bf/NYSE:GIS_icon.jpeg

LSE:0R1X

General Mills, Inc.

  • Stock

USD

Last Close

65.83

26/07 20:00

Market Cap

34.97B

Beta: 0.25

Volume Today

1.81M

Avg: 38.42K

PE Ratio

15.40

PFCF: 17.87

Dividend Yield

3.62%

Payout:53.58%

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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
1.86B
-
1.26B
32.34%
1.74B
37.91%
1.70B
2.06%
2.16B
27.15%
1.79B
17.42%
2.21B
23.77%
2.35B
6.12%
2.73B
16.58%
2.61B
4.59%
2.50B
4.33%
depreciation and amortization
585.40M
-
588.30M
0.50%
608.10M
3.37%
603.60M
0.74%
618.80M
2.52%
620.10M
0.21%
594.70M
4.10%
601.30M
1.11%
570.30M
5.16%
546.60M
4.16%
552.70M
1.12%
deferred income tax
103.20M
-
-49.30M
147.77%
26.50M
153.75%
119.80M
352.08%
-504.30M
520.95%
93.50M
118.54%
-29.60M
131.66%
118.80M
501.35%
62.20M
47.64%
-22.20M
135.69%
-48.50M
118.47%
stock based compensation
108.50M
-
106.40M
1.94%
89.80M
15.60%
95.70M
6.57%
77M
19.54%
84.90M
10.26%
94.90M
11.78%
89.90M
5.27%
98.70M
9.79%
111.70M
13.17%
change in working capital
-32.20M
-
214.70M
766.77%
258.20M
20.26%
-232M
189.85%
542.10M
333.66%
-7.50M
101.38%
793.90M
10,685.33%
-155.90M
119.64%
277.40M
277.93%
-48.90M
117.63%
52.50M
207.36%
accounts receivables
-41M
-
6.80M
116.59%
-6.90M
201.47%
-69.20M
902.90%
-42.70M
-
37.90M
188.76%
27.90M
26.39%
-166.30M
696.06%
-41.20M
75.23%
-1.80M
95.63%
inventory
-88.30M
-
-24.20M
72.59%
-146.10M
503.72%
-61.50M
57.91%
15.60M
125.37%
53.70M
244.23%
103.10M
91.99%
-354.70M
444.03%
-85.80M
75.81%
-319M
271.79%
287.60M
190.16%
accounts payables
191.50M
-
145.80M
23.86%
318.70M
118.59%
99.50M
68.78%
575.30M
478.19%
162.40M
71.77%
392.50M
141.69%
343.10M
12.59%
456.70M
33.11%
199.80M
56.25%
-251.20M
225.73%
other working capital
-94.40M
-
86.30M
191.42%
92.50M
7.18%
-200.80M
317.08%
-48.80M
75.70%
-180.90M
270.70%
260.40M
243.95%
-172.20M
166.13%
72.80M
142.28%
111.50M
53.16%
17.90M
83.95%
other non cash items
-85.20M
-
423.30M
596.83%
-89.60M
121.17%
25.10M
128.01%
-55.60M
321.51%
229.80M
513.31%
11.50M
95.00%
-16.90M
246.96%
-427.50M
2,429.59%
-418.20M
2.18%
1.32B
415.66%
net cash provided by operating activities
2.54B
-
2.54B
0.07%
2.63B
3.42%
2.31B
12.04%
2.84B
22.81%
2.81B
1.20%
3.68B
30.97%
2.98B
18.85%
3.32B
11.16%
2.78B
16.21%
3.30B
18.86%
investments in property plant and equipment
-663.50M
-
-712.40M
7.37%
-729.30M
2.37%
-684.40M
6.16%
-622.70M
9.02%
-537.60M
13.67%
-460.80M
14.29%
-530.80M
15.19%
-568.70M
7.14%
-689.50M
21.24%
-774.10M
12.27%
acquisitions net
66.70M
-
-924.70M
1,486.36%
808.40M
187.42%
20.80M
97.43%
-8.05B
38,816.83%
26.50M
100.33%
-48M
281.13%
18.40M
138.33%
-1.11B
6,142.39%
349.40M
131.43%
-451.10M
229.11%
purchases of investments
-100K
-
-48M
47,900%
-15.50M
67.71%
-15.40M
0.65%
-32.20M
109.09%
-2.70M
91.61%
