CHSCL CHS Inc - Class B Cumulative Redeemable Preferred Stock, Series 4

NASDAQ · Food Products · Ver em SEC EDGAR ↗
$25,71
Preço · Mai 19, 2026
Fundamentais a partir de Abr 8, 2026

CHSCL Instantâneo da Ação Preço, capitalização de mercado, P/E, EPS, ROE, dívida/patrimônio, intervalo de 52 semanas

Preço
$25.71
Capitalização de Mercado
P/E (TTM)
EPS (TTM)
Receita (TTM)
$35.46B
Rendimento div.
ROE
5.5%
Dívida/Capital
Intervalo 52 Semanas
$25 – $26

CHSCL Gráfico de Preço da Ação OHLCV diário com indicadores técnicos — panorâmica, zoom e personalize sua visualização

Desempenho de 10 Anos Tendências de receita, lucro líquido, margens e EPS

Receita e Lucro Líquido $35.46B
8-point trend, +8.5%
2018-08-31 2025-08-31
EPS
Fluxo de caixa livre $-93M
4-point trend, -112.9%
2018-08-31 2025-08-31
Margens 1.7%
4-point trend, -4.2%
2018-08-31 2025-08-31

Avaliação Rácios P/E, P/S, P/B, EV/EBITDA — a ação está cara ou barata?

Métrica
Tendência de 5 anos
CHSCL
Mediana de Pares

Lucratividade Margens bruta, operacional e líquida; ROE, ROA, ROIC

Métrica
Tendência de 5 anos
CHSCL
Mediana de Pares
Gross Margin (Margem Bruta)
4-point trend, -4.2%
3.2%
6.3%
Operating Margin (Margem Operacional)
4-point trend, -81.4%
0.26%
Net Profit Margin (Margem de Lucro Líquido)
4-point trend, -28.7%
1.7%
1.2%
ROA
4-point trend, -32.2%
3.2%
2.1%
ROE
4-point trend, -43.3%
5.5%
4.8%
ROIC
4-point trend, -87.6%
0.80%

Saúde financeira Dívida, liquidez, solvência — força do balanço patrimonial

Métrica
Tendência de 5 anos
CHSCL
Mediana de Pares
Current Ratio (Índice de liquidez corrente)
4-point trend, +35.7%
1.5
1.5
Quick Ratio (Índice de Liquidez Seca)
4-point trend, -18.2%
0.1

Crescimento Crescimento da receita, EPS e lucro líquido: YoY, CAGR 3 anos, CAGR 5 anos

Métrica
Tendência de 5 anos
CHSCL
Mediana de Pares
Revenue YoY (Receita Ano a Ano)
5-point trend, -7.8%
-9.7%
Revenue CAGR 3Y (CAGR Receita 3A)
5-point trend, -7.8%
-9.5%
Revenue CAGR 5Y (CAGR Receita 5A)
5-point trend, -7.8%
4.5%
Net Income YoY (Lucro Líquido Ano a Ano)
5-point trend, +7.9%
-45.8%

Métricas por Ação EPS, valor patrimonial por ação, fluxo de caixa por ação, dividendo por ação

Métrica
Tendência de 5 anos
CHSCL
Mediana de Pares

Eficiência de Capital Giro de ativos, giro de estoques, giro de contas a receber

Métrica
Tendência de 5 anos
CHSCL
Mediana de Pares

Dividendos Rendimento, índice de pagamento, histórico de dividendos, CAGR de 5 anos

Dividend Yield
Índice de Pagamento
CAGR Dividendos 5 anos
Data exValor
17 de Março de 2026$0,4690
16 de Dezembro de 2025$0,4690
16 de Setembro de 2025$0,4690
13 de Junho de 2025$0,4690
17 de Março de 2025$0,4690
17 de Dezembro de 2024$0,4690
16 de Setembro de 2024$0,4690
13 de Junho de 2024$0,4690
14 de Março de 2024$0,4690
13 de Dezembro de 2023$0,4690
15 de Setembro de 2023$0,4690
14 de Junho de 2023$0,4690
16 de Março de 2023$0,4690
15 de Dezembro de 2022$0,4690
16 de Setembro de 2022$0,4690
16 de Junho de 2022$0,4690
16 de Março de 2022$0,4690
16 de Dezembro de 2021$0,4690
16 de Setembro de 2021$0,4690
15 de Junho de 2021$0,4690

