US Stock MarketDetailed Quotes

The Simply Good Foods (SMPL)

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  • 11.550
  • +0.010+0.09%
Close May 15 16:00 ET
  • 11.550
  • 0.0000.00%
Post 16:10 ET
1.05BMarket Cap-10.22P/E (TTM)

The Simply Good Foods (SMPL) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2026
(Q1)Nov 29, 2025
(FY)Aug 30, 2025
(Q4)Aug 30, 2025
(Q3)May 31, 2025
(Q2)Mar 1, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 25, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-74.08%8.1M
56.44%50.09M
-17.27%178.46M
-7.31%45.37M
-4.05%69.82M
-32.76%31.25M
-32.62%32.02M
26.06%215.7M
-19.37%48.95M
27.51%72.76M
Net income from continuing operations
-534.59%-159.7M
-33.72%25.27M
-25.62%103.61M
-142.19%-12.36M
-0.56%41.1M
10.94%36.75M
7.20%38.12M
4.29%139.31M
-20.06%29.29M
16.66%41.33M
Operating gains losses
-252.00%-190K
147.50%57K
257.68%421K
203.95%79K
2,708.33%337K
443.48%125K
46.90%-120K
-177.62%-267K
-118.18%-76K
106.67%12K
Depreciation and amortization
8.60%7.36M
14.28%7.69M
1.11%28.29M
11.30%7.62M
4.57%7.17M
-2.33%6.78M
-8.38%6.73M
3.71%27.98M
-1.04%6.85M
0.40%6.86M
Deferred tax
-2,154.73%-63M
4.80%3.54M
-99.96%3K
-161.23%-10.58M
-11.74%4.14M
-15.72%3.07M
-17.38%3.37M
-21.00%8.37M
-266.18%-4.05M
-3.24%4.69M
Other non cash items
258.13%3.64M
-224.04%-129K
-13.65%2.61M
141.59%215K
-58.80%1.28M
512.60%1.02M
-84.84%104K
-9.16%3.03M
-192.32%-517K
116.47%3.1M
Change In working capital
-61.66%-33.6M
150.89%10.57M
-273.16%-32.93M
-124.55%-3M
-5.57%11.64M
-1,397.48%-20.79M
-401.76%-20.78M
202.79%19.02M
-6.96%12.22M
168.31%12.32M
-Change in receivables
184.23%5.98M
53,285.07%35.77M
-260.83%-14.68M
-224.94%-12.3M
288.79%4.65M
39.77%-7.1M
-99.32%67K
168.26%9.13M
24,712.50%9.85M
-53.41%1.2M
-Change in inventory
-27.00%-11.8M
-3.41%-13.61M
-288.31%-25.85M
-161.89%-2.66M
-108.60%-740K
-223.53%-9.29M
-96.40%-13.16M
68.03%13.73M
138.16%4.3M
2.65%8.6M
-Change in prepaid assets
75.12%-804K
378.91%2.67M
-229.47%-1.51M
-96.98%105K
-17.88%2.58M
43.36%-3.23M
-472.76%-958K
189.13%1.16M
719.07%3.47M
124.14%3.14M
-Change in payables and accrued expense
-3,388.44%-15.36M
-578.73%-24.28M
434.99%14.72M
297.86%12.85M
146.13%4.99M
-98.09%467K
68.92%-3.58M
66.07%-4.4M
-135.46%-6.49M
-15.88%-10.81M
-Change in other current assets
-2,109.05%-8.22M
873.21%10.79M
-239.08%-6.89M
-325.58%-6.11M
-98.22%204K
102.84%409K
-126.99%-1.4M
-27.50%4.96M
-67.87%2.71M
358.54%11.47M
-Change in other working capital
-66.19%-3.4M
55.72%-778K
122.98%1.28M
417.41%5.12M
96.85%-40K
-41.17%-2.05M
-42.61%-1.76M
5.23%-5.57M
6.54%-1.61M
-37.49%-1.27M
Cash from discontinued investing activities
