BERRY GLOBAL GROUP, INC.BERY

Market cap
$7.7B
P/E ratio
14.9x
Sep 29,
2012
Sep 28,
2013
Sep 27,
2014
Sep 26,
2015
Oct 1,
2016
Sep 30,
2017
Sep 29,
2018
Sep 28,
2019
Sep 26,
2020
Oct 2,
2021
Oct 1,
2022
Sep 30,
2023
Sep 28,
2024
Net income2576386236340496404559733766609516
Depreciation246236256259382367384419545566562575623
Amortization of intangibles10910510291143154154194300288257243234
Non-cash interest (income) expense-----94127326-61-79
Share-based compensation expense--1521202023273340394246
Deferred income tax-22-426315-86-52-96-73-48-117-96
Other non-cash operating activities, net663-16-15-161-42-4922-22-22
Loss on divestitures-------------57
Settlement of derivatives----------2013626
Accounts receivable-95-3-5-46344153-150-4933186-29418
Inventories-3743-19-74-9-1079-99-486393-34331
Prepaid expenses and other assets7-1518-21-27-18-141230-11-118
Accounts payable and other liabilities-53-4130-60495997-3524945-120-372123
Net cash from operating activities479464530--9751,0041,2011,5301,5801,5631,6151,405
Additions to property, plant and equipment, net230239215180288269336399583676687689551
Acquisition of businesses-------6,079---8768
Divestiture of businesses-------326-165128-47
Net proceeds from settlement of derivatives--------281-76--
Net cash from investing activities-255-245-422---774-1,035-6,251-316-511-483-776-572
Proceeds from long-term borrowings21,3911,6276932,4904954986,7841,2022,716-4963,150
Repayment of long-term borrowings1751,9781,6879515246363351,2142,4363,496228693,884
Proceeds from issuance of common stock-271718263123553060273648
Repurchase of common stock6-----3374--709601120
Dividends paid-----------127139
Debt financing costs-3944864053871621-621
Net cash from financing activities-179-164-119---2261135,426-1,220-741-704-1,071-966
Effect of currency translation on cash--------7613-572525
Net change in cash and cash equivalents-------369-341319-207-108