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Greif, Inc. engages in the production and sale of industrial packaging products and services worldwide. It operates in three segments: Global Industrial Packaging; Paper Packaging & Services; and Land Management. The Global Industrial Packaging segment produces and sells industrial packaging products, including steel, fiber, and plastic drums; rigid and flexible intermediate bulk containers; closure systems for industrial packaging products; transit protection products; water bottles, and remanufactured and reconditioned industrial containers; and various services, such as container life cycle management, filling, logistics, warehousing, and other packaging services to chemicals, paints and pigments, food and beverage, petroleum, industrial coatings, agriculture, pharmaceuticals, mineral product, and other industries. This segment also offers flexible intermediate bulk containers and related services to the agriculture, construction, and food industries. The Paper Packaging & Services segment produces and sells containerboards, corrugated sheets and containers, and other corrugated and specialty products to customers in the packaging, automotive, food, and building products markets; and produces and sells coated and uncoated recycled paperboard, and recycled fiber. This segment’s corrugated container products are used to ship various products, such as home appliances, small machinery, grocery products, automotive components, books, and furniture, as well as various other applications. The Land Management segment engages in harvesting and regeneration of timber properties; and sale of timberland and special use properties. As of October 31, 2021, this segment owned approximately 175,000 acres of timber properties in the southeastern United States. The company was formerly known as Greif Bros. Corporation and changed its name to Greif, Inc. in 2001. Greif, Inc. was founded in 1877 and is headquartered in Delaware, Ohio.
CEO: Rosgaard, Ole G.
Market: NYSE
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GEF Greif
61.850+1.110+1.83%
Pre Mkt Price
61.85000.00%
YOY
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(Q1)2022/01/31(FY)2021/10/31(Q4)2021/10/31(Q3)2021/07/31
Assets
Current assets
Cash, cash equivalents and short term investments
18.05% 119.7M 17.66% 124.6M 17.66% 124.6M 1.32% 99.8M
-Cash and cash equivalents
18.05% 119.7M 17.66% 124.6M 17.66% 124.6M 1.32% 99.8M
Receivables
20.07% 816.1M 39.73% 889.5M 39.73% 889.5M 33.66% 834.7M
-Accounts receivable
20.07% 816.1M 39.73% 889.5M 39.73% 889.5M 33.66% 834.7M
Inventory
45.46% 488.3M 70.03% 499.2M 70.03% 499.2M 30.58% 456.5M
Prepaid assets
-1.33% 51.9M 25.58% 54M -- -- 67.35% 82M
Other current assets
-26.44% 88.2M -46.07% 89.9M -43.46% 150.8M -51.17% 87.3M
Total current assets
26.57% 1.7B 27.73% 1.66B 27.73% 1.66B 19.99% 1.57B
Non current assets
Net PPE
-4.67% 1.52B -1.48% 1.59B -1.3% 1.81B -4.91% 1.55B
-Gross PPE
-0.37% 3.09B 4.22% 3.17B -1.3% 1.81B 2.23% 3.13B
-Accumulated depreciation
-4.17% -1.57B -10.62% -1.59B -- -- -10.4% -1.57B
Goodwill and other intangible assets
-4.57% 2.13B -3.13% 2.16B -3.13% 2.16B -1.96% 2.19B
-Goodwill
-1.95% 1.5B -0.2% 1.52B -0.2% 1.52B 1.13% 1.52B
-Other intangible assets
-10.3% 628M -9.35% 648.4M -9.35% 648.4M -8.37% 665.4M
Non current deferred assets
-73.59% 7.5M 44.25% 16.3M -- -- 87.41% 26.8M
Defined pension benefit
55.73% 50.3M 35.25% 39.9M -- -- 15.75% 44.1M
Other non current assets
6.35% 360.1M 6.8% 345.7M 26.64% 177.3M -6.95% 343.9M
Total non current assets
-3.74% 4.06B -1.34% 4.15B -1.34% 4.15B -3.06% 4.16B
Total assets
3.59% 5.77B 5.53% 5.82B 5.53% 5.82B 2.32% 5.72B
Liabilities
Current liabilities
Payables
32.39% 619.6M 56.31% 704.5M 56.31% 704.5M 50.69% 657M
-accounts payable
32.39% 619.6M 56.31% 704.5M 56.31% 704.5M 50.69% 657M
Current accrued expenses
7.93% 102.1M 31.07% 160.3M -- -- 60.6% 138.6M
Current provisions
-12.37% 17M -6.02% 20.3M -- -- 2.5% 20.5M
Current debt and capital lease obligation
-8.46% 212M 10.3% 224.8M 10.3% 224.8M 47.4% 229.2M
-Current debt
-12.29% 157.7M 12.74% 170.8M 12.74% 170.8M 73.9% 177.9M
-Current capital lease obligation
4.83% 54.3M 3.25% 54M 3.25% 54M -3.57% 51.3M
Other current liabilities
86.43% 329.8M 1.24% 204.2M 11.34% 384.8M -9.53% 196.4M
Current liabilities
29.28% 1.28B 31.4% 1.31B 31.4% 1.31B 35.72% 1.24B
Non current liabilities
Long term provisions
3.55% 20.4M -3.47% 19.5M -- -- -1.52% 19.4M
Long term debt and capital lease obligation
-8.97% 2.38B -11.53% 2.29B -11.53% 2.29B -16.92% 2.33B
-Long term debt
-9.34% 2.14B -12.02% 2.05B -12.02% 2.05B -17.58% 2.09B
-Long term capital lease obligation
-5.39% 237M -7.06% 239.5M -7.06% 239.5M -10.73% 238.8M
Non current deferred liabilities
-12.53% 319.1M -6.25% 318M -- -- 11.66% 336.2M
Employee benefits
-31.62% 83.9M -40.19% 89.3M -- -- -37.5% 93.5M
Preferred securities outside stock equity
-- -- -- -- -- -- -59.52% 3.4M
Other non current liabilities
-41.48% 82.4M 0.72% 153.1M -12.8% 607.7M -8% 147.2M
Total non current liabilities
-11.67% 2.91B -11.8% 2.9B -11.8% 2.9B -14.8% 2.96B
Total liabilities
-2.21% 4.19B -1.73% 4.22B -1.73% 4.22B -4.26% 4.2B
Shareholders'equity
Share capital
4.45% 183.2M 5.35% 179.3M -- -- 5.24% 178.6M
-common stock
4.45% 183.2M 5.35% 179.3M -- -- 5.24% 178.6M
Retained earnings
17.57% 1.81B 18.25% 1.83B -- -- 14.83% 1.75B
Less: Treasury stock
-0.15% 134M -0.22% 134.1M -- -- -0.22% 134.1M
Gains losses not affecting retained earnings
2.41% -368.8M 16.61% -356.5M -- -- 17.06% -349.5M
Total stockholders'equity
23.89% 1.49B 31.43% 1.51B 31.43% 1.51B 26.95% 1.45B
Noncontrolling interests
8.63% 83.1M 24.67% 85.4M 24.67% 85.4M 12.9% 77M
Total equity
22.98% 1.58B 31.05% 1.6B 31.05% 1.6B 26.16% 1.53B
Currency Unit
USDUSDUSDUSD
Accounting Standards
US-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions
--Unqualified Opinion with Explanation----

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%