bf/NYSE:LW_icon.jpeg

COM:LAMBWESTON

Lamb Weston

  • Stock

Last Close

77.46

04/11 22:18

Market Cap

11.26B

Beta: -

Volume Today

1.72M

Avg: -

Preview

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May '14
May '15
May '16
May '17
May '18
May '19
May '20
May '21
May '22
May '23
May '24
net income
270.30M
-
277.60M
2.70%
294.60M
6.12%
340.20M
15.48%
433.70M
27.48%
487.20M
12.34%
365.90M
24.90%
317.80M
13.15%
200.90M
36.78%
1.01B
402.19%
725.50M
28.09%
depreciation and amortization
79.20M
-
96.40M
21.72%
95.90M
0.52%
109.10M
13.76%
143.30M
31.35%
162.40M
13.33%
182.30M
12.25%
187.80M
3.02%
192.10M
2.29%
222.80M
15.98%
297.80M
33.66%
deferred income tax
23.70M
-
20.70M
12.66%
14.80M
28.50%
-3.60M
124.32%
37.50M
1,141.67%
20M
46.67%
3.80M
81%
13.50M
255.26%
400K
97.04%
-1.30M
425%
stock based compensation
4.80M
-
6.90M
43.75%
3.20M
53.62%
5.70M
78.13%
13.50M
136.84%
18.80M
39.26%
22.80M
21.28%
20.60M
9.65%
21.30M
3.40%
38.50M
80.75%
46.80M
21.56%
change in working capital
200K
-
-14.30M
7,250%
8.20M
157.34%
-5.50M
167.07%
-62.60M
1,038.18%
-24.40M
61.02%
-33.90M
38.93%
44.50M
231.27%
-85.90M
293.03%
-49.60M
42.26%
-271M
446.37%
accounts receivables
-44.40M
-
-25.10M
43.47%
1.10M
104.38%
-21M
2,009.09%
-51M
142.86%
-53.60M
5.10%
-15.10M
71.83%
inventory
24.50M
-
-43.80M
278.78%
-10.70M
75.57%
-26.10M
143.93%
-23.60M
9.58%
-15.80M
33.05%
15.30M
196.84%
-22M
243.79%
-63M
186.36%
-125.10M
98.57%
-203.30M
62.51%
accounts payables
10.40M
-
1.30M
87.50%
7.50M
476.92%
12.10M
61.33%
-8.30M
168.60%
32.90M
496.39%
-34.90M
206.08%
104.70M
400%
16.50M
84.24%
83.10M
403.64%
36.50M
56.08%
other working capital
-26.10M
-
19.90M
-
-16.10M
180.90%
13.70M
185.09%
-16.40M
219.71%
-15.40M
6.10%
-17.20M
11.69%
11.60M
167.44%
46M
296.55%
-89.10M
293.70%
other non cash items
-2M
-
-5.90M
195%
-6.50M
10.17%
4.80M
173.85%
-43.10M
997.92%
-600K
98.61%
16.90M
2,916.67%
-21.80M
228.99%
76.70M
451.83%
-459.30M
698.83%
824.70M
279.56%
net cash provided by operating activities
386.40M
-
353.70M
8.46%
382.30M
8.09%
446.90M
16.90%
481.20M
7.68%
680.90M
41.50%
574M
15.70%
552.70M
3.71%
418.60M
24.26%
761.70M
81.96%
798.20M
4.79%
investments in property plant and equipment
-194.60M
-
-114.70M
41.06%
-152.30M
32.78%
-287.40M
88.71%
-306.80M
6.75%
-334.20M
8.93%
-167.70M
49.82%
-147.20M
12.22%
-290.10M
97.08%
-654M
125.44%
-991.80M
51.65%
acquisitions net
-74.90M
-
-88.60M
-
-139.30M
57.22%
-610.40M
-
-10.50M
98.28%
purchases of investments
-22.60M
-
-610.40M
-
sales maturities of investments
22.60M
-
610.40M
-
