US Stock MarketDetailed Quotes
CHPFF CHAROEN POKPHAND FOODS
Watchlist
0.580100
0.0000000.00% Close 09/28 16:00 ET
0.000000High0.000000Low0Volume
0.580100Open0.580100Pre Close0.00Turnover0.00%Turnover Ratio96.68P/E (TTM)0Market Cap0.71771052wk High12.89P/E (Static)0Shares0.54700052wk Low0.66P/B0Float Cap0.957400Historical High0.02Dividend TTM0Shs Float0.547000Historical Low3.62%Div YieldTTM0.00%Amplitude--Avg Price1Lot Size
CHAROEN POKPHAND FOODS Key Stats
Quarterly+Annual
YOY

(Q2)2023/06/30 | (Q1)2023/03/31 | (FY)2022/12/31 | (Q4)2022/12/31 | (Q3)2022/09/30 | (Q2)2022/06/30 | (Q1)2022/03/31 | (FY)2021/12/31 | (Q4)2021/12/31 | (Q3)2021/09/30 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -16.45%25.6B | -2.78%28.02B | -10.09%36.22B | -10.09%36.22B | -35.74%35.79B | -32.15%30.64B | -42.08%28.82B | -30.73%40.28B | -30.73%40.28B | -40.48%55.69B |
-Cash and cash equivalents | -11.35%23.8B | -3.97%24.68B | -10.18%32.95B | -10.18%32.95B | -41.26%31.01B | -37.67%26.84B | -46.41%25.7B | -35.68%36.69B | -35.68%36.69B | -42.56%52.8B |
-Short-term investments | -52.56%1.8B | 6.98%3.34B | -9.14%3.27B | -9.14%3.27B | 65.01%4.78B | 81.60%3.79B | 73.00%3.12B | 221.96%3.59B | 221.96%3.59B | 76.07%2.89B |
Receivables | -4.51%40.94B | 0.29%40.3B | 12.22%43.38B | 12.22%43.38B | 16.06%41.06B | 19.80%42.88B | 16.29%40.18B | 14.64%38.65B | 14.64%38.65B | -7.66%35.38B |
-Accounts receivable | -4.44%40.73B | 0.34%40.14B | 12.35%43.22B | 12.35%43.22B | 16.05%40.81B | 20.99%42.62B | 28.98%40.01B | 28.44%38.47B | 28.44%38.47B | -7.43%35.17B |
-Loans receivable | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --12.26M | --12.26M | ---- |
-Other receivables | -16.48%211.34M | -10.00%155.18M | -8.73%156.58M | -8.73%156.58M | 18.15%254.76M | -55.09%253.04M | -95.12%172.42M | -95.45%171.57M | -95.45%171.57M | 55.55%215.63M |
Inventory | 3.90%139.72B | 11.77%136.41B | 13.37%137.62B | 13.37%137.62B | 19.71%140.26B | 23.43%134.48B | 23.55%122.05B | 33.30%121.39B | 33.30%121.39B | 13.73%117.16B |
Prepaid assets | -10.30%5.83B | 13.71%8.54B | -3.30%7.8B | -3.30%7.8B | -17.33%6.35B | 1.28%6.5B | 27.57%7.51B | 18.81%8.07B | 18.81%8.07B | -4.03%7.68B |
Restricted cash | -24.05%167.89M | -22.43%171.45M | -5.88%258.25M | -5.88%258.25M | -24.77%204.18M | -56.29%221.06M | -67.27%221.02M | -25.11%274.39M | -25.11%274.39M | 12.12%271.4M |
Other current assets | -0.52%8.04B | 6.62%7.95B | 0.57%7.92B | 0.57%7.92B | 20.67%9.1B | 28.10%8.08B | 38.84%7.46B | 71.82%7.87B | 71.82%7.87B | 19.05%7.54B |
Total current assets | -1.12%220.31B | 7.35%221.44B | 7.70%233.22B | 7.70%233.22B | 3.46%232.77B | 8.98%222.81B | 5.65%206.29B | 11.24%216.55B | 11.24%216.55B | -9.83%224.98B |
Non current assets | ||||||||||
Net PPE | 2.50%307.22B | 17.46%309.12B | 18.61%312.55B | 18.61%312.55B | 19.33%306.74B | 21.68%299.73B | 10.79%263.16B | 13.34%263.52B | 13.34%263.52B | -1.93%257.06B |
-Gross PPE | 2.50%307.22B | 17.46%309.12B | 16.39%439.97B | 16.39%439.97B | 19.33%306.74B | 21.68%299.73B | 10.79%263.16B | 15.06%378.01B | 15.06%378.01B | -1.93%257.06B |
-Accumulated depreciation | ---- | ---- | -11.30%-127.43B | -11.30%-127.43B | ---- | ---- | ---- | -19.22%-114.49B | -19.22%-114.49B | ---- |
