSE:CAG

29.48 (USD) • At close October 22, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Operating Activities:
Net Income 347.2683.2888.21,300.9841.8680.3797.5546496-607.4311786.1474.3830.3744.8646.4930.6764.6596.1663.1879.8774.8783638.6382.3358.4628615188.9495.6437.1391.5372.4311.2231.7
Depreciation & Amortization 400.9369.9375.4387.7388.9333257268373.9592.3602.9445.2371.8360.9326.8318.9296.7346311.2350.9352.3396.7623.2592.9536.5499.8446.3413.8407.9375.8294.8277319.3250.8129.7
Deferred Income Tax -25.5-25.5-25.532.5247.20-41.7249.5565.81,599.7641.832.647.6-6122-859.1000000000000000.54.829.5102.7-5.2
Stock Based Compensation 30.879.226.163.959.233.737.936.145.168.360.267.441.844.855.846.20000000000000000000
Change In Working Capital 130.7-816-218.4-298.4312.7102.450.9199-360.4-170.5-40.198.2145.4-105.2327.562.3-548.4-51.6102.9-201.5130.3-767.1810.1-1,326.3-899.1-207.3-594.5-183-67-343.6-153.3-17.5-18.7-37.9-61.4
Accounts Receivables 70.1-102.1-69.5-16.9-43.8-69.1-4.7104.7-171.993.863.3-73.1-4.32.8-85.675.40000000000000000000
Inventory 131.9-265.3-232.8-364.3163.578-62.8123.355.4-119.849.421.114.9-190.7202.3-89.5-256.5-223.33.6-105-173.5-127.1658.4-597.3-325.3-68-273.6326.8-537.9-235.1-36213.7-222.8252.5-187.2
Accounts Payables -22.7-248.9223.6141.4234.438.2144.971-111-15.9-5.26.982.118573.818.10000000000000000000
Other Working Capital -48.6-199.7-139.7-58.6-41.455.3-26.5-100-132.9-128.6-147.6143.352.7-102.313758.3-291.9171.799.3-96.5303.8-640151.7-729-573.8-139.3-320.9-509.8470.9-108.5208.7-31.2204.1-290.4125.8
Other Non Cash Items 1,759.3704.6131.5-18.5-7.2-23.9-147.4-123.187-1.8-24.6-17.3-28.9227.5-104.2-90.7-576.8-115.657.1452.4-793.2328.5133.2219.4671.3528.696.392.4632.1107.32.7-43.564.762.921.8
Operating Cash Flow 2,015.6995.41,177.31,468.11,842.61,125.5954.21,175.51,207.41,480.61,551.21,412.21,0521,352.31,472.7124102.1943.41,067.31,264.9569.2732.92,349.5124.66911,179.5576.1938.21,161.9635.1691822.1778.7691.8316.6
Investing Activities:
Investments In Property Plant And Equipment -388.1-362.2-464.4-506.4-369.5-353.1-251.6-242.1-440.2-471.9-603.4-463.2-399.2-466.2-482.9-441.9-489.8-518.2-263.4-453.4-352.1-390.4-530.6-559.7-539.3-1,084.2-602.8-670-668.5-427.8-395-341-369.6-331.8-196.3
Acquisitions Net 0.83.20.1160.9194.6-4,837.7-337.1163.325.3295.7-39.9-5,018.8-635.2-149.1-84.8-84.2-255.273.6500.7000-110-1,107.2-390.10000000000
Purchases Of Investments -10.3-5.2-4.5-11.8-46.8-61000000-39.6-138.8-6.22,285.7-1,351-3,958.1460.7000000000000000-24.7
Sales Maturities Of Investments 10.35.210.414.553.852.2000000-13.2412.591.929.71,3524,078.412.2229.5000000000000000
Other Investing Activites 12.34.123.52.514.133.612.5-110.52,567.6134.6129.216.222.9430.5126.71.9100.2847.2-13.4368.71,068.5957.554.898.811874219.3-210.765.1-267.4-24.4-209.473.2-724.7-15.5
Investing Cash Flow -375-354.9-434.9-340.3-153.8-5,166-576.2-189.32,127.4-41.6-514.1-5,465.8-1,064.388.9-355.31,791.2-643.8522.9696.8144.8716.4567.1-585.8-1,568.1-811.4-1,010.2-383.5-880.7-603.4-695.2-419.4-550.4-296.4-1,056.5-236.5
Financing Activities:
Debt Repayment -985.3-1,042.4-75-2,813.1-947.5-3,972.7-242.3-1,064.5-2,523.2-1,495.2-569.1-2,074-363.6-294.3-15.8-1,593.9-491.1-54.4-897.4-1,182.1-4860000-30-155-398.8-338.7-181.6-1880-635.1-643.9-212.3
Common Stock Issued -13.81,183.7-11.31,9934.8555.71,061927.2217553.80269.2253.259.654.11,036.237.563.818.9103.811800007.143.617.321.8457.910916.1221606.6
Common Stock Repurchased -13.8-150-50-298.1-4.8-1.6-967.3-1,0000-50-100-245-352.4-825-100-900-188-614.8-197.1-181.4-418.60000-31-148.3-259.7-664-117.7-105.40-2-3.7-68
Dividends Paid -659.3-623.8-581.8-474.6-413.6-356.2-342.3-415-432.5-425.2-420.9-400.7-388.6-374.5-346.7-348.2-362.3-366.7-565.3-550.3-536.7-509.2-482.9-452.4-375-312.4-263.2-229.9-215.5-199.6-176-158.6-135.5-99.3-69.8
Other Financing Activities 1.70.9-19.9-16.8-9.37,924.6-16-16.8222.5-13.655.96,583.51.82.13.9-21.1982.1-90.60.8-0.7-2.2-320.1-1,3211,936.4590.2151.4319.7805.7691.6-5.3-1.8-227-98.81,546.83.5
Financing Cash Flow -1,656.7-631.6-738-1,609.6-1,370.44,149.8-506.9-1,569.1-2,733.2-1,430.2-1,034.14,133-849.6-1,432.1-404.5-1,827-21.8-1,062.7-1,640.1-1,810.7-1,325.5-829.3-1,803.91,484215.2-214.9-203.2-65.4-504.8-46.3-362.2-369.5-849.4959.9-340
Other Information:
Effect Of Forex Changes On Cash 1.21.7-1.37.7-1.7-0.75.5-0.2-2-8.8-3.81.5-7.510.1-2.9-16.7000000000000060.1-271.6-271.7-482.3364.7-80.1
Net Change In Cash -16.210.63.1-474.1316.7108.6-123.4-546.7669.841.8-0.880.9-869.419.271071.5-563.5403.6124-401-39.9470.7-40.240.594.8-45.6-10.6-7.953.7-46.3-362.2-369.5-849.4959.9-340
Cash At End Of Period 77.793.983.380.2554.3237.6128251.4834.5183.1183.1183.9103972.4953.2243.2140.9735.2331.6207.6588.7628.6157.9198.1157.662.895.2105.8113.7120.1-105.2-14.7-127.51,080.440.4