US Stock MarketDetailed Quotes

CALM Cal-Maine Foods

Watchlist
  • 100.590
  • -2.300-2.24%
Close Dec 23 16:00 ET
  • 100.590
  • 0.0000.00%
Post 17:11 ET
4.93BMarket Cap11.52P/E (TTM)

Cal-Maine Foods Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Aug 31, 2024
(FY)Jun 1, 2024
(Q4)Jun 1, 2024
(Q3)Mar 2, 2024
(Q2)Dec 2, 2023
(Q1)Sep 2, 2023
(FY)Jun 3, 2023
(Q4)Jun 3, 2023
(Q3)Feb 25, 2023
(Q2)Nov 26, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
23.55%753.59M
25.38%812.38M
25.38%812.38M
7.72%694.84M
49.68%567.83M
116.45%609.96M
271.27%647.91M
271.27%647.91M
566.95%645.03M
345.48%379.35M
-Cash and cash equivalents
-49.58%181.67M
-18.76%237.88M
-18.76%237.88M
65.66%367.12M
102.53%361.78M
164.92%360.34M
395.61%292.82M
395.61%292.82M
1,321.60%221.61M
1,053.67%178.64M
-Short-term investments
129.12%571.92M
61.79%574.5M
61.79%574.5M
-22.60%327.72M
2.66%206.05M
71.23%249.62M
207.63%355.09M
207.63%355.09M
421.93%423.42M
188.08%200.71M
Receivables
77.54%282.55M
-13.23%162.44M
-13.23%162.44M
-1.30%246.62M
-34.72%199.16M
-27.78%159.15M
-14.67%187.21M
-14.67%187.21M
38.79%249.87M
99.47%305.11M
-Accounts receivable
117.04%272.09M
24.84%138.55M
24.84%138.55M
2.87%212.85M
-37.11%165.39M
-29.66%125.36M
-34.37%110.98M
-34.37%110.98M
49.23%206.92M
71.92%262.96M
-Taxes receivable
-69.04%10.46M
-84.38%10.46M
-84.38%10.46M
-21.37%33.77M
-19.87%33.77M
-19.84%33.79M
58.89%66.97M
58.89%66.97M
3.78%42.95M
--42.15M
-Other receivables
----
44.96%13.43M
44.96%13.43M
----
----
----
13.73%9.27M
13.73%9.27M
----
----
Inventory
4.41%293.18M
-7.96%261.78M
-7.96%261.78M
-7.43%269.24M
2.38%287.27M
5.66%280.8M
8.01%284.42M
8.01%284.42M
21.15%290.87M
18.79%280.58M
Other current assets
0.08%14.16M
-2.64%5.24M
-2.64%5.24M
-9.42%6.88M
7.86%9.67M
29.00%14.15M
25.52%5.38M
25.52%5.38M
29.41%7.6M
31.61%8.97M
Total current assets
26.26%1.34B
10.39%1.24B
10.39%1.24B
2.03%1.22B
9.23%1.06B
36.61%1.06B
70.05%1.12B
70.05%1.12B
128.30%1.19B
102.44%974.01M
Non current assets
Net PPE
27.57%960.07M
15.14%857.23M
15.14%857.23M
16.01%826.57M
15.85%815.47M
9.28%752.58M
9.85%744.54M
9.85%744.54M
5.88%712.51M
5.21%703.88M
-Gross PPE
----
12.02%1.66B
12.02%1.66B
----
----
----
9.46%1.48B
9.46%1.48B
----
----
-Accumulated depreciation
----
-8.89%-804.94M
-8.89%-804.94M
----
----
----
-9.06%-739.22M
-9.06%-739.22M
----
----
Goodwill and other intangible assets
4.38%61.95M
3.12%61.77M
3.12%61.77M
3.01%62.31M
2.96%62.85M
-3.64%59.35M
-3.60%59.9M
-3.60%59.9M
-3.51%60.49M
-3.48%61.04M
-Goodwill
4.02%45.78M
4.02%45.78M
4.02%45.78M
4.02%45.78M
4.02%45.78M
0.00%44.01M
0.00%44.01M
0.00%44.01M
0.00%44.01M
0.00%44.01M
-Other intangible assets
5.40%16.18M
0.62%16M
0.62%16M
0.30%16.53M
0.22%17.07M
-12.76%15.35M
-12.32%15.9M
-12.32%15.9M
-11.78%16.48M
-11.45%17.04M
Investments and advances
-15.92%11.75M
-22.52%11.2M
-22.52%11.2M
1.50%16.39M
-2.16%14.37M
-10.82%13.98M
-6.96%14.45M
-6.96%14.45M
2.23%16.15M
33.70%14.69M
Other non current assets
22.67%12.76M
