PILGRIMS PRIDE CORPPPC

時価総額
$93.9億
PER
鶏肉・豚肉の生産・加工・販売の大手。ケースレディ商品やプレパードフーズ、冷蔵・冷凍製品を展開し、加工工場39、ハッチェリー49、飼育農家約4,500の垂直統合ネットワークを展開。JBSが2024年時点で82.42%出資。米国、英国、欧州、メキシコ、120以上の国で展開。
2011年
12月25日
2012年
12月30日
2013年
12月29日
2014年
12月28日
2016年
12月25日
2017年
12月31日
2018年
12月30日
2019年
12月29日
2020年
12月27日
2021年
12月26日
2022年
12月25日
2023年
12月31日
2024年
12月29日
Net income-49617455071144071824745795317473221,087
Depreciation and amortization209147151156181278280287337381403420434
Asset impairment2334-15----4429
Stock-based compensation1135631310-0127715
Loss (gain) on early extinguishment of debt recognized as a component of interest expense-------16---25--2111
Loan cost amortization-------555575
Deferred income tax expense-7-1-579-3-50334237-862175
Accretion of bond discount------------3
Loss (gain) on property disposals---2181211141196-2
Loss (gain) on equity method investments-----0000-000-00
Trade accounts and other receivables6414-710-36821125-2925915019-88
Inventories-12366-143-1112207-83112-26178472-13-135
Prepaid expenses and other current assets-273638-181512155054-18-1833
Increase (Decrease) in Accounts Payable and Accrued Liabilities-7-17504538-2387120295360263-69127
Income taxes------------109
Long-term pension and other postretirement obligations--3-7-6-10-11-7-9-8-18-4-1026
Other operating assets and liabilities44-3011-4-6-76123129
Cash provided by operating activities-1292008791,0677558014926677243266706781,990
Acquisitions of property, plant and equipment-----------544476
Proceeds from property disposals--311111510163225362015
Proceeds from property insurance recoveries----------1621-
Purchase of acquired businesses, net of cash acquired-----659-385496710--
Cash used in investing activities-58-60-182-63-262-992-339-717-327-1,324-445-503-461
Payments on revolving line of credit, long-term borrowings and finance lease obligations--7599105576291,1172904312,0063881,616152
Proceeds from Issuance of Long-Term Debt966851506-5801,8727482594052,9523631,768-
Proceeds For (Payments From) Shareholder's Contribution------------1
Payment on early extinguishment of debt------10--21-140
Payment of capitalized loan costs--5-114131-225200
Purchase of common stock under share repurchase program----1181503110-200--
Cash provided by (used in) financing activities127-111-250-906-813466-384-35-137901-232117-151
Effect of exchange rate changes on cash and cash equivalents-----------85-66
Increase (decrease) in cash and cash equivalents-----292-228-81268-98-152961,312
Interest paid (net of amount capitalized)------155131131119156131182
Income taxes paid41130257153123254126522138620198