Campbell Soup Company (0HST.L)

Consumer Defensive | Packaged Foods
Income Statement (Quarterly) 2025-08-03 2025-07-31 2025-04-27 2025-01-26
Revenue 2,321,000,000 2,321,000,000 2,475,000,000 2,685,000,000
Cost of Revenue 1,616,000,000 1,616,000,000 1,747,000,000 1,866,000,000
Gross Profit 705,000,000 705,000,000 728,000,000 829,000,000
Operating Expenses
R&D Expenses 0 0 0 0
SG&A Expenses 202,000,000 202,000,000 378,000,000 421,000,000
Operating Expenses 436,000,000 436,000,000 567,000,000 436,000,000
Operating Income 269,000,000 269,000,000 161,000,000 327,000,000
Interest Expense 85,000,000 85,000,000 85,000,000 88,000,000
Income Before Tax 184,000,000 184,000,000 81,000,000 247,000,000
Income Tax Expense 39,000,000 39,000,000 15,000,000 74,000,000
Net Income 145,000,000 145,000,000 66,000,000 173,000,000
Per Share
EPS 0.49 0.49 0.22 0.58
EPS Diluted 0.00 0.00 0.00 0.00
Income Statement (Annual) 2025-08-03 2025-07-31 2024-07-31 2024-07-28 2023-07-30
Revenue 10,253,000,000 10,253,000,000 9,636,000,000 9,636,000,000 9,357,000,000
Cost of Revenue 7,134,000,000 7,134,000,000 6,665,000,000 6,665,000,000 6,440,000,000
Gross Profit 3,119,000,000 3,119,000,000 2,971,000,000 2,971,000,000 2,917,000,000
Operating Expenses
R&D Expenses 0 0 0 0 0
SG&A Expenses 924,000,000 924,000,000 1,570,000,000 1,570,000,000 1,465,000,000
Operating Expenses 1,995,000,000 1,995,000,000 1,745,000,000 1,745,000,000 1,605,000,000
Operating Income 1,124,000,000 1,124,000,000 1,315,000,000 1,315,000,000 1,312,000,000
Interest Expense 345,000,000 345,000,000 249,000,000 249,000,000 188,000,000
Income Before Tax 796,000,000 796,000,000 757,000,000 757,000,000 1,128,000,000
Income Tax Expense 194,000,000 194,000,000 190,000,000 190,000,000 270,000,000
Net Income 602,000,000 602,000,000 567,000,000 567,000,000 858,000,000
Per Share
EPS 2.02 2.02 1.90 1.90 2.87
EPS Diluted 0.00 0.00 0.00 0.00 0.00
Balance Sheet (Quarterly) 2025-08-03 2025-07-31 2024-07-31 2024-07-28
Assets
Cash and Cash Equivalents 132,000,000 132,000,000 108,000,000 108,000,000
Short Term Investments 0 0 0 0
Net Receivables 583,000,000 583,000,000 630,000,000 630,000,000
Inventory 1,424,000,000 1,424,000,000 1,386,000,000 1,386,000,000
Total Current Assets 2,232,000,000 2,232,000,000 2,190,000,000 2,190,000,000
Property Plant Equipment 2,767,000,000 2,767,000,000 3,031,000,000 3,031,000,000
Goodwill and Intangibles 9,347,000,000 9,347,000,000 9,793,000,000 9,793,000,000
Total Assets 14,896,000,000 14,896,000,000 15,235,000,000 15,235,000,000
Liabilities
Account Payables 1,332,000,000 1,332,000,000 1,311,000,000 1,311,000,000
Short Term Debt 858,000,000 858,000,000 1,513,000,000 1,513,000,000
Total Current Liabilities 2,906,000,000 2,906,000,000 3,576,000,000 3,576,000,000
Long Term Debt 6,354,000,000 6,354,000,000 6,029,000,000 6,029,000,000
Total Liabilities 10,992,000,000 10,992,000,000 11,439,000,000 11,439,000,000
Shareholders Equity
Retained Earnings 4,694,000,000 4,694,000,000 4,569,000,000 4,569,000,000
Total Shareholders Equity 3,902,000,000 3,902,000,000 3,794,000,000 3,794,000,000
Balance Sheet (Annual) 2025-08-03 2025-07-31 2024-07-31 2024-07-28 2023-07-30
Assets
Cash and Cash Equivalents 132,000,000 132,000,000 108,000,000 108,000,000 189,000,000
Short Term Investments 0 0 0 0 0
Net Receivables 583,000,000 583,000,000 630,000,000 630,000,000 529,000,000
Inventory 1,424,000,000 1,424,000,000 1,386,000,000 1,386,000,000 1,291,000,000
