bf/NYSE:TSN_icon.jpeg

NYSE:TSN

Tyson Foods, Inc.

  • Stock

USD

Last Close

60.95

03/05 20:00

Market Cap

15.75B

Beta: 0.74

Volume Today

3.39M

Avg: 2.89M

PE Ratio

−31.70

PFCF: −88.04

Dividend Yield

3.36%

Payout:−104.36%

Sep '13
Sep '14
Oct '15
Oct '16
Sep '17
Sep '18
Sep '19
Oct '20
Oct '21
Oct '22
Sep '23
net income
778M
-
856M
10.03%
1.22B
42.99%
1.77B
44.77%
1.78B
0.34%
3.03B
70.25%
2.04B
32.77%
2.15B
5.65%
3.06B
42.33%
3.25B
6.18%
-649M
119.98%
depreciation and amortization
519M
-
530M
2.12%
711M
34.15%
705M
0.84%
761M
7.94%
943M
23.92%
1.10B
16.44%
1.19B
8.56%
1.21B
1.85%
1.20B
0.99%
1.34B
11.40%
deferred income tax
-12M
-
-105M
775%
38M
136.19%
84M
121.05%
-39M
146.43%
-865M
2,117.95%
92M
110.64%
45M
51.09%
-125M
377.78%
264M
311.20%
-183M
169.32%
stock based compensation
36M
-
51M
41.67%
69M
35.29%
81M
17.39%
92M
13.58%
69M
25%
77M
11.59%
89M
15.58%
91M
2.25%
93M
2.20%
61M
34.41%
change in working capital
-71M
-
-149M
109.86%
349M
334.23%
63M
81.95%
-150M
338.10%
-286M
90.67%
-846M
195.80%
474M
156.03%
381M
19.62%
-2.10B
652.23%
187M
108.89%
accounts receivables
-126M
-
-93M
26.19%
66M
170.97%
73M
10.61%
-55M
175.34%
-2M
96.36%
-226M
11,200%
191M
184.51%
-508M
365.97%
-176M
65.35%
136M
177.27%
inventory
15M
-
-148M
1,086.67%
220M
248.65%
148M
32.73%
-246M
266.22%
-207M
15.85%
-214M
3.38%
-20M
90.65%
-567M
2,735%
-1.20B
110.76%
175M
114.64%
accounts payables
-12M
-
202M
1,783.33%
-162M
180.20%
-130M
19.75%
61M
146.92%
-44M
172.13%
-55M
25%
-64M
16.36%
351M
648.44%
302M
13.96%
47M
84.44%
other working capital
52M
-
-110M
311.54%
225M
304.55%
-28M
112.44%
90M
421.43%
-33M
136.67%
-351M
963.64%
367M
204.56%
1.10B
201.09%
-1.03B
193.67%
-171M
83.48%
other non cash items
26M
-
-61M
334.62%
179M
393.44%
11M
93.85%
157M
1,327.27%
75M
52.23%
57M
24%
-76M
233.33%
-781M
927.63%
-17M
97.82%
997M
5,964.71%
net cash provided by operating activities
1.31B
-
1.18B
10.35%
2.57B
118.17%
2.72B
5.68%
2.60B
4.31%
2.96B
14.01%
2.51B
15.19%
3.87B
54.16%
3.84B
0.88%
2.69B
30.03%
1.75B
34.80%
investments in property plant and equipment
-558M
-
-632M
13.26%
-854M
35.13%
-695M
18.62%
-1.07B
53.81%
-1.20B
12.25%
-1.26B
4.92%
-1.20B
4.77%
-1.21B
0.83%
-1.89B
56.08%
-1.94B
2.76%
acquisitions net
-106M
-
-8.19B
7,629.25%
539M
106.58%
-3.08B
-
-677M
78.03%
-2.29B
238.55%
-154M
93.28%
1.14B
842.86%
-177M
115.47%
-377M
112.99%
purchases of investments
-135M
-
-18M
86.67%
-38M
111.11%
-46M
21.05%
-79M
71.74%
-42M
46.84%
-64M
52.38%
-105M
64.06%
-72M
31.43%
-35M
51.39%
-34M
2.86%
sales maturities of investments
117M
