J M SMUCKER Co

SJM 10-K · FY 2026

SJM FY 2026 request

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Income Statement

Income Statement
Metric FY 2026 FY 2025 YoY
Cost of Revenue 6,016.4 5,341.4 +12.6%
Show Business Segments breakouts
All Other Segments · Operating Segments 320.1 308 +3.9%
Away From Home · Operating Segments 564.2 489.8 +15.2%
Sweet Baked Snacks · Operating Segments 705.6 779.9 -9.5%
U.S. Retail Coffee [Member] · Operating Segments 2,275.8 1,709.3 +33.1%
U.S. Retail Frozen Handheld and Spreads · Operating Segments 1,151.9 1,167.5 -1.3%
U.S. Retail Pet Foods · Operating Segments 874.1 936 -6.6%
Total Costs & Expenses 286.5 291.1 -1.6%
Gross Profit 3,034.5 3,384.7 -10.3%
Research & Development 55.2 51.7 +6.8%
General & Administrative -328.1 -322.5 -1.7%
Selling, General & Administrative 1,496.6 1,529 -2.1%
Show Business Segments breakouts
All Other Segments · Operating Segments 52 56.9 -8.6%
Away From Home · Operating Segments 97 101.2 -4.2%
Sweet Baked Snacks · Operating Segments 168.8 181.8 -7.2%
U.S. Retail Coffee [Member] · Operating Segments 326.7 308.4 +5.9%
U.S. Retail Frozen Handheld and Spreads · Operating Segments 257.3 276.7 -7.0%
U.S. Retail Pet Foods · Operating Segments 266.7 281.5 -5.3%
Operating Income 360.2 -673.9 +153.5%
Other Non-Operating Income (Expense) -41.4 -14.4 -187.5%
Income Before Taxes -62.4 -1,046.8 +94.0%
Income Tax Expense (Benefit) 76.3 184 -58.5%
Net Income -138.7 -1,230.8 +88.7%
Show Equity Components breakouts
Retained Earnings -138.7 -1,230.8 +88.7%
Show Earnings per Share Method [Axis] breakouts
Treasury Stock Method -138.7 -1,230.8 +88.7%
Two-class method [Member] -138.7 -1,230.8 +88.7%
Comprehensive Income -88.3 -1,180.7 +92.5%
Other Comprehensive Income 50.4 50.1 +0.6%
Show Equity Components breakouts
Accumulated Other Comprehensive Income 50.4 50.1 +0.6%
EPS (Diluted) -1.3 -11.57 +88.8%
Show Earnings per Share Method [Axis] breakouts
Treasury Stock Method -1.3 -11.57 +88.8%
Two-class method [Member] -1.3 -11.57 +88.8%
EPS (Basic) -1.3 -11.57 +88.8%
Show Earnings per Share Method [Axis] breakouts
Two-class method [Member] -1.3 -11.57 +88.8%
Wtd Avg Shares (Basic) (FY)
Show Earnings per Share Method [Axis] breakouts
Treasury Stock Method 106.7 106.4 +0.3%
Two-class method [Member] 106.7 106.4 +0.3%
Wtd Avg Shares (Diluted) (FY)
Show Earnings per Share Method [Axis] breakouts
Treasury Stock Method 106.7 106.4 +0.3%
Two-class method [Member] 106.7 106.4 +0.3%
Net Income Loss Available To Common Stockholders Basic (FY)
Show Earnings per Share Method [Axis] breakouts
Two-class method [Member] -138.7 -1,230.7 +88.7%
Revenue From Contract With Customer Including Assessed Tax 9,050.9 8,726.1 +3.7%
Show Product Lines breakouts
Baking Mixes and Ingredients [Member] · All Other Segments 89.5 88.1 +1.6%
Cat food [Member] · U.S. Retail Pet Foods 776 763.5 +1.6%
Coffee [Member] · U.S. Retail Coffee [Member] 3,768.7 3,173.8 +18.7%
Dog food [Member] · U.S. Retail Pet Foods 0.1 24.4 -99.6%
Frozen Handheld [Member] · U.S. Retail Frozen Handheld and Spreads 995.7 918.2 +8.4%
Fruit Spreads [Member] · U.S. Retail Frozen Handheld and Spreads 371 400.8 -7.4%
Other Product [Member] · All Other Segments 102.9 96.8 +6.3%
Peanut Butter [Member] · U.S. Retail Frozen Handheld and Spreads 786.1 827.8 -5.0%
Pet snacks [Member] · U.S. Retail Pet Foods 886 944.7 -6.2%
Portion Control [Member] · Away From Home 194.4 211.9 -8.3%
Sweet baked goods [Member] · Sweet Baked Snacks 971.3 1,093 -11.1%
Topping and syrups [Member] · U.S. Retail Frozen Handheld and Spreads 109.2 96.8 +12.8%
Show Business Segments breakouts
All Other Segments · Operating Segments 441.8 437.1 +1.1%
Away From Home · Operating Segments 879 763 +15.2%
Sweet Baked Snacks · Operating Segments 971.3 1,178.8 -17.6%
U.S. Retail Coffee [Member] · Operating Segments 3,304.9 2,806.6 +17.8%
U.S. Retail Frozen Handheld and Spreads · Operating Segments 1,853.9 1,877 -1.2%
U.S. Retail Pet Foods · Operating Segments 1,600 1,663.6 -3.8%
Show Geography breakouts
All Other International [Member] 141.9 128 +10.9%
CA 340.8 352.4 -3.3%
International [Member] 482.7 480.4 +0.5%
US 8,568.2 8,245.7 +3.9%

