J M Smucker Co
NYSE:SJM

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J M Smucker Co Logo
J M Smucker Co
NYSE:SJM
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Price: 113.3 USD -0.52% Market Closed
Market Cap: 12.1B USD
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Balance Sheet

Balance Sheet Decomposition
J M Smucker Co

Current Assets 2.1B
Cash & Short-Term Investments 39.5m
Receivables 734.9m
Other Current Assets 1.3B
Non-Current Assets 18.3B
Long-Term Investments 22.1m
PP&E 3.3B
Intangibles 14.8B
Other Non-Current Assets 136.1m
Current Liabilities 3.8B
Accounts Payable 1.2B
Accrued Liabilities 202m
Short-Term Debt 697m
Other Current Liabilities 1.6B
Non-Current Liabilities 8.8B
Long-Term Debt 6.8B
Other Non-Current Liabilities 2B

Balance Sheet
J M Smucker Co

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Balance Sheet
Currency: USD
Apr-2015 Apr-2016 Apr-2017 Apr-2018 Apr-2019 Apr-2020 Apr-2021 Apr-2022 Apr-2023 Apr-2024
Assets
Cash & Cash Equivalents
126
110
167
193
101
391
334
170
656
62
Cash Equivalents
126
110
167
193
101
391
334
170
656
62
Short-Term Investments
0
0
0
0
0
0
0
0
488
0
Total Receivables
430
450
439
386
504
551
534
525
598
737
Accounts Receivables
430
450
439
386
504
551
534
525
598
737
Other Receivables
0
0
0
0
0
0
0
0
0
0
Inventory
1 164
899
906
854
910
895
960
1 089
1 010
1 039
Other Current Assets
265
114
131
122
110
135
114
226
108
130
Total Current Assets
1 984
1 573
1 642
1 555
1 625
1 973
1 942
2 010
2 859
1 967
PP&E Net
1 678
1 628
1 618
1 729
1 912
2 118
2 144
2 238
2 343
3 247
PP&E Gross
1 678
1 628
1 618
1 729
1 912
2 118
2 144
2 238
2 343
3 247
Accumulated Depreciation
1 021
1 177
1 364
1 527
1 620
1 769
1 842
1 980
1 921
2 100
Intangible Assets
6 950
6 494
6 150
5 917
6 719
6 429
6 041
5 652
4 429
7 255
Goodwill
6 012
6 091
6 077
5 942
6 311
6 305
6 024
6 016
5 217
7 650
Long-Term Investments
0
0
0
0
41
39
31
27
24
22
Other Long-Term Assets
182
198
153
158
103
108
103
112
120
132
Other Assets
6 012
6 091
6 077
5 942
6 311
6 305
6 024
6 016
5 217
7 650
Total Assets
16 806
N/A
15 984
-5%
15 640
-2%
15 301
-2%
16 711
+9%
16 970
+2%
16 284
-4%
16 055
-1%
14 991
-7%
20 274
+35%
Liabilities
Accounts Payable
403
459
477
512
591
782
1 034
1 193
1 393
1 336
Accrued Liabilities
205
252
194
181
228
304
382
326
334
406
Short-Term Debt
226
284
454
144
426
248
82
180
0
591
Current Portion of Long-Term Debt
0
0
499
0
799
2
1 155
1
1
1 002
Other Current Liabilities
189
218
208
196
298
251
215
252
259
426
Total Current Liabilities
1 023
1 213
1 833
1 034
2 342
1 587
2 868
1 953
1 987
3 761
Long-Term Debt
5 945
5 146
4 446
4 688
4 686
5 377
3 519
4 313
4 316
6 782
Deferred Income Tax
2 397
2 230
2 167
1 377
1 399
1 352
1 349
1 326
1 139
1 737
Other Liabilities
355
386
344
311
314
464
423
323
259
299
Total Liabilities
9 719
N/A
8 976
-8%
8 790
-2%
7 410
-16%
8 741
+18%
8 780
+0%
8 159
-7%
7 915
-3%
7 701
-3%
12 580
+63%
Equity
Common Stock
30
29
28
29
29
29
27
27
26
27
Retained Earnings
1 159
1 268
1 241
2 239
2 368
2 747
2 848
2 893
2 132
2 188
Additional Paid In Capital
6 008
5 860
5 725
5 740
5 756
5 794
5 528
5 458
5 372
5 714
Unrealized Security Profit/Loss
106
134
4
4
4
4
4
2
1
1
Other Equity
4
14
147
120
186
383
281
239
241
236
Total Equity
7 087
N/A
7 009
-1%
6 850
-2%
7 891
+15%
7 971
+1%
8 191
+3%
8 125
-1%
8 140
+0%
7 291
-10%
7 694
+6%
Total Liabilities & Equity
16 806
N/A
15 984
-5%
15 640
-2%
15 301
-2%
16 711
+9%
16 970
+2%
16 284
-4%
16 055
-1%
14 991
-7%
20 274
+35%
Shares Outstanding
Common Shares Outstanding
120
116
113
114
114
114
108
106
104
106

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