Comparação com pares Métricas chave vs pares do setor

Ticker Capitalização de Mercado P/E Receita YoY Margem Líquida ROE Margem Bruta
CHSCL -9.7% 1.7% 5.5% 3.2%
BG 29.7 32.4%
BG 29.7 32.4%
DAR $5.95B 96.5 7.4% 1.0% 1.4% 24.0%
INGR $6.94B 9.9 -2.8% 10.1% 18.1% 25.3%
CHSCP
ALCO $265M -1.8 -5.5% -334.4% -83.2% -436.2%
LMNR $255M -15.2 -16.6% -10.0% -8.8%
LOCL $48M -0.4 26.8% -195.1% 63.1% 12.1%

Fundamentos Completos Todas as métricas por ano — demonstração de resultados, balanço patrimonial, fluxo de caixa

Demonstração de Resultados 10
Dados anuais de Demonstração de Resultados para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Revenue 12-point trend, -16.9% $35.46B $39.26B $45.59B $47.79B $38.45B $28.41B $31.90B $32.68B $32.04B $30.36B $34.58B $42.66B
Cost of Revenue 12-point trend, -16.3% $34.33B $37.51B $43.21B $45.66B $37.50B $27.42B $30.52B $31.59B $31.14B $29.39B $33.09B $41.01B
Gross Profit 12-point trend, -31.2% $1.14B $1.75B $2.38B $2.13B $951M $982M $1.38B $1.09B $894M $969M $1.49B $1.65B
SG&A Expense 12-point trend, +73.6% $1.05B $1.17B $1.03B $998M $746M $705M $725M $640M $611M $601M $642M $603M
Operating Income 12-point trend, -91.4% $91M $584M $1.34B $1.13B $206M $277M $660M $452M $-174M $292M $715M $1.05B
Interest Expense 11-point trend, +106.7% $146M $104M $137M $114M $105M $117M $167M $149M $171M $114M $71M ·
Pretax Income 12-point trend, -45.7% $615M $1.10B $2.01B $1.81B $515M $387M $816M $671M $-110M $402M $768M $1.13B
Income Tax 12-point trend, -65.3% $17M $-5M $108M $132M $-38M $-37M $-12M $-104M $-181M $19M $-12M $48M
Net Income 12-point trend, -44.7% $598M $1.10B $1.90B $1.68B $554M $422M $830M $776M $72M $383M $781M $1.08B
EBITDA 8-point trend, -43.4% $742M · $1.81B · · · $1.13B $935M $368M $758M $1.07B $1.31B
Balanço Patrimonial 24
Dados anuais de Balanço Patrimonial para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Cash & Equivalents 12-point trend, -84.6% $328M $795M $1.77B $794M $413M $141M $211M $451M $181M $290M $968M $2.13B
Short-term Investments 3-point trend, +0.00 $0 $501M $0 · · · · · · · · ·
Inventory 12-point trend, +18.5% $3.27B $3.07B $3.22B $3.65B $3.33B $2.74B $2.85B $2.77B $2.60B $2.37B $2.65B $2.76B
Other Current Assets 12-point trend, +187.0% $802M $1.30B $1.04B $1.38B $1.39B $1.02B $866M $244M $282M $203M $406M $279M
Current Assets 12-point trend, -14.0% $8.09B $8.71B $9.13B $9.38B $8.00B $6.27B $6.66B $6.69B $5.63B $6.94B $8.01B $9.40B
PP&E (Net) 12-point trend, +31.6% $5.50B $5.18B $4.87B $4.74B $4.81B $4.96B $5.09B $5.14B $5.36B $5.49B $5.19B $4.18B
PP&E (Gross) 12-point trend, +77.7% $12.17B $11.43B $10.70B $10.18B $9.89B $9.66B $9.47B $9.10B $8.90B $8.83B $8.14B $6.85B
Accum. Depreciation 12-point trend, +150.0% $6.67B $6.25B $5.83B $5.44B $5.08B $4.70B $4.38B $3.96B $3.55B $3.34B $2.94B $2.67B
Goodwill 12-point trend, +50.9% $239M $180M $180M $180M $172M $172M $172M $138M $138M $144M $150M $159M
Intangibles 12-point trend, +70.3% $94M $42M $47M $53M $58M $65M $71M $29M $33M $45M $51M $55M
