CHS INC (CHSCM)

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CIK 0000823277 · Nasdaq · Wholesale-Farm Product Raw Materials

  • Sector Wholesale Trade
  • Incorporated MN
  • Fiscal year ends Aug 31

In fiscal 2025, CHS INC reported revenue of $35.46B, down 9.7% from the prior year. The company was profitable, with a net margin of 1.7% and a gross margin of 3.2%.

Key ratios (FY2025)

3.2%
Gross margin
0.3%
Operating margin
1.7%
Net margin
5.4%
Return on equity
-9.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$35.46B$39.26B$45.59B$47.79B$38.45B$28.41B$31.90B$32.68B$32.04B$30.36B
Cost of Revenue$34.33B$37.51B$43.21B$45.66B$37.50B$27.42B$30.52B$31.59B$31.14B$29.39B
Gross Profit$1.14B$1.75B$2.38B$2.13B$951.40M$981.81M$1.38B$1.09B$893.88M$968.75M
Operating Income$90.75M$584.36M$1.34B$1.13B$205.80M$277.26M$659.60M$452.36M-$173.88M$292.44M
Net Income$597.92M$1.10B$1.90B$1.68B$553.95M$422.44M$829.88M$775.91M$71.59M$383.25M
Total Assets$18.86B$18.72B$18.96B$18.82B$17.58B$15.99B$16.45B$16.38B$16.65B$18.28B
Shareholders' Equity$11.08B$10.76B$10.45B$9.46B$9.02B$8.82B$8.62B$8.17B$7.74B$7.82B
Cash & Equivalents$327.83M$794.87M$1.77B$793.96M$413.16M$140.87M$211.18M$450.62M$249.77M$516.65M
Operating Cash Flow$635.79M$1.27B$3.28B$1.95B$757.81M$1.09B$1.14B$1.07B$954.70M$1.26B
Capital Expenditures$728.58M$808.76M$564.52M$354.44M$317.79M$418.36M$443.22M$355.41M$444.40M$692.78M