JM Smucker Co (SJM)

Industry Packaged Foods

This stock can be held in an Investment ISA and an Investment Account
Sell

$112.30

Buy

$112.57

arrow-up$1.49 (+1.34%)

JM Smucker Co operates in the consumer foods industry. It deals with a range of products spanning food, beverage and pet products under well-known brands such as Folgers, Crisco, Milk-Bone, and Kibbles 'n Bits.
Prices updated at 25 Feb 2025, 15:30 EST
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Prices in USD

Income statement

20172018201920202021202220232024
7,392m7,357m7,838m7,801m8,003m7,999m8,529m8,179m
2,835m2,836m2,916m3,002m3,139m2,701m2,802m3,115m
1,253m1,266m1,198m1,292m1,386m1,173m1,181m1,449m
16.9517.2115.2816.5617.3214.6613.8417.72
592m1,339m514m780m876m632m-91m744m
1,461m1,448m1,356m1,662m1,802m1,464m574m1,692m
Sales, General and administrative1,380m1,363m1,509m1,474m1,523m1,360m1,455m1,446m
Interest expenses163m174m208m189m177m161m152m264m
Provision for income taxes286m-478m187m247m296m212m82m252m
Operating expenses1,583m1,570m1,718m1,710m1,753m1,528m1,621m1,667m
Income before taxes878m861m702m1,027m1,172m844m-9m996m
Net income available to common shareholders590m1,332m512m775m873m630m-91m744m
4.9611.794.97.737.015.340.024.95
Net interest income-163m-174m-208m-189m-177m-161m-152m-284m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.9511.784.97.737.015.330.014.95
Free cash flow per share7.71317.59227.276511.75787.09664.84318.03848.5855
Book value/share61.940670.588470.976376.304376.468877.057266.785871.7289
Debt equity ratio0.6489590.5940870.5879560.6706590.4467310.5389120.6023210.89905

Balance sheet

20172018201920202021202220232024
Current assets1,642m1,555m1,625m1,973m1,942m2,010m2,859m1,967m
Current liabilities1,833m1,034m2,342m1,587m2,868m1,953m1,987m3,761m
Total capital11,296m12,579m12,657m13,564m11,642m12,451m11,605m14,468m
Total debt5,399m4,832m5,911m5,784m4,906m4,607m4,425m8,548m
Total equity6,850m7,891m7,971m8,191m8,125m8,140m7,291m7,694m
Total non current liabilities--------
Loans4,446m4,688m4,686m5,373m3,517m4,311m4,314m6,774m
Total assets15,640m15,301m16,711m16,970m16,284m16,055m14,991m20,274m
Total liabilities--------
Cash and cash equivalents167m193m101m391m334m170m656m62m
Common stock113m114m114m114m108m106m104m106m

Cash flow

20172018201920202021202220232024
Cash at beginning of period110m167m193m101m391m334m170m656m
Cash dividends paid-339m-350m-378m-397m-403m-418m-430m-437m
867m896m781m986m1,258m719m717m643m
Investments (gains) losses-190m-278m-1,924m-271m311m-355m256m-3,965m
167m193m101m391m334m170m656m62m
Net income--------
1,059m1,218m1,141m1,255m1,565m1,136m1,194m1,229m
-192m-322m-360m-269m-307m-417m-477m-586m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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