SG Stock MarketDetailed Quotes

D03 Del Monte Pac

Watchlist
  • 0.091
  • -0.003-3.19%
10min DelayMarket Closed Oct 15 17:04 CST
176.90MMarket Cap-883P/E (TTM)

Del Monte Pac Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jul 31, 2024
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
11.77%25.88M
-33.90%13.12M
-33.90%13.12M
73.61%24.14M
47.14%28.67M
-5.37%23.16M
-14.20%19.85M
-14.20%19.85M
-60.17%13.9M
-49.47%19.48M
-Cash and cash equivalents
11.77%25.88M
-33.84%13.12M
-33.84%13.12M
73.61%24.14M
47.14%28.67M
-5.37%23.16M
-9.23%19.84M
-9.23%19.84M
-58.30%13.9M
-47.70%19.48M
-Short-term investments
----
----
----
----
----
----
-98.60%18K
-98.60%18K
----
----
-Accounts receivable
0.01%210.12M
-1.45%188.25M
-1.45%188.25M
-3.38%225.7M
-15.62%271.97M
5.63%210.1M
3.82%191.02M
3.82%191.02M
14.01%233.58M
32.22%322.32M
-Gross accounts receivable
----
-1.42%192.57M
-1.42%192.57M
----
----
----
2.90%195.34M
2.90%195.34M
----
----
-Bad debt provision
----
-0.05%-4.32M
-0.05%-4.32M
----
----
----
26.21%-4.32M
26.21%-4.32M
----
----
-Other receivables
----
-25.27%29.9M
-25.27%29.9M
----
----
----
30.93%40.02M
30.93%40.02M
----
----
Inventory
-12.96%1.06B
-2.60%1.09B
-2.60%1.09B
10.55%1.32B
13.03%1.47B
33.88%1.22B
52.95%1.12B
52.95%1.12B
49.45%1.2B
39.68%1.3B
Prepaid assets
----
6.63%60.1M
6.63%60.1M
----
----
----
24.25%56.36M
24.25%56.36M
----
----
Other current assets
71.73%104.55M
----
----
12.96%56.77M
22.15%60.33M
18.53%60.88M
----
----
29,119.19%50.26M
19,044.57%49.39M
Total current assets
-6.84%1.41B
-3.25%1.38B
-3.25%1.38B
9.04%1.63B
8.22%1.83B
27.66%1.51B
40.52%1.43B
40.52%1.43B
34.63%1.49B
31.61%1.69B
Non current assets
Net PPE
-5.20%730.3M
0.27%761.61M
0.27%761.61M
10.57%784.56M
15.28%774.09M
13.60%770.37M
8.32%759.56M
8.32%759.56M
7.76%709.55M
2.27%671.49M
-Gross PP&E
-5.20%730.3M
5.59%1.75B
5.59%1.75B
10.57%784.56M
15.28%774.09M
13.60%770.37M
5.56%1.66B
5.56%1.66B
-53.77%709.55M
-55.91%671.49M
-Accumulated depreciation
----
-10.09%-988.11M
-10.09%-988.11M
----
----
----
-3.33%-897.57M
-3.33%-897.57M
----
----
Prepaid assets-Non current
----
-3.71%21.62M
-3.71%21.62M
----
----
----
7.49%22.46M
7.49%22.46M
----
----
Total investment
2.86%20.88M
19.41%31.33M
19.41%31.33M
-15.31%20.29M
11.39%20.85M
7.91%20.3M
52.81%26.24M
52.81%26.24M
17.62%23.95M
-11.60%18.71M
-Long-term equity investment
2.86%20.88M
-2.44%19.67M
-2.44%19.67M
-15.31%20.29M
11.39%20.85M
7.91%20.3M
17.41%20.16M
17.41%20.16M
17.62%23.95M
-11.60%18.71M
-Including:Available-for-sale securities
----
91.86%11.67M
91.86%11.67M
----
----
----
--6.08M
--6.08M
----
----
Financial assets
----
--0
--0
----
----
----
--6.19M
--6.19M
----
----
Goodwill and other intangible assets
-0.93%745.09M
-0.93%746.81M
-0.93%746.81M
-0.94%748.54M