Operating cash flow
-74.08%8.1M
56.44%50.09M
-17.27%178.46M
-7.31%45.37M
-4.05%69.82M
-32.76%31.25M
-32.62%32.02M
26.06%215.7M
-19.37%48.95M
27.51%72.76M
Investing cash flow
Cash flow from continuing investing activities
-927.65%-5.54M
-213.30%-2.1M
92.70%-20.93M
93.41%-18.74M
-105.44%-2.19M
239.96%669K
16.38%-669K
-2,253.81%-286.88M
-16,233.93%-284.54M
87.47%-1.07M
Net PPE purchase and sale
-1,018.59%-5.54M
-582.74%-2.1M
-257.69%-20.54M
-361.61%-18.03M
-128.23%-1.71M
-44.31%-495K
58.74%-307K
50.43%-5.74M
-164.39%-3.91M
91.03%-751K
Net intangibles purchase and sale
--0
--0
-188.08%-2.1M
-220.18%-714K
-51.27%-478K
-306.67%-549K
-546.43%-362K
-21.06%-730K
15.85%-223K
-120.98%-316K
Net business purchase and sale
----
----
100.61%1.71M
--0
--0
----
----
---280.41M
---280.41M
--0
Cash from discontinued investing activities
Investing cash flow
-927.65%-5.54M
-213.30%-2.1M
92.70%-20.93M
93.41%-18.74M
-105.44%-2.19M
239.96%669K
16.38%-669K
-2,253.81%-286.88M
-16,233.93%-284.54M
87.47%-1.07M
Financing cash flow
Cash flow from continuing financing activities
-78.65%-89.42M
212.49%47.62M
-264.97%-191.21M
-116.30%-26M
-6,799.17%-72.82M
-58.64%-50.06M
-223.06%-42.33M
183.66%115.9M
499.14%159.47M
102.54%1.09M
Net issuance payments of debt
--0
400.00%150M
-230.60%-150M
--0
-227,172.73%-50M
-42.61%-50M
-396.97%-50M
194.32%114.86M
499.39%160M
99.95%-22K
Net common stock issuance
---88.54M
---99.64M
---50.89M
---26.55M
---24.34M
--0
--0
--0
--0
----
Proceeds from stock option exercised by employees
--0
-89.42%1.06M
200.89%12.92M
96,000.00%961K
42.52%1.82M
-94.96%152K
--9.98M
-18.18%4.29M
-99.53%1K
423.36%1.28M
Net other financing activities
-325.12%-880K
-64.10%-3.8M
0.34%-3.24M
22.12%-412K
-79.76%-302K
-142.07%-207K
23.90%-2.32M
41.53%-3.25M
-408.65%-529K
94.49%-168K
Cash from discontinued financing activities
Financing cash flow
-78.65%-89.42M
212.49%47.62M
-264.97%-191.21M
-116.30%-26M
-6,799.17%-72.82M
-58.64%-50.06M
-223.06%-42.33M
183.66%115.9M
499.14%159.47M
102.54%1.09M
Net cash flow
Beginning cash position
59.37%194.05M
-25.70%98.47M
51.09%132.53M
-53.03%98.01M
-23.69%103.68M
0.30%121.76M
51.09%132.53M
29.96%87.72M
203.34%208.68M
114.97%135.88M
Current changes in cash
-378.83%-86.86M
970.91%95.62M
-175.31%-33.68M
100.83%631K
-107.13%-5.19M
-225.65%-18.14M
-132.66%-10.98M
119.26%44.72M
-500.41%-76.12M
1,180.73%72.78M
Effect of exchange rate changes
301.59%253K
-116.35%-34K
-515.22%-382K
-418.18%-171K
-2,395.24%-482K
31.25%63K
271.43%208K
152.27%92K
62.92%-33K
121.88%21K
End cash Position
3.63%107.44M
59.37%194.05M
-25.70%98.47M
-25.70%98.47M
-53.03%98.01M
-23.69%103.68M
