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For the quarter ending 2025-11-30, CHSCM had $58,261K increase in cash & cash equivalents over the period. -$453,816K in free cash flow.

Cash Flow Overview

Change in Cash
$58,261K
Free Cash flow
-$453,816K
Unit: Thousand (K) dollars
Positive Cash Flow Breakdown
    • Proceeds from lines of credit an...
    • Accounts payable and accrued exp...
    • Changes in chs capital notes rec...
    • Others
Negative Cash Flow Breakdown
    • Payments on lines of credit, lon...
    • Inventories
    • Receivables
    • Others

Cash Flow
2025-11-30
2025-08-31
Net income (loss)
260,457 597,995
Depreciationdepletionandamortizationincludingmajormaintenance
-651,426
Depreciation and amortization
170,836 -
Income (loss) from equity method investments, net of dividends or distributions
79,998 60,961
Provision for current expected credit losses
4,183 6,136
Deferred taxes
-11,361 38,744
Other, net
-12,764 -55,668
Receivables
375,580 -6,999
Inventories
1,057,235 53,184
Accounts payable and accrued expenses
844,775 -276,114
Other liabilities
-81,131 -142,098
Net cash provided by (used in) operating activities
-337,818 635,787
Acquisition of property, plant and equipment
115,998 728,575
Proceeds from disposition of property, plant and equipment
4,468 34,438
Expenditures for major repairs
3,984 271,380
Payments to acquire investments
156,968 0
Chscapitalpaymentsforproceedsfromloansreceivable
-169,072
Proceeds from sale of other investments
135 513,305
Payments to acquire businesses, net of cash acquired
-237,174
Changes in chs capital notes receivable, net
-27,130 -
Other investing activities, net
2,653 22,137
Net cash provided by (used in) investing activities
-247,870 -880,595
Proceeds from notes payable and long-term debt
-19,038,369
Proceeds from lines of credit and long-term borrowings
4,248,656 -
Payments on lines of credit, long-term borrowings and capital lease obligations
3,548,767 18,512,827
Preferred stock dividends paid
42,167 168,668
Redemptions of equities
13,759 287,683
Cash patronage dividends paid
-300,358
Other financing activities, net
246 600
Net cash provided by (used in) financing activities
644,209 -230,567
Effect of exchange rate on cash, cash equivalents, restricted cash and restricted cash equivalents
-260 773
Cash, cash equivalents, restricted cash and restricted cash equivalents, period increase (decrease), including exchange rate effect
58,261 -474,602
Cash and cash equivalents at beginning of period
399,260 873,862
Cash and cash equivalents at end of period
457,521 399,260
Unit: Thousand (K) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Proceeds from lines ofcredit and long-term...$4,248,656K Other financingactivities, net$246K Net cash provided by(used in) financing...$644,209K Canceled cashflow$3,604,693K Cash, cashequivalents, restricted cash...$58,261K Canceled cashflow$585,948K Payments on lines ofcredit, long-term...$3,548,767K Preferred stock dividendspaid$42,167K Redemptions of equities$13,759K Accounts payable andaccrued expenses$844,775K Net income (loss)$260,457K Depreciation andamortization$170,836K Provision for currentexpected credit losses$4,183K Changes in chs capitalnotes receivable, net-$27,130K Proceeds fromdisposition of property,...$4,468K Proceeds from sale ofother investments$135K Net cash provided by(used in) operating...-$337,818K Net cash provided by(used in) investing...-$247,870K Effect of exchange rateon cash, cash...-$260K Canceled cashflow$1,280,251K Canceled cashflow$31,733K Inventories$1,057,235K Payments to acquireinvestments$156,968K Acquisition of property,plant and equipment$115,998K Receivables$375,580K Other liabilities-$81,131K Income (loss) fromequity method...$79,998K Other, net-$12,764K Deferred taxes-$11,361K Expenditures for majorrepairs$3,984K Other investingactivities, net$2,653K

CHS INC (CHSCM)

CHS INC (CHSCM)