-0.56%750.31M
9.57%752.07M
9.56%753.84M
9.56%753.84M
9.56%755.63M
9.14%754.53M
-Goodwill
----
0.00%203.43M
0.00%203.43M
----
----
----
0.00%203.43M
0.00%203.43M
----
----
-Other intangible assets
----
-1.28%543.38M
-1.28%543.38M
----
----
----
13.58%550.41M
13.58%550.41M
----
----
Defined pension benefit
-28.91%7.47M
-26.62%7.8M
-26.62%7.8M
-19.83%6.86M
18.12%9.85M
16.80%10.51M
8.48%10.63M
8.48%10.63M
40.82%8.56M
25.89%8.34M
Other non current assets
-1.18%44.72M
12.00%6.24M
12.00%6.24M
57.98%48.05M
73.15%46.49M
66.40%45.25M
48.01%5.57M
48.01%5.57M
464.93%30.42M
398.83%26.85M
Total non current assets
-0.55%1.71B
1.16%1.73B
1.16%1.73B
5.53%1.74B
7.71%1.72B
10.66%1.72B
9.07%1.71B
9.07%1.71B
7.99%1.65B
4.97%1.6B
Total assets
-3.49%3.12B
-0.85%3.11B
-0.85%3.11B
7.20%3.37B
7.97%3.55B
18.02%3.23B
21.46%3.14B
21.46%3.14B
19.20%3.14B
17.13%3.29B
Liabilities
Current liabilities
-Current debt and capital lease obligation
-26.53%929.01M
10.53%939.44M
10.53%939.44M
10.55%1.44B
22.43%1.32B
81.82%1.26B
65.17%849.91M
65.17%849.91M
164.81%1.31B
58.58%1.08B
-Including:Current debt
-26.62%906.21M
11.79%918.97M
11.79%918.97M
9.75%1.41B
21.97%1.29B
83.24%1.23B
69.49%822.02M
69.49%822.02M
173.92%1.28B
61.56%1.06B
-Including:Current capital Lease obligation
-22.71%22.81M
-26.61%20.47M
-26.61%20.47M
55.50%35.58M
45.18%30.8M
37.41%29.51M
-5.61%27.89M
-5.61%27.89M
-7.56%22.88M
-17.36%21.21M
Payables
32.78%470.61M
22.73%298.32M
22.73%298.32M
3.03%386.66M
-14.72%498.76M
-5.78%354.42M
-0.08%243.08M
-0.08%243.08M
99.19%375.3M
112.66%584.85M
-accounts payable
33.20%468.89M
2.94%223.07M
2.94%223.07M
3.53%384.33M
-14.35%498.07M
-5.18%352.03M
10.09%216.7M
10.09%216.7M
137.42%371.23M
159.35%581.51M
-Total tax payable
-28.28%1.72M
41.87%22.61M
41.87%22.61M
-42.87%2.32M
-79.19%694K
-51.24%2.39M
29.28%15.93M
29.28%15.93M
-72.77%4.07M
-80.90%3.34M
-Other payable
----
404.20%52.64M
404.20%52.64M
----
----
----
-69.40%10.44M
-69.40%10.44M
----
----
Current liabilities
-13.39%1.43B
14.14%1.35B
14.14%1.35B
8.10%1.85B
8.57%1.84B
49.45%1.65B
38.60%1.18B
38.60%1.18B
117.94%1.71B
58.57%1.7B
Non current liabilities
-Long term debt and capital lease obligation
22.53%1.42B
-5.06%1.45B
-5.06%1.45B
11.69%1.12B
19.49%1.29B
-1.11%1.16B
29.30%1.53B
29.30%1.53B
-9.46%999.82M
6.13%1.08B
-Including:Long term debt
23.71%1.35B
-5.23%1.38B
-5.23%1.38B
14.19%1.05B
21.80%1.22B
0.67%1.09B
33.57%1.45B
33.57%1.45B
-10.20%918.46M
6.84%1B
-Including:Long term capital lease obligation
3.84%71.1M
-1.74%70.95M
-1.74%70.95M
-16.54%67.9M
-8.37%76M
-22.87%68.47M
-21.32%72.2M
-21.32%72.2M
-0.31%81.36M
-1.80%82.95M
-Derivative product liabilities
--0
--0
--0
----
----
----
-60.78%3.1M
-60.78%3.1M
----
----
Long term provisions
----
----
----
----
----
----
----
----