Total Current Assets 2,232,000,000 2,232,000,000 2,190,000,000 2,190,000,000 2,061,000,000
Property Plant Equipment 2,767,000,000 2,767,000,000 3,031,000,000 3,031,000,000 2,673,000,000
Goodwill and Intangibles 9,347,000,000 9,347,000,000 9,793,000,000 9,793,000,000 7,107,000,000
Total Assets 14,896,000,000 14,896,000,000 15,235,000,000 15,235,000,000 12,058,000,000
Liabilities
Account Payables 1,332,000,000 1,332,000,000 1,311,000,000 1,311,000,000 1,306,000,000
Short Term Debt 858,000,000 858,000,000 1,513,000,000 1,513,000,000 261,000,000
Total Current Liabilities 2,906,000,000 2,906,000,000 3,576,000,000 3,576,000,000 2,222,000,000
Long Term Debt 6,354,000,000 6,354,000,000 6,029,000,000 6,029,000,000 4,706,000,000
Total Liabilities 10,992,000,000 10,992,000,000 11,439,000,000 11,439,000,000 8,395,000,000
Shareholders Equity
Retained Earnings 4,694,000,000 4,694,000,000 4,569,000,000 4,569,000,000 4,451,000,000
Total Shareholders Equity 3,902,000,000 3,902,000,000 3,794,000,000 3,794,000,000 3,661,000,000
Cash Flow Statement (Quarterly) 2025-08-03 2025-07-31 2024-07-31 2024-07-28
Operating Activities
Net Income 602,000,000 602,000,000 567,000,000 567,000,000
Depreciation & Amortization 434,000,000 434,000,000 411,000,000 411,000,000
Stock Based Compensation 57,000,000 57,000,000 99,000,000 99,000,000
Change in Working Capital -276,000,000 -276,000,000 -129,000,000 -129,000,000
Operating Cash Flow 1,131,000,000 1,131,000,000 1,185,000,000 1,185,000,000
Investing Activities
Capital Expenditure -426,000,000 -426,000,000 -517,000,000 -517,000,000
Investments -426,000,000 -426,000,000 -517,000,000 -517,000,000
Investing Cash Flow -187,000,000 -187,000,000 -3,128,000,000 -3,128,000,000
Financing Activities
Debt Repayment -368,000,000 -368,000,000 2,419,000,000 2,419,000,000
Common Stock Issued/Repurchased -62,000,000 -62,000,000 -65,000,000 -65,000,000
Dividends Paid -459,000,000 -459,000,000 -445,000,000 -445,000,000
Financing Cash Flow -919,000,000 -919,000,000 1,863,000,000 1,863,000,000
Summary
Free Cash Flow 705,000,000 705,000,000 668,000,000 668,000,000
Net Change in Cash 24,000,000 24,000,000 -81,000,000 -81,000,000
Cash Flow Statement (Annual) 2025-08-03 2025-07-31 2024-07-31 2024-07-28 2023-07-30
Operating Activities
Net Income 602,000,000 602,000,000 567,000,000 567,000,000 858,000,000
Depreciation & Amortization 434,000,000 434,000,000 411,000,000 411,000,000 387,000,000
Stock Based Compensation 57,000,000 57,000,000 99,000,000 99,000,000 63,000,000
Change in Working Capital -276,000,000 -276,000,000 -129,000,000 -129,000,000 -216,000,000
Operating Cash Flow 1,131,000,000 1,131,000,000 1,185,000,000 1,185,000,000 1,143,000,000
Investing Activities
Capital Expenditure -426,000,000 -426,000,000 -517,000,000 -517,000,000 -370,000,000
Investments -426,000,000 -426,000,000 -517,000,000 -517,000,000 -370,000,000
Investing Cash Flow -187,000,000 -187,000,000 -3,128,000,000 -3,128,000,000 -340,000,000
Financing Activities
Debt Repayment -368,000,000 -368,000,000 2,419,000,000 2,419,000,000 -66,000,000
Common Stock Issued/Repurchased -62,000,000 -62,000,000 -65,000,000 -65,000,000 -120,000,000
Dividends Paid -459,000,000 -459,000,000 -445,000,000 -445,000,000 -447,000,000
Financing Cash Flow -919,000,000 -919,000,000 1,863,000,000 1,863,000,000 -723,000,000
Summary
Free Cash Flow 705,000,000 705,000,000 668,000,000 668,000,000 773,000,000
Net Change in Cash 24,000,000 24,000,000 -81,000,000 -81,000,000 80,000,000