Other Non-current Assets 12-point trend, +79.9% $1.43B $1.05B $1.13B $974M $1.10B $1.14B $1.01B $834M $1.08B $1.09B $1.02B $795M
Total Assets 12-point trend, +23.3% $18.86B $18.72B $18.96B $18.82B $17.58B $15.99B $16.45B $16.38B $15.82B $17.31B $15.23B $15.30B
Accounts Payable 12-point trend, +23.1% $2.72B $2.70B $2.93B $3.06B $2.62B $1.72B $1.93B $1.84B $1.99B $1.82B $1.81B $2.21B
Accrued Liabilities 12-point trend, +27.1% $696M $784M $773M $784M $623M $502M $555M $511M $455M $422M $514M $548M
Current Liabilities 12-point trend, -15.2% $5.28B $5.40B $5.90B $6.95B $6.33B $4.92B $5.58B $5.93B $5.48B $6.52B $5.26B $6.23B
Capital Leases · · · · · $204M · · · · · ·
Deferred Tax 6-point trend, -74.8% · · · · · · $143M $183M $330M $488M $581M $567M
Other Non-current Liabilities 12-point trend, +57.1% $756M $728M $786M $743M $653M $653M $496M $337M $277M $354M $460M $481M
Long-term Debt 12-point trend, +22.9% $1.78B $2.12B $1.82B $1.67B $1.58B $1.75B $1.75B $1.92B $2.14B $2.17B $1.29B $1.45B
Total Debt · · · · · · · · · · · $1.46B
Retained Earnings 12-point trend, +88.6% $3.02B $2.81B $2.54B $2.06B $1.71B $1.62B $1.58B $1.48B $1.27B $1.58B $1.49B $1.60B
AOCI 12-point trend, -95.4% $-306M $-297M $-265M $-255M $-216M $-234M $-227M $-200M $-180M $-212M $-214M $-157M
Stockholders' Equity 12-point trend, +71.8% $11.08B $10.76B $10.45B $9.46B $9.01B $8.81B $8.61B $8.16B $7.69B $7.85B $7.66B $6.45B
Liabilities + Equity 12-point trend, +23.3% $18.86B $18.72B $18.96B $18.82B $17.58B $15.99B $16.45B $16.38B $15.82B $17.31B $15.23B $15.30B
Fluxo de Caixa 14
Dados anuais de Fluxo de Caixa para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
D&A 12-point trend, +112.7% $651M $570M $540M $462M $462M $477M $473M $478M $480M $447M $355M $306M
Deferred Tax 12-point trend, -54.6% $-38M $-81M $323.0K $41M $-41M $-42M $-14M $-147M $-194M $28M $30M $-24M
Amort. of Intangibles 12-point trend, +4.1% $10M $7M $7M $7M $7M $7M $5M $3M $4M $6M $7M $10M
Other Non-cash 8-point trend, -658.3% $-576M · $919M · · · $-149M $-35M $501M $416M $-597M $103M
Operating Cash Flow 12-point trend, -55.9% $636M $1.27B $3.28B $1.95B $758M $1.09B $1.14B $1.07B $955M $1.26B $570M $1.44B
CapEx 12-point trend, -20.7% $729M $809M $565M $354M $318M $418M $443M $355M $444M $693M $1.19B $919M
Investing Cash Flow 12-point trend, +33.1% $-881M $-1.43B $-950M $-457M $-102M $-244M $-661M $-80M $-405M $-3.75B $-1.91B $-1.32B
Debt Issued 2-point trend, +148.7% · · · · · · · · · · $4M $1M
Net Debt Issued 6-point trend, -112.1% $-332M · $-283M · · · $-154M $-208M · · $-167M $-156M
Financing Cash Flow 12-point trend, -214.5% $-231M $-814M $-1.40B $-1.11B $-327M $-931M $-726M $-732M $-618M $1.81B $154M $201M
Net Change in Cash 12-point trend, -246.2% $-475M $-971M $941M $361M $325M $-83M $-244M $272M $-73M $-677M $-1.18B $325M
Taxes Paid 7-point trend, +286.9% $77M $129M $184M $20M $-9M $7M $20M · · · · ·
Free Cash Flow 8-point trend, -119.2% $-93M · $2.72B · · · $697M $717M $489M $571M $-617M $483M
