Pilgrim's Pride Corporation

NASDAQ:PPC

53.82 (USD) • At close November 8, 2024
Overview | Financials

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

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Assets:
Current Assets:
Cash & Cash Equivalents 731.223400.988427.661547.624260.568338.386581.51120.328439.638576.143508.20668.1841.609106.077220.02961.55366.168156.404132.56738.16516.60614.91320.91628.0615.725.120.31811.911.24.511.62.97.710.35.13.44.52.1
Short Term Investments 000000000096.90200.1571.5545.30210.4398.15321.246000000000000000000000
Cash and Short Term Investments 731.223400.988427.661547.624260.568338.386581.51120.328439.638576.143605.10868.1841.766107.631225.33171.99274.321177.65132.56738.16516.60614.91320.91628.0615.725.120.31811.911.24.511.62.97.710.35.13.44.52.1
Net Receivables 1,292.0181,255.5831,042.61812.473802.429601.359568.429321.083423.072394.428443.934441.163429.487380.23331.981165.812192.074302.316288.528324.187127.0285.34795.02250.28684.481.87865.96053.359.652.443.743.634.233.223.321.615
Inventory 1,985.3991,990.1841,575.6581,358.7931,383.5351,159.5191,255.07813.262801.357790.305808.832950.296879.0941,029.254763.8691,036.163961.885585.94527.329609.997340.881326.792314.4181.237168141.7146.2136.9110.4100.791.889.497.280.369.957.640.132.325.5
Other Current Assets 195.831211.092237.565183.039131.695112.023102.5557.45775.60295.43961.84856.047113.84647.67145.01350.88947.95932.4825.88438.3026.20116.86612.9349.38710.39.96.68.511.1911.117.147.1232.945.727.113.3
Total Current Assets 4,204.4713,891.6183,305.9542,902.7112,598.2362,234.6572,516.2881,322.3681,746.2241,885.0791,928.9821,542.7281,464.1931,710.4651,366.1941,450.721,284.3341,105.674999.4151,017.228490.708443.918443.272268.97278.4258.5251.1229.3193.4174.2167170.5147.8138.7116.4128.8112.585.555.9
Non-Current Assets:
Property, Plant & Equipment, Net 3,425.113,246.6443,269.0322,946.3772,893.5742,161.7022,095.1471,505.941,352.5291,182.7951,151.8111,189.9211,241.7521,358.1361,499.4761,673.0041,800.1551,154.9941,154.0971,178.675735.474762.032752.356417.874363.7331.1309.9288.6283.3243.5242.7254270.1228.9164.3149.6130.290.463.8
Goodwill 1,286.2611,227.9441,337.2521,005.245973.75949.751,001.889125.607156.5650000000505.1660000000000000000000000
Intangible Assets 853.983846.02963.243589.913596.053564.128617.16338.59347.45326.78332.52538.26644.08348.9557.17967.36300000000000000000000000
Goodwill and Intangible Assets 2,140.2442,073.9642,300.4951,595.1581,569.8031,513.8781,619.052164.2204.01826.78332.52538.26644.08348.9557.17967.363505.1660000000000000000000000
Long Term Investments 000000-161.116-181.682-172.476-27.345000.49711.59557.3140-326.570000000000000000000000
Tax Assets 4.891.9695.3145.4714.4264.248161.116181.682172.47627.34518.92197.43171.09922.60916.7320326.57175.86925.1076.57710.242116.9126.7052.758.453.453.6049.8000000000
Other Non-Current Assets 35.64641.57432.4124.7836.32516.71718.16515.7115.67224.40640.16345.52357.92167.14363.609107.622184.581-9.669333.28443.50921.06-94.96-106.63318.576-39-46.6-35.3-34.820.9-28.813.110.110.212.110.412.86.45.13
Total Non-Current Assets 5,605.895,364.1515,607.2514,571.7864,504.1283,696.5453,732.3641,685.851,572.2191,233.9841,243.421,371.1411,415.3521,508.4331,694.311,847.9892,489.9021,321.1941,512.4881,228.761766.776783.972772.423436.45377.4342.9328307.4304.2264.5255.8264.1280.3241174.7162.4136.695.566.8
Total Assets 9,810.3619,255.7698,913.2057,474.4977,102.3645,931.2026,248.6523,008.2183,318.4433,119.0633,172.4022,913.8692,879.5453,218.8983,060.5043,298.7093,774.2362,426.8682,511.9032,245.9891,257.4841,227.891,215.695705.42655.8601.4579.1536.7497.6438.7422.8434.6428.1379.7291.1291.2249.1181122.7
Liabilities & Equity:
Current Liabilities:
Account Payables 1,451.831,587.9391,400.394914.324997.599837.328765.333556.518489.954351.969374.294325.801340.517336.992182.173378.887402.316293.685281.909314.565159.164163.892151.265105.07881.670.171.271.455.738.738.348.841.937.200000
Short Term Debt 68.11426.27926.24697.04726.39230.40547.7750.09428.8120.262410.23415.88615.61158.4901,874.4692.87210.3228.6038.4282.683.4835.0994.6574.45.911.635.9134.525.686.444.830.49.542.151.82114.5