0.30%121.76M
51.09%132.53M
51.09%132.53M
203.34%208.68M
Free cash flow
-91.51%2.56M
53.09%48M
-25.53%155.81M
-40.59%26.63M
-5.68%67.63M
-34.33%30.2M
-32.90%31.35M
31.65%209.23M
-23.98%44.82M
47.67%71.7M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
--
--
(Q2)Feb 28, 2026(Q1)Nov 29, 2025(FY)Aug 30, 2025(Q4)Aug 30, 2025(Q3)May 31, 2025(Q2)Mar 1, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 25, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -74.08%8.1M56.44%50.09M-17.27%178.46M-7.31%45.37M-4.05%69.82M-32.76%31.25M-32.62%32.02M26.06%215.7M-19.37%48.95M27.51%72.76M
Net income from continuing operations -534.59%-159.7M-33.72%25.27M-25.62%103.61M-142.19%-12.36M-0.56%41.1M10.94%36.75M7.20%38.12M4.29%139.31M-20.06%29.29M16.66%41.33M
Operating gains losses -252.00%-190K147.50%57K257.68%421K203.95%79K2,708.33%337K443.48%125K46.90%-120K-177.62%-267K-118.18%-76K106.67%12K
Depreciation and amortization 8.60%7.36M14.28%7.69M1.11%28.29M11.30%7.62M4.57%7.17M-2.33%6.78M-8.38%6.73M3.71%27.98M-1.04%6.85M0.40%6.86M
Deferred tax -2,154.73%-63M4.80%3.54M-99.96%3K-161.23%-10.58M-11.74%4.14M-15.72%3.07M-17.38%3.37M-21.00%8.37M-266.18%-4.05M-3.24%4.69M
Other non cash items 258.13%3.64M-224.04%-129K-13.65%2.61M141.59%215K-58.80%1.28M512.60%1.02M-84.84%104K-9.16%3.03M-192.32%-517K116.47%3.1M
Change In working capital -61.66%-33.6M150.89%10.57M-273.16%-32.93M-124.55%-3M-5.57%11.64M-1,397.48%-20.79M-401.76%-20.78M202.79%19.02M-6.96%12.22M168.31%12.32M
-Change in receivables 184.23%5.98M53,285.07%35.77M-260.83%-14.68M-224.94%-12.3M288.79%4.65M39.77%-7.1M-99.32%67K168.26%9.13M24,712.50%9.85M-53.41%1.2M
-Change in inventory -27.00%-11.8M-3.41%-13.61M-288.31%-25.85M-161.89%-2.66M-108.60%-740K-223.53%-9.29M-96.40%-13.16M68.03%13.73M138.16%4.3M2.65%8.6M
-Change in prepaid assets 75.12%-804K378.91%2.67M-229.47%-1.51M-96.98%105K-17.88%2.58M43.36%-3.23M-472.76%-958K189.13%1.16M719.07%3.47M124.14%3.14M
-Change in payables and accrued expense -3,388.44%-15.36M-578.73%-24.28M434.99%14.72M297.86%12.85M146.13%4.99M-98.09%467K68.92%-3.58M66.07%-4.4M-135.46%-6.49M-15.88%-10.81M
-Change in other current assets -2,109.05%-8.22M873.21%10.79M-239.08%-6.89M-325.58%-6.11M-98.22%204K102.84%409K-126.99%-1.4M-27.50%4.96M-67.87%2.71M358.54%11.47M
-Change in other working capital -66.19%-3.4M55.72%-778K122.98%1.28M417.41%5.12M96.85%-40K-41.17%-2.05M-42.61%-1.76M5.23%-5.57M6.54%-1.61M-37.49%-1.27M
Cash from discontinued investing activities
Operating cash flow -74.08%8.1M56.44%50.09M-17.27%178.46M-7.31%45.37M-4.05%69.82M-32.76%31.25M-32.62%32.02M26.06%215.7M-19.37%48.95M27.51%72.76M
Investing cash flow