-78.82%43K
-23.40%203K
Other non current liabilities
182.56%37.5M
----
----
44.11%31.92M
-32.57%14.63M
-41.18%13.27M
----
----
--22.15M
--21.7M
Total non current liabilities
23.30%1.49B
-3.86%1.51B
-3.86%1.51B
12.39%1.18B
18.21%1.34B
-1.55%1.2B
27.06%1.58B
27.06%1.58B
-9.44%1.05B
5.49%1.14B
Total liabilities
2.11%2.91B
3.84%2.86B
3.84%2.86B
9.73%3.04B
12.45%3.19B
22.61%2.85B
31.76%2.75B
31.76%2.75B
41.96%2.77B
31.92%2.83B
Shareholders'equity
Share capital
0.00%19.45M
0.00%19.45M
0.00%19.45M
0.00%19.45M
-33.96%19.45M
-33.96%19.45M
-33.96%19.45M
-33.96%19.45M
-60.67%19.45M
-40.45%29.45M
-common stock
0.00%19.45M
0.00%19.45M
0.00%19.45M
0.00%19.45M
-33.96%19.45M
-33.96%19.45M
0.00%19.45M
0.00%19.45M
-60.67%19.45M
-40.45%29.45M
-Preferred stock
----
--0
--0
----
----
----
--0
--0
----
----
Paid-in capital
0.00%208.34M
0.00%208.34M
0.00%208.34M
0.00%208.34M
-30.17%208.34M
-30.17%208.34M
-30.17%208.34M
-30.17%208.34M
-56.45%208.34M
-37.63%298.34M
Retained earnings
-206.24%-110.4M
-161.26%-73.23M
-161.26%-73.23M
-49.47%66.42M
-22.30%95.43M
35.76%103.92M
-14.81%119.54M
-14.81%119.54M
0.94%131.44M
17.77%122.82M
Total stockholders'equity
-71.60%89.44M
-59.27%129.85M
-59.27%129.85M
-13.73%266.1M
-23.70%298.16M
-10.87%314.9M
-25.08%318.82M
-25.08%318.82M
-50.15%308.44M
-34.33%390.78M
Noncontrolling interests
76.24%120.77M
84.20%123.3M
84.20%123.3M
-1.09%66.33M
3.30%67.48M
10.35%68.52M
-3.18%66.94M
-3.18%66.94M
-2.01%67.06M
0.05%65.33M
Total equity
-45.18%210.21M
-34.38%253.15M
-34.38%253.15M
-11.47%332.43M
-19.83%365.64M
-7.70%383.43M
-22.02%385.76M
-22.02%385.76M
-45.35%375.5M
-30.93%456.1M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q1)Jul 31, 2024(FY)Apr 30, 2024(Q4)Apr 30, 2024(Q3)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 11.77%25.88M-33.90%13.12M-33.90%13.12M73.61%24.14M47.14%28.67M-5.37%23.16M-14.20%19.85M-14.20%19.85M-60.17%13.9M-49.47%19.48M
-Cash and cash equivalents 11.77%25.88M-33.84%13.12M-33.84%13.12M73.61%24.14M47.14%28.67M-5.37%23.16M-9.23%19.84M-9.23%19.84M-58.30%13.9M-47.70%19.48M
-Short-term investments -------------------------98.60%18K-98.60%18K--------
-Accounts receivable 0.01%210.12M-1.45%188.25M-1.45%188.25M-3.38%225.7M-15.62%271.97M5.63%210.1M3.82%191.02M3.82%191.02M14.01%233.58M32.22%322.32M
-Gross accounts receivable -----1.42%192.57M-1.42%192.57M------------2.90%195.34M2.90%195.34M--------
-Bad debt provision -----0.05%-4.32M-0.05%-4.32M------------26.21%-4.32M26.21%-4.32M--------
-Other receivables -----25.27%29.9M-25.27%29.9M------------30.93%40.02M30.93%40.02M--------
Inventory -12.96%1.06B-2.60%1.09B-2.60%1.09B10.55%1.32B13.03%1.47B33.88%1.22B52.95%1.12B52.95%1.12B49.45%1.2B39.68%1.3B
Prepaid assets ----6.63%60.1M6.63%60.1M------------24.25%56.36M24.25%56.36M--------