18.80%12.72M
18.80%12.72M
7.00%10.67M
3.73%10.18M
4.89%10.4M
1.91%10.71M
1.91%10.71M
27.00%9.97M
29.39%9.82M
Total non current assets
25.14%1.05B
13.66%942.92M
13.66%942.92M
14.62%915.94M
14.37%902.87M
7.79%836.31M
8.31%829.6M
8.31%829.6M
5.25%799.12M
5.14%789.43M
Total assets
25.77%2.39B
11.78%2.18B
11.78%2.18B
7.08%2.13B
11.53%1.97B
22.23%1.9B
36.92%1.95B
36.92%1.95B
55.42%1.99B
43.14%1.76B
Liabilities
Current liabilities
Payables
125.40%284.86M
22.63%156.97M
22.63%156.97M
-44.22%174.61M
-63.38%112.27M
-45.15%126.38M
-11.35%128.01M
-11.35%128.01M
159.45%313.06M
165.14%306.55M
-accounts payable
9.17%128.6M
-8.15%75.86M
-8.15%75.86M
-31.03%95.61M
-36.53%98.14M
-37.57%117.8M
0.66%82.59M
0.66%82.59M
14.88%138.62M
33.74%154.62M
-Total tax payable
1,182.43%106.29M
423.02%43.35M
423.02%43.35M
-54.87%30.11M
-90.15%8.45M
--8.29M
-67.73%8.29M
-67.73%8.29M
--66.72M
--85.72M
-Dividends payable
16,896.94%49.97M
1.70%37.76M
1.70%37.76M
-54.61%48.89M
-91.42%5.68M
-99.30%294K
1.29%37.13M
1.29%37.13M
--107.72M
--66.2M
Current accrued expenses
--40.56M
29.33%70.77M
29.33%70.77M
--41.08M
--41.52M
----
35.85%54.72M
35.85%54.72M
----
----
Current liabilities
157.49%325.42M
24.63%227.74M
24.63%227.74M
-31.10%215.69M
-49.83%153.79M
-45.15%126.38M
-1.05%182.73M
-1.05%182.73M
157.93%313.06M
163.39%306.55M
Non current liabilities
Non current deferred liabilities
-15.75%128.68M
-6.14%142.87M
-6.14%142.87M
23.23%166.14M
24.62%158.48M
20.61%152.73M
18.73%152.21M
18.73%152.21M
13.53%134.82M
19.13%127.18M
Other non current liabilities
271.14%36.85M
71.11%17.11M
71.11%17.11M
216.42%30.74M
224.88%30.57M
2.31%9.93M
-2.68%10M
-2.68%10M
-8.98%9.72M
-8.69%9.41M
Total non current liabilities
1.77%165.53M
-1.38%159.98M
-1.38%159.98M
36.22%196.88M
38.41%189.05M
19.31%162.66M
17.15%162.21M
17.15%162.21M
10.86%144.54M
15.57%136.59M
Total liabilities
69.86%490.95M
12.40%387.72M
12.40%387.72M
-9.84%412.57M
-22.63%342.84M
-21.19%289.04M
6.75%344.94M
6.75%344.94M
81.76%457.6M
88.91%443.14M
Shareholders'equity
Share capital
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
-common stock
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
0.00%751K
Retained earnings
18.11%1.86B
11.79%1.76B
11.79%1.76B
12.26%1.68B
23.51%1.58B
36.74%1.57B
47.40%1.57B
47.40%1.57B
50.86%1.5B
33.64%1.28B
Paid-in capital
5.95%77.5M
5.91%76.37M
5.91%76.37M
5.99%75.23M
6.01%74.21M
5.99%73.15M
6.06%72.11M
6.06%72.11M
6.08%70.98M
6.04%70.01M
Less: Treasury stock
5.39%31.63M
5.30%31.6M
5.30%31.6M
5.34%31.6M
5.33%30.01M
5.33%30.01M
5.49%30.01M
5.49%30.01M
5.47%30M
3.81%28.5M
Gains losses not affecting retained earnings
79.31%-474K
38.57%-1.77M
38.57%-1.77M
50.64%-1.51M
47.72%-1.61M
2.51%-2.29M
-80.83%-2.89M
-80.83%-2.89M
-117.06%-3.07M
-209.94%-3.09M
Total stockholders'equity
17.93%1.9B
11.74%1.8B
11.74%1.8B
12.22%1.72B
23.12%1.63B
35.77%1.61B
45.86%1.61B
45.86%1.61B
49.08%1.54B
32.43%1.32B
Noncontrolling interests
-73.37%-3.49M
-107.21%-3.1M
-107.21%-3.1M
-153.45%-2.79M