Levered FCF 5-point trend, -126.5% $-235M · $2.59B · · · $527M $544M $886M · · ·
Lucratividade 8
Dados anuais de Lucratividade para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Gross Margin 8-point trend, -16.8% 3.2% · 5.2% · · · 4.3% 3.4% 3.0% 3.2% 4.3% 3.9%
Operating Margin 8-point trend, -89.4% 0.26% · 2.9% · · · 2.1% 1.4% -0.35% 1.0% 2.1% 2.5%
Net Margin 8-point trend, -33.2% 1.7% · 4.2% · · · 2.6% 2.4% 0.40% 1.4% 2.3% 2.5%
Pretax Margin 8-point trend, -34.7% 1.7% · 4.4% · · · 2.6% 2.1% -0.17% 1.4% 2.2% 2.6%
EBITDA Margin 8-point trend, -31.9% 2.1% · 4.0% · · · 3.5% 2.9% 1.1% 2.5% 3.1% 3.1%
ROA 8-point trend, -55.8% 3.2% · 10.1% · · · 5.1% 4.7% 0.77% 2.6% 5.0% 7.2%
ROE 8-point trend, -70.7% 5.5% · 19.1% · · · 9.9% 9.7% 1.6% 5.5% 11.1% 18.7%
ROIC 8-point trend, -93.7% 0.80% · 12.2% · · · 7.8% 6.5% 3.3% 4.0% 9.5% 12.7%
Liquidez e Solvência 5
Dados anuais de Liquidez e Solvência para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Current Ratio 8-point trend, +0.7% 1.5 · 1.5 · · · 1.2 1.1 1.0 1.1 1.5 1.5
Quick Ratio 8-point trend, -82.0% 0.1 · 0.3 · · · 0.0 0.1 0.0 0.0 0.2 0.3
Debt / Equity · · · · · · · · · · · 0.2
LT Debt / Equity · · · · · · · · · · · 0.2
Interest Coverage 5-point trend, +195.2% 0.6 · 9.8 · · · 3.9 3.1 -0.7 · · ·
Eficiência 2
Dados anuais de Eficiência para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Asset Turnover 8-point trend, -33.4% 1.9 · 2.4 · · · 1.9 2.0 1.9 1.9 2.2 2.8
Inventory Turnover 8-point trend, -28.4% 10.8 · 12.6 · · · 10.9 11.1 11.8 11.7 12.2 15.1
Taxas de Crescimento 6
Dados anuais de Taxas de Crescimento para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Revenue YoY 5-point trend, -127.4% -9.7% -13.9% -4.6% 24.3% 35.4% · · · · · · ·
Revenue CAGR 3Y 3-point trend, -155.4% -9.5% 0.70% 17.1% · · · · · · · · ·
Revenue CAGR 5Y 4.5% · · · · · · · · · · ·
Net Income YoY 5-point trend, -247.0% -45.8% -42.0% 13.2% 203.1% 31.1% · · · · · · ·
Net Income CAGR 3Y 3-point trend, -144.7% -29.1% 25.8% 65.1% · · · · · · · · ·
Net Income CAGR 5Y 7.2% · · · · · · · · · · ·
Avaliação (TTM) 2
Dados anuais de Avaliação (TTM) para CHSCL
Métrica Tendência 202520242023202220212020201920182017201620152014
Revenue TTM 12-point trend, -16.9% $35.46B $39.26B $45.59B $47.79B $38.45B $28.41B $31.90B $32.68B $32.04B $30.36B $34.58B $42.66B
Net Income TTM 12-point trend, -44.7% $598M $1.10B $1.90B $1.68B $554M $422M $830M $776M $72M $383M $781M $1.08B

Demonstrações Financeiras Demonstração de resultados, balanço patrimonial, fluxo de caixa — anual, últimos 5 anos

Demonstração de Resultados
2025-08-312024-08-312023-08-312022-08-312021-08-31
Receita $35.46B$39.26B$45.59B$47.79B$38.45B
Margem Bruta % 3.2%5.2%
Margem Operacional % 0.26%2.9%
Lucro líquido $598M$1.10B$1.90B$1.68B$554M
Balanço Patrimonial
2025-08-312024-08-312023-08-312022-08-312021-08-31
Índice de liquidez corrente 1.51.5
Índice de Liquidez Seca 0.10.3
Fluxo de Caixa
2025-08-312024-08-312023-08-312022-08-312021-08-31
Fluxo de caixa livre $-93M$2.72B

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