Other current assets 71.73%104.55M--------12.96%56.77M22.15%60.33M18.53%60.88M--------29,119.19%50.26M19,044.57%49.39M
Total current assets -6.84%1.41B-3.25%1.38B-3.25%1.38B9.04%1.63B8.22%1.83B27.66%1.51B40.52%1.43B40.52%1.43B34.63%1.49B31.61%1.69B
Non current assets
Net PPE -5.20%730.3M0.27%761.61M0.27%761.61M10.57%784.56M15.28%774.09M13.60%770.37M8.32%759.56M8.32%759.56M7.76%709.55M2.27%671.49M
-Gross PP&E -5.20%730.3M5.59%1.75B5.59%1.75B10.57%784.56M15.28%774.09M13.60%770.37M5.56%1.66B5.56%1.66B-53.77%709.55M-55.91%671.49M
-Accumulated depreciation -----10.09%-988.11M-10.09%-988.11M-------------3.33%-897.57M-3.33%-897.57M--------
Prepaid assets-Non current -----3.71%21.62M-3.71%21.62M------------7.49%22.46M7.49%22.46M--------
Total investment 2.86%20.88M19.41%31.33M19.41%31.33M-15.31%20.29M11.39%20.85M7.91%20.3M52.81%26.24M52.81%26.24M17.62%23.95M-11.60%18.71M
-Long-term equity investment 2.86%20.88M-2.44%19.67M-2.44%19.67M-15.31%20.29M11.39%20.85M7.91%20.3M17.41%20.16M17.41%20.16M17.62%23.95M-11.60%18.71M
-Including:Available-for-sale securities ----91.86%11.67M91.86%11.67M--------------6.08M--6.08M--------
Financial assets ------0--0--------------6.19M--6.19M--------
Goodwill and other intangible assets -0.93%745.09M-0.93%746.81M-0.93%746.81M-0.94%748.54M-0.56%750.31M9.57%752.07M9.56%753.84M9.56%753.84M9.56%755.63M9.14%754.53M
-Goodwill ----0.00%203.43M0.00%203.43M------------0.00%203.43M0.00%203.43M--------
-Other intangible assets -----1.28%543.38M-1.28%543.38M------------13.58%550.41M13.58%550.41M--------
Defined pension benefit -28.91%7.47M-26.62%7.8M-26.62%7.8M-19.83%6.86M18.12%9.85M16.80%10.51M8.48%10.63M8.48%10.63M40.82%8.56M25.89%8.34M
Other non current assets -1.18%44.72M12.00%6.24M12.00%6.24M57.98%48.05M73.15%46.49M66.40%45.25M48.01%5.57M48.01%5.57M464.93%30.42M398.83%26.85M
Total non current assets -0.55%1.71B1.16%1.73B1.16%1.73B5.53%1.74B7.71%1.72B10.66%1.72B9.07%1.71B9.07%1.71B7.99%1.65B4.97%1.6B
Total assets -3.49%3.12B-0.85%3.11B-0.85%3.11B7.20%3.37B7.97%3.55B18.02%3.23B21.46%3.14B21.46%3.14B19.20%3.14B17.13%3.29B
Liabilities
Current liabilities
-Current debt and capital lease obligation -26.53%929.01M10.53%939.44M10.53%939.44M10.55%1.44B22.43%1.32B81.82%1.26B65.17%849.91M65.17%849.91M164.81%1.31B58.58%1.08B
-Including:Current debt -26.62%906.21M11.79%918.97M11.79%918.97M9.75%1.41B21.97%1.29B83.24%1.23B69.49%822.02M69.49%822.02M173.92%1.28B61.56%1.06B
-Including:Current capital Lease obligation -22.71%22.81M-26.61%20.47M-26.61%20.47M55.50%35.58M45.18%30.8M37.41%29.51M-5.61%27.89M-5.61%27.89M-7.56%22.88M-17.36%21.21M
Payables 32.78%470.61M22.73%298.32M22.73%298.32M3.03%386.66M-14.72%498.76M-5.78%354.42M-0.08%243.08M-0.08%243.08M99.19%375.3M112.66%584.85M