Goodwill and other intangible assets | -9.58%75.26B | 1.77%74.48B | 2.36%76.23B | 2.36%76.23B | 14.36%86.82B | 15.40%83.23B | 4.61%73.18B | 9.98%74.47B | 9.98%74.47B | -27.69%75.92B |
-Goodwill | -10.56%61.8B | 2.58%61.29B | 3.21%62.77B | 3.21%62.77B | 16.56%72.2B | 18.01%69.1B | 5.81%59.75B | 11.46%60.82B | 11.46%60.82B | -31.27%61.94B |
-Other intangible assets | -4.82%13.45B | -1.82%13.19B | -1.40%13.46B | -1.40%13.46B | 4.61%14.62B | 4.14%14.13B | -0.40%13.43B | 3.85%13.65B | 3.85%13.65B | -6.01%13.98B |
Investments and advances | -0.09%270.76B | 0.72%270.28B | 2.32%272.05B | 2.32%272.05B | 10.20%279.07B | 7.83%270.99B | 5.44%268.34B | 6.23%265.87B | 6.23%265.87B | 80.47%253.25B |
Long-term notes receivables | --0 | --0 | --0 | --0 | --0 | --0 | --0 | -25.00%36.79M | -25.00%36.79M | 5.14%49.05M |
Financial assets | ---- | 114.31%2.98B | 2,493.38%3.72B | 2,493.38%3.72B | ---- | ---- | --1.39B | --143.61M | --143.61M | --178.79M |
Non current deferred assets | 26.18%5.21B | -5.36%4.77B | -3.12%4.58B | -3.12%4.58B | -0.85%4.6B | 11.31%4.13B | 57.83%5.04B | 60.46%4.73B | 60.46%4.73B | 52.20%4.64B |
Other non current assets | 4.34%17.15B | 17.04%17.14B | 23.55%16.7B | 23.55%16.7B | 24.99%16.65B | 30.87%16.44B | 19.22%14.64B | 11.48%13.52B | 11.48%13.52B | 7.03%13.32B |
Total non current assets | 0.40%683.54B | 8.85%686.69B | 10.35%693.77B | 10.35%693.77B | 15.46%700.08B | 15.83%680.82B | 8.91%630.84B | 10.87%628.69B | 10.87%628.69B | 15.61%606.37B |
Total assets | 0.02%903.85B | 8.48%908.13B | 9.67%926.99B | 9.67%926.99B | 12.21%932.85B | 14.06%903.63B | 8.09%837.12B | 10.97%845.24B | 10.97%845.24B | 7.41%831.34B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -13.88%41.77B | 3.70%49.46B | 15.57%53.27B | 15.57%53.27B | 25.59%48.99B | 18.12%48.5B | -28.51%47.7B | 30.74%46.1B | 30.74%46.1B | 10.11%39.01B |
-accounts payable | -12.92%40.13B | 2.06%46.57B | 14.86%50.96B | 14.86%50.96B | 24.68%46.42B | 20.48%46.08B | 24.74%45.63B | 37.32%44.37B | 37.32%44.37B | 15.53%37.23B |
-Total tax payable | -32.28%1.64B | 39.80%2.89B | 33.80%2.31B | 33.80%2.31B | 44.54%2.58B | -13.94%2.42B | -39.45%2.07B | -41.38%1.73B | -41.38%1.73B | -44.37%1.78B |
Current accrued expenses | 0.75%13.72B | 23.19%14.76B | 6.81%13.07B | 6.81%13.07B | 10.45%15.85B | 12.18%13.61B | 26.08%11.98B | 31.08%12.23B | 31.08%12.23B | -14.94%14.35B |
Current debt and capital lease obligation | 27.87%205.84B | 15.54%174.73B | 40.74%188.47B | 40.74%188.47B | 22.76%163B | 39.09%160.98B | 95.19%151.23B | -7.15%133.92B | -7.15%133.92B | -12.88%132.78B |
-Current debt | 28.42%200.68B | 15.65%169.66B | 41.76%183.55B | 41.76%183.55B | 23.17%158.03B | 40.01%156.27B | 100.49%146.7B | -7.55%129.48B | -7.55%129.48B | -13.32%128.3B |
-Current capital lease obligation | 9.34%5.16B | 11.94%5.07B | 10.86%4.92B | 10.86%4.92B | 10.77%4.97B | 14.20%4.72B | 5.18%4.53B | 6.39%4.44B | 6.39%4.44B | 2.27%4.49B |
Other current liabilities | -0.08%11.79B | -8.27%9.7B | 4.15%12.16B | 4.15%12.16B | -5.36%12.02B | -29.95%11.8B | -23.13%10.58B | -23.83%11.68B | -23.83%11.68B | -12.95%12.7B |
Current liabilities | 16.27%273.12B | 12.27%248.66B | 30.92%266.98B | 30.92%266.98B | 20.63%239.86B | 26.43%234.9B | 32.26%221.49B | -0.11%203.93B | -0.11%203.93B | -9.33%198.84B |
Non current liabilities | ||||||||||