-274.85%-2.44M
-460.72%-2.01M
-627.18%-1.5M
-627.18%-1.5M
-1,152.27%-1.1M
-2,508.00%-652K
Total equity
17.86%1.9B
11.65%1.8B
11.65%1.8B
12.12%1.72B
23.00%1.62B
35.64%1.61B
45.75%1.61B
45.75%1.61B
48.98%1.53B
32.37%1.32B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Aug 31, 2024(FY)Jun 1, 2024(Q4)Jun 1, 2024(Q3)Mar 2, 2024(Q2)Dec 2, 2023(Q1)Sep 2, 2023(FY)Jun 3, 2023(Q4)Jun 3, 2023(Q3)Feb 25, 2023(Q2)Nov 26, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 23.55%753.59M25.38%812.38M25.38%812.38M7.72%694.84M49.68%567.83M116.45%609.96M271.27%647.91M271.27%647.91M566.95%645.03M345.48%379.35M
-Cash and cash equivalents -49.58%181.67M-18.76%237.88M-18.76%237.88M65.66%367.12M102.53%361.78M164.92%360.34M395.61%292.82M395.61%292.82M1,321.60%221.61M1,053.67%178.64M
-Short-term investments 129.12%571.92M61.79%574.5M61.79%574.5M-22.60%327.72M2.66%206.05M71.23%249.62M207.63%355.09M207.63%355.09M421.93%423.42M188.08%200.71M
Receivables 77.54%282.55M-13.23%162.44M-13.23%162.44M-1.30%246.62M-34.72%199.16M-27.78%159.15M-14.67%187.21M-14.67%187.21M38.79%249.87M99.47%305.11M
-Accounts receivable 117.04%272.09M24.84%138.55M24.84%138.55M2.87%212.85M-37.11%165.39M-29.66%125.36M-34.37%110.98M-34.37%110.98M49.23%206.92M71.92%262.96M
-Taxes receivable -69.04%10.46M-84.38%10.46M-84.38%10.46M-21.37%33.77M-19.87%33.77M-19.84%33.79M58.89%66.97M58.89%66.97M3.78%42.95M--42.15M
-Other receivables ----44.96%13.43M44.96%13.43M------------13.73%9.27M13.73%9.27M--------
Inventory 4.41%293.18M-7.96%261.78M-7.96%261.78M-7.43%269.24M2.38%287.27M5.66%280.8M8.01%284.42M8.01%284.42M21.15%290.87M18.79%280.58M
Other current assets 0.08%14.16M-2.64%5.24M-2.64%5.24M-9.42%6.88M7.86%9.67M29.00%14.15M25.52%5.38M25.52%5.38M29.41%7.6M31.61%8.97M
Total current assets 26.26%1.34B10.39%1.24B10.39%1.24B2.03%1.22B9.23%1.06B36.61%1.06B70.05%1.12B70.05%1.12B128.30%1.19B102.44%974.01M
Non current assets
Net PPE 27.57%960.07M15.14%857.23M15.14%857.23M16.01%826.57M15.85%815.47M9.28%752.58M9.85%744.54M9.85%744.54M5.88%712.51M5.21%703.88M
-Gross PPE ----12.02%1.66B12.02%1.66B------------9.46%1.48B9.46%1.48B--------
-Accumulated depreciation -----8.89%-804.94M-8.89%-804.94M-------------9.06%-739.22M-9.06%-739.22M--------
Goodwill and other intangible assets 4.38%61.95M3.12%61.77M3.12%61.77M3.01%62.31M2.96%62.85M-3.64%59.35M-3.60%59.9M-3.60%59.9M-3.51%60.49M-3.48%61.04M
-Goodwill 4.02%45.78M4.02%45.78M4.02%45.78M4.02%45.78M4.02%45.78M0.00%44.01M0.00%44.01M0.00%44.01M0.00%44.01M0.00%44.01M
-Other intangible assets 5.40%16.18M0.62%16M0.62%16M0.30%16.53M0.22%17.07M-12.76%15.35M-12.32%15.9M-12.32%15.9M-11.78%16.48M-11.45%17.04M
Investments and advances -15.92%11.75M-22.52%11.2M-22.52%11.2M1.50%16.39M-2.16%14.37M-10.82%13.98M-6.96%14.45M-6.96%14.45M2.23%16.15M33.70%14.69M
Other non current assets 22.67%12.76M18.80%12.72M18.80%12.72M7.00%10.67M3.73%10.18M4.89%10.4M1.91%10.71M1.91%10.71M27.00%9.97M29.39%9.82M