-accounts payable 33.20%468.89M2.94%223.07M2.94%223.07M3.53%384.33M-14.35%498.07M-5.18%352.03M10.09%216.7M10.09%216.7M137.42%371.23M159.35%581.51M
-Total tax payable -28.28%1.72M41.87%22.61M41.87%22.61M-42.87%2.32M-79.19%694K-51.24%2.39M29.28%15.93M29.28%15.93M-72.77%4.07M-80.90%3.34M
-Other payable ----404.20%52.64M404.20%52.64M-------------69.40%10.44M-69.40%10.44M--------
Current liabilities -13.39%1.43B14.14%1.35B14.14%1.35B8.10%1.85B8.57%1.84B49.45%1.65B38.60%1.18B38.60%1.18B117.94%1.71B58.57%1.7B
Non current liabilities
-Long term debt and capital lease obligation 22.53%1.42B-5.06%1.45B-5.06%1.45B11.69%1.12B19.49%1.29B-1.11%1.16B29.30%1.53B29.30%1.53B-9.46%999.82M6.13%1.08B
-Including:Long term debt 23.71%1.35B-5.23%1.38B-5.23%1.38B14.19%1.05B21.80%1.22B0.67%1.09B33.57%1.45B33.57%1.45B-10.20%918.46M6.84%1B
-Including:Long term capital lease obligation 3.84%71.1M-1.74%70.95M-1.74%70.95M-16.54%67.9M-8.37%76M-22.87%68.47M-21.32%72.2M-21.32%72.2M-0.31%81.36M-1.80%82.95M
-Derivative product liabilities --0--0--0-------------60.78%3.1M-60.78%3.1M--------
Long term provisions ---------------------------------78.82%43K-23.40%203K
Other non current liabilities 182.56%37.5M--------44.11%31.92M-32.57%14.63M-41.18%13.27M----------22.15M--21.7M
Total non current liabilities 23.30%1.49B-3.86%1.51B-3.86%1.51B12.39%1.18B18.21%1.34B-1.55%1.2B27.06%1.58B27.06%1.58B-9.44%1.05B5.49%1.14B
Total liabilities 2.11%2.91B3.84%2.86B3.84%2.86B9.73%3.04B12.45%3.19B22.61%2.85B31.76%2.75B31.76%2.75B41.96%2.77B31.92%2.83B
Shareholders'equity
Share capital 0.00%19.45M0.00%19.45M0.00%19.45M0.00%19.45M-33.96%19.45M-33.96%19.45M-33.96%19.45M-33.96%19.45M-60.67%19.45M-40.45%29.45M
-common stock 0.00%19.45M0.00%19.45M0.00%19.45M0.00%19.45M-33.96%19.45M-33.96%19.45M0.00%19.45M0.00%19.45M-60.67%19.45M-40.45%29.45M
-Preferred stock ------0--0--------------0--0--------
Paid-in capital 0.00%208.34M0.00%208.34M0.00%208.34M0.00%208.34M-30.17%208.34M-30.17%208.34M-30.17%208.34M-30.17%208.34M-56.45%208.34M-37.63%298.34M
Retained earnings -206.24%-110.4M-161.26%-73.23M-161.26%-73.23M-49.47%66.42M-22.30%95.43M35.76%103.92M-14.81%119.54M-14.81%119.54M0.94%131.44M17.77%122.82M
Total stockholders'equity -71.60%89.44M-59.27%129.85M-59.27%129.85M-13.73%266.1M-23.70%298.16M-10.87%314.9M-25.08%318.82M-25.08%318.82M-50.15%308.44M-34.33%390.78M
Noncontrolling interests 76.24%120.77M84.20%123.3M84.20%123.3M-1.09%66.33M3.30%67.48M10.35%68.52M-3.18%66.94M-3.18%66.94M-2.01%67.06M0.05%65.33M
Total equity -45.18%210.21M-34.38%253.15M-34.38%253.15M-11.47%332.43M-19.83%365.64M-7.70%383.43M-22.02%385.76M-22.02%385.76M-45.35%375.5M-30.93%456.1M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

Analysis

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