Cash flow from continuing investing activities -927.65%-5.54M-213.30%-2.1M92.70%-20.93M93.41%-18.74M-105.44%-2.19M239.96%669K16.38%-669K-2,253.81%-286.88M-16,233.93%-284.54M87.47%-1.07M
Net PPE purchase and sale -1,018.59%-5.54M-582.74%-2.1M-257.69%-20.54M-361.61%-18.03M-128.23%-1.71M-44.31%-495K58.74%-307K50.43%-5.74M-164.39%-3.91M91.03%-751K
Net intangibles purchase and sale --0--0-188.08%-2.1M-220.18%-714K-51.27%-478K-306.67%-549K-546.43%-362K-21.06%-730K15.85%-223K-120.98%-316K
Net business purchase and sale --------100.61%1.71M--0--0-----------280.41M---280.41M--0
Cash from discontinued investing activities
Investing cash flow -927.65%-5.54M-213.30%-2.1M92.70%-20.93M93.41%-18.74M-105.44%-2.19M239.96%669K16.38%-669K-2,253.81%-286.88M-16,233.93%-284.54M87.47%-1.07M
Financing cash flow
Cash flow from continuing financing activities -78.65%-89.42M212.49%47.62M-264.97%-191.21M-116.30%-26M-6,799.17%-72.82M-58.64%-50.06M-223.06%-42.33M183.66%115.9M499.14%159.47M102.54%1.09M
Net issuance payments of debt --0400.00%150M-230.60%-150M--0-227,172.73%-50M-42.61%-50M-396.97%-50M194.32%114.86M499.39%160M99.95%-22K
Net common stock issuance ---88.54M---99.64M---50.89M---26.55M---24.34M--0--0--0--0----
Proceeds from stock option exercised by employees --0-89.42%1.06M200.89%12.92M96,000.00%961K42.52%1.82M-94.96%152K--9.98M-18.18%4.29M-99.53%1K423.36%1.28M
Net other financing activities -325.12%-880K-64.10%-3.8M0.34%-3.24M22.12%-412K-79.76%-302K-142.07%-207K23.90%-2.32M41.53%-3.25M-408.65%-529K94.49%-168K
Cash from discontinued financing activities
Financing cash flow -78.65%-89.42M212.49%47.62M-264.97%-191.21M-116.30%-26M-6,799.17%-72.82M-58.64%-50.06M-223.06%-42.33M183.66%115.9M499.14%159.47M102.54%1.09M
Net cash flow
Beginning cash position 59.37%194.05M-25.70%98.47M51.09%132.53M-53.03%98.01M-23.69%103.68M0.30%121.76M51.09%132.53M29.96%87.72M203.34%208.68M114.97%135.88M
Current changes in cash -378.83%-86.86M970.91%95.62M-175.31%-33.68M100.83%631K-107.13%-5.19M-225.65%-18.14M-132.66%-10.98M119.26%44.72M-500.41%-76.12M1,180.73%72.78M
Effect of exchange rate changes 301.59%253K-116.35%-34K-515.22%-382K-418.18%-171K-2,395.24%-482K31.25%63K271.43%208K152.27%92K62.92%-33K121.88%21K
End cash Position 3.63%107.44M59.37%194.05M-25.70%98.47M-25.70%98.47M-53.03%98.01M-23.69%103.68M0.30%121.76M51.09%132.53M51.09%132.53M203.34%208.68M
Free cash flow -91.51%2.56M53.09%48M-25.53%155.81M-40.59%26.63M-5.68%67.63M-34.33%30.2M-32.90%31.35M31.65%209.23M-23.98%44.82M47.67%71.7M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----
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