Balance Sheet

Balance Sheet
Metric FY 2026 FY 2025 YoY
Current Assets
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 58.6 69.9 -16.2%
Accounts Receivable 656.3 619 +6.0%
Show Major Customers breakouts
Wal-Mart Stores, Inc. [Member] · Customer Concentration Risk 187.4 172.3 +8.8%
Inventory Finished Goods And Work In Process Net Of Reserves 584.1 680 -14.1%
Inventory Raw Materials Net Of Reserves 542.4 529.4 +2.5%
Inventory 1,126.5 1,209.4 -6.9%
Other Assets Current 131.7 248.3 -47.0%
Total Current Assets 1,973.1 2,146.6 -8.1%
Non-Current Assets
Property, Plant & Equipment 3,032.1 3,079.6 -1.5%
Operating Lease Right-of-Use Assets 148.8 115.4 +28.9%
Goodwill 5,205 5,710 -8.8%
Show Business Segments breakouts
All Other Segments 142.3 139.8 +1.8%
Away From Home 251.7 251.7 0.0%
U.S. Retail Coffee [Member] 2,090.9 2,090.9 0.0%
U.S. Retail Frozen Handheld and Spreads 1,139.9 1,139.9 0.0%
U.S. Retail Pet Foods 1,580.2 1,580.2 0.0%
Other Assets Miscellaneous Noncurrent 176.7 164.8 +7.2%
Other Non-Current Assets 11,214.2 12,337.1 -9.1%
Total Assets 16,219.4 17,563.3 -7.7%
Show Business Segments breakouts
All Other Segments · Operating Segments 422.8 367 +15.2%
Away From Home · Operating Segments 798.4 670.1 +19.1%
Sweet Baked Snacks · Operating Segments 2,318.9 3,394.9 -31.7%
U.S. Retail Coffee [Member] · Operating Segments 4,692 4,927.8 -4.8%
U.S. Retail Frozen Handheld and Spreads · Operating Segments 3,236.6 3,263.1 -0.8%
U.S. Retail Pet Foods · Operating Segments 4,624.2 4,679.3 -1.2%
Show Geography breakouts
All Other International [Member] 0.3 0.3 0.0%
CA 352.6 373 -5.5%
International [Member] 352.9 373.3 -5.5%
US 15,866.5 17,190 -7.7%
Show Consolidation Items breakouts
Corporate Non Segment 126.5 261.1 -51.6%
Intangible Assets 3,086.6 2,519.4 +22.5%
Show Finite Lived Intangible Assets By Major Class breakouts
Customer Contracts 2,302.5 2,497.5 -7.8%
Patented Technology 1.7 2 -15.0%
Trademarks 782.4 19.9 +3831.7%
Marketable Securities (Non-Current) 18.5 20 -7.5%
Show Fair Value By Measurement Basis breakouts
Carrying Reported Amount Fair Value Disclosure 18.5 20 -7.5%
Estimate Of Fair Value Fair Value Disclosure 18.5 20 -7.5%
Other Assets
Property Plant And Equipment Gross 5,626.3 5,417.5 +3.9%
Accumulated Depreciation Depletion And Amortization Property Plant And Equipment -2,594.2 -2,337.9 -11.0%
Intangible Assets Net Excluding Goodwill 5,683.7 6,346.9 -10.4%
Current Liabilities
Accounts Payable 1,175.1 1,288.7 -8.8%
Employee Related Liabilities Current 115.1 118 -2.5%
Accrued Marketing Costs Current 175.9 188.8 -6.8%
Dividends Payable Current 116.9 114.6 +2.0%
Current Portion of Long-Term Debt 150
Short Term Borrowings 420.9 640.8 -34.3%
Show Short Term Debt Type breakouts
Commercial Paper 421 641 -34.3%
Other Liabilities Current 384.3 301.1 +27.6%