other investing activites
18.40M
-
8M
56.52%
2.10M
73.75%
-200K
-
-39M
19,400%
-15.30M
60.77%
-20.40M
33.33%
-76.50M
275%
18.20M
123.79%
net cash used for investing activites
-173.20M
-
-171.20M
1.15%
-144.30M
15.71%
-285.30M
97.71%
-306.80M
7.54%
-423M
37.87%
-346M
18.20%
-162.50M
53.03%
-310.50M
91.08%
-1.34B
331.85%
-984.10M
26.61%
debt repayment
-3.60M
-
-3.10M
13.89%
-39.10M
1,161.29%
-23.80M
39.13%
-39.20M
64.71%
-66.70M
70.15%
-336.30M
404.20%
-305.50M
9.16%
-1.74B
468.81%
-32.60M
98.12%
-355.80M
991.41%
common stock issued
-14.40M
-
-1M
93.06%
1.61B
161,440%
-498.80M
130.92%
1.68B
436.03%
570.90M
65.94%
common stock repurchased
-200K
-
-2.70M
1,250%
-36.40M
1,248.15%
-28.90M
20.60%
-36.10M
24.91%
-158.40M
338.78%
-51.60M
67.42%
-225.30M
336.63%
dividends paid
-850.90M
-
-110.20M
87.05%
-113.30M
2.81%
-121.30M
7.06%
-135.30M
11.54%
-138.40M
2.29%
-146.10M
5.56%
-174M
19.10%
other financing activites
-196M
-
-162M
17.35%
-245.10M
51.30%
-62.40M
74.54%
-12.40M
80.13%
-82.20M
562.90%
-1.90M
97.69%
1.70M
189.47%
-5M
394.12%
200K
104%
-4.50M
2,350%
net cash used provided by financing activities
-199.60M
-
-177.70M
10.97%
-232.80M
31.01%
-142M
39.00%
-178.90M
25.99%
-299.60M
67.47%
1.13B
475.50%
-974M
186.58%
-363.40M
62.69%
340.80M
193.78%
-48M
114.08%
effect of forex changes on cash
300K
-
-1.20M
500%
600K
150%
1.10M
83.33%
3M
172.73%
-1.70M
156.67%
-1.20M
29.41%
3.30M
375%
-3.20M
196.97%
18.20M
668.75%
500K
97.25%
net change in cash
13.90M
-
3.60M
74.10%
5.80M
61.11%
20.70M
256.90%
-1.50M
107.25%
-43.40M
2,793.33%
1.35B
3,214.75%
-580.50M
142.94%
-258.50M
55.47%
-220.20M
14.82%
-233.40M
5.99%
cash at beginning of period
13.10M
-
27M
106.11%
30.60M
13.33%
36.40M
18.95%
57.10M
56.87%
55.60M
2.63%
12.20M
78.06%
1.36B
11,080.33%
783.50M
42.56%
525M
32.99%
304.80M
41.94%
cash at end of period
27M
-
30.60M
13.33%
36.40M
18.95%
57.10M
56.87%
55.60M
2.63%
12.20M
78.06%
1.36B
11,080.33%
783.50M
42.56%
525M
32.99%
304.80M
41.94%
71.40M
76.57%
operating cash flow
386.40M
-
353.70M
8.46%
382.30M
8.09%
446.90M
16.90%
481.20M
7.68%
680.90M
41.50%
574M
15.70%
552.70M
3.71%
418.60M
24.26%
761.70M
81.96%
798.20M
4.79%
capital expenditure
-194.60M
-
-114.70M
41.06%
-152.30M
32.78%
-287.40M
88.71%
-306.80M
6.75%
-334.20M
8.93%
-167.70M
49.82%
-147.20M
12.22%
-290.10M
97.08%
-654M
125.44%
-991.80M
51.65%
free cash flow
191.80M
-
239M
24.61%
230M
3.77%
159.50M
30.65%
174.40M
9.34%
346.70M
98.80%
406.30M
17.19%
405.50M
0.20%
128.50M
68.31%
107.70M
16.19%
-193.60M
279.76%

All numbers in (except ratios and percentages)