Tax Payables 31.67858.41181.97767.8127.0758.221222.07320.9913.2283.06800.46806.814000016.19654.4450000000000000000000
Deferred Revenue 84.95834.48622.32165.91841.7733.328635.356304.862322.758369.944297.141386.960342.8070448.82300288.106256.0640000000000000000000
Other Current Liabilities 890.965921.465941.862860.291582.394395.1624.0596.8275.43622.6831.7291.53361.0450.346325.99110.783500.014272.8316.19654.445117.74597.50683.55834.70438.235.534.833.536.331.330.42416.31746.657.760.65537.4
Total Current Liabilities 2,495.8672,570.1692,390.8231,937.581,648.1551,296.2231,452.523868.301846.96744.8581,083.398730.177717.173738.635508.1642,712.962905.202576.837594.814633.502279.589264.881239.922144.439124.2111.5117.6140.810574.594.3159.210384.656.199.8112.47651.9
Non-Current Liabilities:
Long Term Debt 3,339.0293,397.1333,462.5272,472.9782,511.4112,295.192,635.6171,011.858985.5093.98501.9991,148.871,458.0011,281.1641.06267.5141,318.558554.876518.863535.866415.965450.161467.242165.037183.8199.8224.7198.3183152.6159.6131.5175.8154.3109.4112.761.347.934.6
Deferred Revenue Non-Current 205.160007.731-1,717.50500000-104.482-79.24800000000000000000000000000
Deferred Tax Liabilities Non-Current 385.548364.184369.185339.831301.907237.422208.492142.651131.88276.21613.944104.48279.2483.47622.21380.755326.57175.869173.232152.455113.988116.911126.7152.49652.758.453.453.656.749.836.731.63739.438.510.57.76.24.2
Other Non-Current Liabilities 40.1871.007101.736148.76197.11,800.28796.35988.66192.28297.20880.459125.825145.941117.0312,338.14585.73751.6850000000-0.1-0.10.10.100.1-0.10.2-0.1000-0.2-0.10
Total Non-Current Liabilities 3,969.9173,832.3243,933.4482,961.572,918.1492,615.3942,940.4681,243.171,209.673177.404596.4021,274.6951,603.9421,401.6672,401.42234.0061,696.813730.745692.095688.321529.953567.072593.952217.533236.4258.1278.2252239.7202.5196.2163.3212.7193.7147.9123.268.85438.8
Total Liabilities 6,465.7846,402.4936,324.2714,899.154,566.3043,911.6174,392.9912,111.4712,056.633922.2621,679.82,004.8722,321.1152,140.3022,909.5842,946.9682,602.0151,307.5821,286.9091,321.823809.542831.953833.874361.972360.6369.6395.8392.8344.7277290.5322.5315.7278.3204223181.213090.7
Equity:
Preferred Stock 000000000000000000000000000000000000000
Common Stock 2.622.6172.6142.6122.6112.6042.6022.5972.5972.592.592.592.1432.1430.7710.740.6650.6650.6680.6680.4140.4140.4140.4140.40.30.30.300.3000000000
Retained Earnings 2,071.0731,749.4991,003.569972.569877.812421.888173.943-520.635-261.252591.492-120.156-669.711-843.945-348.653-469.407-317.082687.775646.75753.527492.542368.195314.626302.758264.088214.2150.8102.563.17281.752.332.162.251.33718.117.747.929
Accumulated Other Comprehensive Income/Loss -176.483-336.448-47.997-20.62-75.129-127.834-31.14-64.243-58.93-62.541-45.735-68.511-46.07-23.637-27.23721.16114.0020.134-0.373-0.3480.031.227-0.297-290.227-258.6-231-200.8-178-159.5-136.2000000000
Other Total Stockholders Equity 1,434.1621,425.1461,618.8941,609.21,720.3691,713.1421,700.7511,469.6251,576.4411,662.3541,653.1191,642.0031,443.4841,442.81646.793646.922469.779469.779469.776430.09478.05778.05778.057368.284338.3310.8280.5257.7239.6215.9808050.250.150.150.150.23.13
Total Shareholders Equity 3,331.3722,840.8142,577.082,563.7612,525.6632,009.81,846.156887.3441,258.8562,193.8951,489.818906.371555.6121,072.663150.92351.7411,172.2211,117.3281,223.598922.956446.696394.324380.932342.559294.3230.9182.5143.1152.1161.7132.3112.1112.4101.487.168.267.95132
Total Equity 3,344.5772,853.2762,588.9342,575.3472,536.062,019.5851,855.661896.7471,261.812,196.8011,492.602908.997558.431,078.596150.92351.7411,172.2211,119.2861,224.994924.166447.942395.937381.821343.448295.2231.8183.3143.9152.9161.7132.3112.1112.4101.487.168.267.95132
Total Liabilities & Shareholders Equity 9,810.3619,255.7698,913.2057,474.4977,102.3645,931.2026,248.6523,008.2183,318.4433,119.0633,172.4022,913.8692,879.5453,218.8983,060.5043,298.7093,774.2362,426.8682,511.9032,245.9891,257.4841,227.891,215.695705.42655.8601.4579.1536.7497.6438.7422.8434.6428.1379.7291.1291.2249.1181122.7