-
33M
71.79%
52M
57.58%
37M
28.85%
61M
64.86%
37M
39.34%
63M
70.27%
87M
38.10%
70M
19.54%
34M
51.43%
32M
5.88%
other investing activites
39M
-
10M
74.36%
31M
210%
20M
35.48%
4M
80%
-24M
700%
88M
466.67%
-52M
159.09%
125M
340.38%
130M
4%
19M
85.38%
net cash used for investing activites
-643M
-
-8.80B
1,268.58%
-270M
96.93%
-684M
153.33%
-4.16B
508.77%
-1.91B
54.23%
-3.46B
81.74%
-1.42B
58.92%
58M
104.08%
-1.94B
3,436.21%
-2.30B
18.81%
debt repayment
-91M
-
-639M
602.20%
-3.34B
422.69%
-1.48B
55.72%
-12.63B
753.89%
-24.26B
92.09%
-21.60B
10.96%
-17.76B
17.76%
-2.63B
85.18%
-1.19B
54.75%
-7.71B
547.02%
common stock issued
191M
-
2.13B
1,014.14%
1.93B
9.30%
1.19B
38.13%
15.55B
1,202.01%
24.03B
54.57%
23.59B
1.83%
17.12B
27.42%
626M
96.34%
126M
79.87%
8.83B
6,911.11%
common stock repurchased
-614M
-
-295M
51.95%
-495M
67.80%
-1.94B
292.73%
-860M
55.76%
-427M
50.35%
-252M
40.98%
-207M
17.86%
-67M
67.63%
-702M
947.76%
-354M
49.57%
dividends paid
-104M
-
-104M
0%
-147M
41.35%
-216M
46.94%
-319M
47.69%
-431M
35.11%
-537M
24.59%
-601M
11.92%
-636M
5.82%
-653M
2.67%
-670M
2.60%
other financing activites
18M
-
5.83B
32,261.11%
17M
99.71%
68M
300%
-208M
405.88%
-14M
93.27%
-30M
114.29%
-18M
40%
-22M
22.22%
97M
540.91%
-16M
116.49%
net cash used provided by financing activities
-600M
-
6.92B
1,252.50%
-2.04B
129.43%
-2.38B
16.81%
1.53B
164.37%
-1.10B
172.03%
1.17B
206.26%
-1.47B
225.36%
-2.73B
86.04%
-2.32B
14.94%
88M
103.79%
effect of forex changes on cash
3M
-
-15M
-
6M
140%
4M
33.33%
-3M
175%
-6M
100%
-1M
83.33%
4M
500%
-35M
975%
1M
102.86%
net change in cash
74M
-
-707M
1,055.41%
250M
135.36%
-339M
235.60%
-31M
90.86%
-48M
54.84%
214M
545.83%
936M
337.38%
1.04B
11.22%
-1.61B
254.27%
-458M
71.48%
cash at beginning of period
1.07B
-
1.15B
6.91%
438M
61.75%
688M
57.08%
349M
49.27%
318M
8.88%
270M
15.09%
484M
79.26%
1.47B
202.89%
2.64B
79.88%
1.03B
60.90%
cash at end of period
1.15B
-
438M
61.75%
688M
57.08%
349M
49.27%
318M
8.88%
270M
15.09%
484M
79.26%
1.42B
193.39%
2.51B
76.55%
1.03B
58.88%
573M
44.42%
operating cash flow
1.31B
-
1.18B
10.35%
2.57B
118.17%
2.72B
5.68%
2.60B
4.31%
2.96B
14.01%
2.51B
15.19%
3.87B
54.16%
3.84B
0.88%
2.69B
30.03%
1.75B
34.80%
capital expenditure
-558M
-
-632M
13.26%
-854M
35.13%
-695M
18.62%
-1.07B
53.81%
-1.20B
12.25%
-1.26B
4.92%
-1.20B
4.77%
-1.21B
0.83%
-1.89B
56.08%
-1.94B
2.76%
free cash flow
756M
-
546M
27.78%
1.72B
214.29%
2.02B
17.77%
1.53B
24.29%
1.76B
15.23%
1.25B
28.87%
2.67B
113.32%
2.63B
1.64%
800M
69.59%
-187M
123.37%

All numbers in USD (except ratios and percentages)