CHS INC - CHSINC 8 PERP (CHSCP)

US12542R2094

30.45  -0.11 (-0.36%)

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TTM
(2024-2-29)
2023
(2023-8-31)
2022
(2022-8-31)
2021
(2021-8-31)
2020
(2020-8-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
1.52B1.90B1.68B553.60M423.60M
Depreciation Amortization
551.84M539.50M536.50M535.50M550.30M
Income Taxes - Deferred
-57.24M-6.40M39.50M-12.00M-32.80M
Change In Working Capital
866.08M992.10M-247.60M-190.40M96.70M
Interest Paid
N/A139.40M113.70M102.10M119.40M
Taxes Paid
N/A184.40M19.70M-8.80M6.80M
Other non cash items
-9.19M-141.10M-59.80M-128.90M49.50M
OPERATING CASH FLOW
2.87B3.28B1.95B757.80M1.09B
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-674.29M-564.50M-354.40M-317.80M-418.40M
Other Investing Activity
-27.76M-385.70M-102.60M216.10M174.70M
INVESTING CASH FLOW
-702.05M-950.20M-457.10M-101.70M-243.70M
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-941.95M-202.40M-785.20M-41.80M-605.10M
Stock Issued/Repurchased
-494.56M-495.80M-111.80M-79.40M-96.40M
Dividend Paid
-168.73M-168.70M-168.70M-168.70M-168.70M
Other Financing Activity
-443.81M-528.60M-48.00M-36.70M-61.00M
FINANCING CASH FLOW
-2.05B-1.40B-1.11B-326.60M-931.10M
 
Exchange Rate Effect
20.00K2.60M-14.80M-4.10M4.90M
CHANGE IN CASH
119.41M941.10M360.90M325.40M-82.70M
 
FREE CASH FLOW
Operating Cash Flow
2.87B3.28B1.95B757.80M1.09B
Capital Expenditure
-674.29M-564.50M-354.40M-317.80M-418.40M
FREE CASH FLOW
2.20B2.72B1.59B440.00M668.80M

All data in USD

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