Total non current assets 25.14%1.05B13.66%942.92M13.66%942.92M14.62%915.94M14.37%902.87M7.79%836.31M8.31%829.6M8.31%829.6M5.25%799.12M5.14%789.43M
Total assets 25.77%2.39B11.78%2.18B11.78%2.18B7.08%2.13B11.53%1.97B22.23%1.9B36.92%1.95B36.92%1.95B55.42%1.99B43.14%1.76B
Liabilities
Current liabilities
Payables 125.40%284.86M22.63%156.97M22.63%156.97M-44.22%174.61M-63.38%112.27M-45.15%126.38M-11.35%128.01M-11.35%128.01M159.45%313.06M165.14%306.55M
-accounts payable 9.17%128.6M-8.15%75.86M-8.15%75.86M-31.03%95.61M-36.53%98.14M-37.57%117.8M0.66%82.59M0.66%82.59M14.88%138.62M33.74%154.62M
-Total tax payable 1,182.43%106.29M423.02%43.35M423.02%43.35M-54.87%30.11M-90.15%8.45M--8.29M-67.73%8.29M-67.73%8.29M--66.72M--85.72M
-Dividends payable 16,896.94%49.97M1.70%37.76M1.70%37.76M-54.61%48.89M-91.42%5.68M-99.30%294K1.29%37.13M1.29%37.13M--107.72M--66.2M
Current accrued expenses --40.56M29.33%70.77M29.33%70.77M--41.08M--41.52M----35.85%54.72M35.85%54.72M--------
Current liabilities 157.49%325.42M24.63%227.74M24.63%227.74M-31.10%215.69M-49.83%153.79M-45.15%126.38M-1.05%182.73M-1.05%182.73M157.93%313.06M163.39%306.55M
Non current liabilities
Non current deferred liabilities -15.75%128.68M-6.14%142.87M-6.14%142.87M23.23%166.14M24.62%158.48M20.61%152.73M18.73%152.21M18.73%152.21M13.53%134.82M19.13%127.18M
Other non current liabilities 271.14%36.85M71.11%17.11M71.11%17.11M216.42%30.74M224.88%30.57M2.31%9.93M-2.68%10M-2.68%10M-8.98%9.72M-8.69%9.41M
Total non current liabilities 1.77%165.53M-1.38%159.98M-1.38%159.98M36.22%196.88M38.41%189.05M19.31%162.66M17.15%162.21M17.15%162.21M10.86%144.54M15.57%136.59M
Total liabilities 69.86%490.95M12.40%387.72M12.40%387.72M-9.84%412.57M-22.63%342.84M-21.19%289.04M6.75%344.94M6.75%344.94M81.76%457.6M88.91%443.14M
Shareholders'equity
Share capital 0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K
-common stock 0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K0.00%751K
Retained earnings 18.11%1.86B11.79%1.76B11.79%1.76B12.26%1.68B23.51%1.58B36.74%1.57B47.40%1.57B47.40%1.57B50.86%1.5B33.64%1.28B
Paid-in capital 5.95%77.5M5.91%76.37M5.91%76.37M5.99%75.23M6.01%74.21M5.99%73.15M6.06%72.11M6.06%72.11M6.08%70.98M6.04%70.01M
Less: Treasury stock 5.39%31.63M5.30%31.6M5.30%31.6M5.34%31.6M5.33%30.01M5.33%30.01M5.49%30.01M5.49%30.01M5.47%30M3.81%28.5M
Gains losses not affecting retained earnings 79.31%-474K38.57%-1.77M38.57%-1.77M50.64%-1.51M47.72%-1.61M2.51%-2.29M-80.83%-2.89M-80.83%-2.89M-117.06%-3.07M-209.94%-3.09M
Total stockholders'equity 17.93%1.9B11.74%1.8B11.74%1.8B12.22%1.72B23.12%1.63B35.77%1.61B45.86%1.61B45.86%1.61B49.08%1.54B32.43%1.32B
Noncontrolling interests -73.37%-3.49M-107.21%-3.1M-107.21%-3.1M-153.45%-2.79M-274.85%-2.44M-460.72%-2.01M-627.18%-1.5M-627.18%-1.5M-1,152.27%-1.1M-2,508.00%-652K
Total equity 17.86%1.9B11.65%1.8B11.65%1.8B12.12%1.72B23.00%1.62B35.64%1.61B45.75%1.61B45.75%1.61B48.98%1.53B32.37%1.32B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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