The J. M. Smucker Company
Cash Flow

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Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of The J. M. Smucker Company generated cash of $1,229,400,000, which is more than the previous year. Cash used in financing activities reached the amount of $2,141,600,000 last year. Net change in cash is therefore -$593,800,000.

Cash Flow

The J. M. Smucker Company (NYSE:SJM): Cash Flow
2015 733.2M -1.59B 863.2M
2016 1.45B 21.7M -1.49B
2017 1.05B -189.7M -806.1M
2018 1.21B -277.6M -922M
2019 1.14B -1.92B 699M
2020 1.25B -271.5M -688.7M
2021 1.56B 311.1M -1.94B
2022 1.13B -355.5M -944.5M
2023 1.18B 262.6M -964.6M
2024 1.22B -3.96B 2.14B

SJM Cash Flow Statement (2015 – 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Cash at beginning of period
655.8M169.9M334.3M391.1M101.3M192.6M166.8M109.8M125.6M153.5M
Operating activities
Net income
744M-91.3M631.7M876.3M779.5M514.4M1.33B592.3M688.7M344.9M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
430.8M436.5M459.1M452.5M446.5M446.3M413.1M419M430.1M268.4M
Stock-based compensation expense
23.9M25.6M22.3M28.7M26.8M20.7M15.4M22M34.6M23.5M
Deferred income tax benefit 23.9M25.6M22.3M28.7M26.8M20.7M15.4M22M34.6M23.5M
Changes in operating assets and liabilities:
Accounts receivable, net
41.5M-74.8M7.5M22M-49.1M-53M54.7M8.9M-21.9M21.8M
Inventories
2.9M-134.6M-178.7M-110.4M12.6M-5.3M54M-10.4M240.1M25.3M
Accounts payable
-81.7M134.8M149.5M260.9M181.6M110.4M39.5M-37.7M48.5M-165.7M
Cash generated by operating activities
1.22B1.18B1.13B1.56B1.25B1.14B1.21B1.05B1.45B733.2M
Investing activities
Purchases Of Investments
00000000-16M0
Investments In Property Plant And Equipment
-586.5M-471M-417.5M-306.7M-269.3M-359.8M-321.9M-192.4M-201.4M-247.7M
Acquisitions Net
-3.86B686.3M130M564M2.4M-1.53B13.4M500K185.6M-1.32B
Cash generated by investing activities
-3.96B262.6M-355.5M311.1M-271.5M-1.92B-277.6M-189.7M21.7M-1.59B
Financing activities
Common Stock Issued
0004.5M619.5M0799.6M058M0
Payments for dividends
-437.5M-430.2M-418.1M-403.2M-396.8M-377.9M-350.3M-339.3M-316.6M-254M
Repurchases of common stock
-372.8M-367.5M-270.4M-678.4M-4.2M-5.4M-7M-437.6M-441.1M-24.3M
Repayments of term debt
3.07B0-359.4M-700M-900M1.08B-1.36B-30M-800M1.16B
Cash used in financing activities
2.14B-964.6M-944.5M-1.94B-688.7M699M-922M-806.1M-1.49B863.2M
Net Change In Cash
-593.8M485.9M-164.4M-56.8M289.8M-91.3M25.8M57M-15.8M-27.9M
Cash at end of period
62M655.8M169.9M334.3M391.1M101.3M192.6M166.8M109.8M125.6M
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