Total Current Liabilities 2,538.2 2,652 -4.3%
Non-Current Liabilities
Long-Term Debt 6,392.8 7,036.8 -9.2%
Defined Benefit Pension Plan Liabilities Noncurrent 50.6 53 -4.5%
Show Retirement Plan Type breakouts
Pension Plans Defined Benefit 50.6 53 -4.5%
Other Postretirement Defined Benefit Plan Liabilities Noncurrent 44.3 45.8 -3.3%
Show Retirement Plan Type breakouts
Other Postretirement Benefit Plans Defined Benefit 44.3 45.8 -3.3%
Deferred Tax Liabilities 1,459.6 1,548.6 -5.7%
Operating Lease Liabilities 125.3 84.1 +49.0%
Other Non-Current Liabilities 64.8 60.4 +7.3%
Liabilities Noncurrent 8,137.4 8,828.7 -7.8%
Total Liabilities 10,675.6 11,480.7 -7.0%
Long-Term Debt 6,542.8 7,036.8 -7.0%
Show Fair Value By Measurement Basis breakouts
Carrying Reported Amount Fair Value Disclosure 6,542.8 7,036.8 -7.0%
Estimate Of Fair Value Fair Value Disclosure 6,401.9 7,242 -11.6%
Stockholders' Equity
Common Stock Value Outstanding 26.7 26.6 +0.4%
Additional Paid In Capital Common Stock 5,752.5 5,738.7 +0.2%
Retained Earnings -101.3 501.8 -120.2%
Accumulated Other Comprehensive Income -134.1 -184.5 +27.3%
Total Stockholders' Equity 5,543.8 6,082.6 -8.9%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment -16.2 -53.2 +69.5%
Accumulated Gain Loss Net Cash Flow Hedge Parent -80.5 -90.1 +10.7%
Accumulated Net Unrealized Investment Gain Loss 1.1 0.5 +120.0%
Accumulated Other Comprehensive Income -134.1 -184.5 +27.3%
Accumulated Translation Adjustment -38.5 -41.7 +7.7%
Additional Paid In Capital 5,752.5 5,738.7 +0.2%
Common Stock 26.7 26.6 +0.4%
Retained Earnings -101.3 501.8 -120.2%
Total Liabilities & Equity 16,219.4 17,563.3 -7.7%
Land And Land Improvements 158.1 157.5 +0.4%
Buildings And Improvements Gross 1,465.2 1,383.5 +5.9%
Machinery And Equipment Gross 3,456.9 3,257.1 +6.1%
Construction In Progress Gross 546.1 619.4 -11.8%

Cash Flow Statement

Cash Flow Statement
Metric FY 2026 FY 2025 YoY
Operating Activities
Stock-Based Compensation 23.6 29.9 -21.1%
Deferred Income Taxes -103.3 -108 +4.4%
Other Non-Cash Items 50.9 15.3 +232.7%
Change in Accounts Receivable -36.9 117.2 -131.5%
Change in Inventory 83.3 -180.6 +146.1%
Change in Accounts Payable -112 -36.5 -206.8%
Net Cash from Operations 1,473.6 1,210.4 +21.7%
Investing Activities
Capital Expenditures -317.4 -393.8 +19.4%
Other Investing Activities 0.6 -0.1 +700.0%
Net Cash from Investing -258.8 -100.3 -158.0%
Financing Activities
Share Repurchases -5.6 -3.3 -69.7%
Debt Repayments (FY)
Show Long-Term Debt Type breakouts
Term Loan Credit Agreement Due March 5, 2027 500
Net Cash from Financing -1,226.5 -1,102.7 -11.2%
Supplemental
Income Taxes Paid 42.1 332.1 -87.3%
Other Cash Flow
Net Change in Cash -11.3 7.9 -243.0%

Values in millions USD. Source: SEC EDGAR 10-K filing.

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