Long term provisions | -37.11%2.03B | -10.81%2.19B | 0.90%2.6B | 0.90%2.6B | 38.19%3.28B | 28.69%3.24B | -5.26%2.45B | 4.24%2.57B | 4.24%2.57B | -35.30%2.37B |
Long term debt and capital lease obligation | -7.46%320.26B | 2.39%340.68B | 0.42%332.08B | 0.42%332.08B | 12.26%365.33B | 15.35%346.07B | 8.49%332.74B | 21.63%330.7B | 21.63%330.7B | 16.21%325.43B |
-Long term debt | -7.68%291.44B | 2.36%310.66B | 0.09%301.5B | 0.09%301.5B | 12.92%333.4B | 15.99%315.68B | 9.06%303.51B | 23.36%301.24B | 23.36%301.24B | 17.48%295.26B |
-Long term capital lease obligation | -5.17%28.82B | 2.68%30.02B | 3.80%30.58B | 3.80%30.58B | 5.79%31.93B | 9.14%30.39B | 2.88%29.24B | 6.39%29.46B | 6.39%29.46B | 5.14%30.18B |
Non current deferred liabilities | 21.39%15.58B | 76.88%15.79B | 83.52%16.34B | 83.52%16.34B | 51.66%13.07B | 37.91%12.84B | -0.87%8.93B | -0.66%8.9B | -0.66%8.9B | -13.84%8.61B |
Employee benefits | -3.58%9.49B | -3.83%9.29B | -4.26%9.15B | -4.26%9.15B | -18.51%9.08B | -10.82%9.84B | -10.38%9.66B | -9.44%9.56B | -9.44%9.56B | 3.05%11.14B |
Derivative product liabilities | ---- | ---- | --0 | --0 | --0 | --0 | ---- | -84.84%230.48M | -84.84%230.48M | ---- |
Other non current liabilities | --7.27M | -88.35%16.46M | -437.69%-699K | -437.69%-699K | ---- | ---- | --141.19M | -146.59%-130K | -146.59%-130K | --733.83M |
Total non current liabilities | -6.62%347.37B | 3.97%367.97B | 2.33%360.17B | 2.33%360.17B | 12.19%390.74B | 14.93%371.98B | 7.22%353.93B | 19.15%351.96B | 19.15%351.96B | 13.84%348.29B |
Total liabilities | 2.24%620.49B | 7.16%616.63B | 12.82%627.14B | 12.82%627.14B | 15.26%630.61B | 19.12%606.88B | 15.65%575.41B | 11.28%555.89B | 11.28%555.89B | 4.17%547.14B |
Shareholders'equity | ||||||||||
Share capital | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B |
-common stock | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B | 0.00%8.61B |
Retained earnings | -2.10%129.66B | 3.24%134.47B | 6.34%136.92B | 6.34%136.92B | 14.74%134.85B | 4.78%132.44B | 3.00%130.25B | 7.40%128.76B | 7.40%128.76B | 3.82%117.53B |
Paid-in capital | -0.00%60.85B | -0.06%60.85B | -0.06%60.85B | -0.06%60.85B | -0.06%60.85B | -0.06%60.85B | 0.19%60.88B | 0.19%60.88B | 0.19%60.88B | 0.19%60.88B |
Less: Treasury stock | 33.97%13.84B | 10.47%11.41B | 7.92%11.15B | 7.92%11.15B | 1.54%10.33B | 14.84%10.33B | 14.84%10.33B | 14.84%10.33B | 14.84%10.33B | 13.10%10.18B |
Gains losses not affecting retained earnings | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M | 0.00%929.17M |
Other equity interest | -11.79%52.5B | 87.53%54.18B | 110.52%59.89B | 110.52%59.89B | 95.65%62.76B | 170.38%59.52B | 78.39%28.89B | 165.09%28.45B | 165.09%28.45B | 124.46%32.08B |
Total stockholders'equity | -5.28%238.71B | 12.95%247.63B | 17.83%256.05B | 17.83%256.05B | 22.78%257.67B | 20.10%252.01B | 7.49%219.24B | 13.22%217.3B | 13.22%217.3B | 11.15%209.85B |
Noncontrolling interests | -0.19%44.65B | 3.31%43.88B | -39.22%43.79B | -39.22%43.79B | -40.05%44.58B | -38.66%44.73B | -41.78%42.47B | 2.57%72.05B | 2.57%72.05B | 24.01%74.35B |
Total equity | -4.51%283.36B | 11.39%291.5B | 3.63%299.84B | 3.63%299.84B | 6.35%302.25B | 4.94%296.75B | -5.49%261.71B | 10.36%289.35B | 10.36%289.35B | 14.25%284.21B |
Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |
Paper Trade
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