sales maturities of investments
100K
-
48M
47,900%
15.50M
67.71%
15.40M
0.65%
32.20M
109.09%
other investing activites
35M
-
34.90M
0.29%
14.30M
59.03%
16.70M
16.78%
-9.60M
157.49%
-45.40M
372.92%
22.60M
149.78%
-400K
101.77%
-10.20M
2,450%
-6.30M
38.24%
30.50M
584.13%
net cash used for investing activites
-561.80M
-
-1.60B
185.19%
93.40M
105.83%
-646.90M
792.61%
-8.69B
1,242.62%
-556.50M
93.59%
-486.20M
12.63%
-512.80M
5.47%
-1.69B
229.70%
-346.40M
79.51%
-1.20B
245.67%
debt repayment
-1.44B
-
-1.15B
20.69%
-1.00B
12.69%
-1B
0.04%
-600.10M
39.99%
-1.49B
148.93%
-1.40B
6.50%
-2.61B
86.80%
-3.14B
20.39%
-1.42B
54.74%
-1.14B
19.59%
common stock issued
108.10M
-
163.70M
51.43%
171.90M
5.01%
112.60M
34.50%
969.90M
761.37%
241.40M
75.11%
742.90M
207.75%
1.72B
131.86%
161.70M
90.61%
1.79B
1,005.38%
25.50M
98.57%
common stock repurchased
-1.75B
-
-1.16B
33.43%
-606.70M
47.78%
-1.65B
172.21%
-601.60M
63.57%
-1.10M
99.82%
-3.40M
209.09%
-301.40M
8,764.71%
-876.80M
190.91%
-1.40B
60.08%
-2.00B
42.66%
dividends paid
-983.30M
-
-1.02B
3.50%
-1.07B
5.31%
-1.14B
5.92%
-1.14B
0.41%
-1.18B
3.69%
-1.20B
1.19%
-1.25B
4.23%
-1.24B
0.15%
-1.29B
3.49%
-1.36B
5.86%
other financing activites
2.24B
-
1.78B
20.72%
221.30M
87.55%
2.03B
816.63%
6.82B
236.06%
258.80M
96.20%
-88.50M
134.20%
-281.20M
217.74%
2.60B
1,023.65%
-78.30M
103.01%
-75.20M
3.96%
net cash used provided by financing activities
-1.82B
-
-1.38B
24.08%
-2.29B
65.05%
-1.65B
28.01%
5.45B
430.93%
-2.18B
139.97%
-1.94B
10.79%
-2.72B
39.87%
-2.50B
7.82%
-2.40B
3.96%
-2.27B
5.48%
effect of forex changes on cash
-29.20M
-
-88.90M
204.45%
-8.10M
90.89%
-18.50M
128.40%
31.80M
271.89%
-23.10M
172.64%
-20.70M
10.39%
72.50M
450.24%
-58M
180%
-12M
79.31%
net change in cash
125.90M
-
-533.10M
523.43%
429.50M
180.57%
2.40M
99.44%
-367.10M
15,395.83%
51M
113.89%
1.23B
2,307.45%
-172.60M
114.06%
-935.80M
442.18%
16.10M
101.72%
-167.50M
1,140.37%
cash at beginning of period
741.40M
-
867.30M
16.98%
334.20M
61.47%
763.70M
128.52%
766.10M
0.31%
399M
47.92%
450M
12.78%
1.68B
272.84%
1.51B
10.29%
569.40M
62.17%
585.50M
2.83%
cash at end of period
867.30M
-
334.20M
61.47%
763.70M
128.52%
766.10M
0.31%
399M
47.92%
450M
12.78%
1.68B
272.84%
1.51B
10.29%
569.40M
62.17%
585.50M
2.83%
418M
28.61%
operating cash flow
2.54B
-
2.54B
0.07%
2.63B
3.42%
2.31B
12.04%
2.84B
22.81%
2.81B
1.20%
3.68B
30.97%
2.98B
18.85%
3.32B
11.16%
2.78B
16.21%
3.30B
18.86%
capital expenditure
-663.50M
-
-712.40M
7.37%
-729.30M
2.37%
-684.40M
6.16%
-622.70M
9.02%
-537.60M
13.67%
-460.80M
14.29%
-530.80M
15.19%
-568.70M
7.14%
-689.50M
21.24%
-774.10M
12.27%
free cash flow
1.88B
-
1.83B
2.51%
1.90B
3.83%
1.63B
14.29%
2.22B
36.18%
2.27B
2.30%
3.22B
41.69%
2.45B
23.73%
2.75B
12.03%
2.09B
23.96%
2.53B
21.03%

All numbers in USD (except ratios and percentages)