Annual CFI
-$412.59 M
-$37.48 M-9.99%
01 May 2024
Summary:
Cal-Maine Foods annual cash flow from investing activities is currently -$412.59 million, with the most recent change of -$37.48 million (-9.99%) on 01 May 2024. During the last 3 years, it has fallen by -$368.39 million (-833.64%). CALM annual CFI is now -882.39% below its all-time high of $52.73 million, reached on 01 May 2017.CALM Cash From Investing Chart
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Quarterly CFI
-$135.87 M
+$158.28 M+53.81%
31 August 2024
Summary:
Cal-Maine Foods quarterly cash flow from investing activities is currently -$135.87 million, with the most recent change of +$158.28 million (+53.81%) on 31 August 2024. Over the past year, it has dropped by -$87.79 million (-182.61%). CALM quarterly CFI is now -267.99% below its all-time high of $80.88 million, reached on 01 August 2023.CALM Quarterly CFI Chart
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TTM CFI
-$629.34 M
-$216.75 M-52.53%
31 August 2024
Summary:
Cal-Maine Foods TTM cash flow from investing activities is currently -$629.34 million, with the most recent change of -$216.75 million (-52.53%) on 31 August 2024. Over the past year, it has dropped by -$433.73 million (-221.74%). CALM TTM CFI is now -1248.91% below its all-time high of $54.78 million, reached on 25 February 2017.CALM TTM CFI Chart
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CALM Cash From Investing Performance
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -10.0% | -182.6% | -221.7% |
3 y3 years | -833.6% | -1290.7% | -1148.3% |
5 y5 years | -762.8% | -555.2% | -2677.6% |
CALM Cash From Investing High & Low
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3 years | -833.6% | at low | -268.0% | +53.8% | -1148.3% | at low |
5 y | 5 years | -833.6% | at low | -268.0% | +53.8% | <-9999.0% | at low |
alltime | all time | -882.4% | at low | -268.0% | +53.8% | -1248.9% | at low |
Cal-Maine Foods Cash From Investing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Aug 2024 | - | -$135.87 M(-53.8%) | -$629.34 M(+52.5%) |
May 2024 | -$412.59 M(+10.0%) | -$294.15 M(+94.5%) | -$412.59 M(+330.1%) |
Feb 2024 | - | -$151.24 M(+214.6%) | -$95.93 M(-51.0%) |
Nov 2023 | - | -$48.08 M(-159.4%) | -$195.61 M(-16.8%) |
Aug 2023 | - | $80.88 M(+259.3%) | -$235.11 M(-37.3%) |
May 2023 | -$375.11 M(+220.6%) | $22.51 M(-109.0%) | -$375.11 M(-17.3%) |
Feb 2023 | - | -$250.92 M(+186.5%) | -$453.33 M(+90.9%) |
Nov 2022 | - | -$87.58 M(+48.1%) | -$237.47 M(+48.7%) |
Aug 2022 | - | -$59.12 M(+6.1%) | -$159.66 M(+36.4%) |
May 2022 | -$117.02 M(+164.8%) | -$55.71 M(+58.9%) | -$117.02 M(+75.8%) |
Feb 2022 | - | -$35.05 M(+258.8%) | -$66.58 M(+32.1%) |
Nov 2021 | - | -$9.77 M(-40.7%) | -$50.42 M(+25.4%) |
Aug 2021 | - | -$16.48 M(+212.9%) | -$40.20 M(-9.0%) |
May 2021 | -$44.19 M(-28.0%) | -$5.27 M(-72.1%) | -$44.19 M(-68.1%) |
Feb 2021 | - | -$18.89 M(-4384.1%) | -$138.56 M(+38.5%) |
Nov 2020 | - | $441.00 K(-102.2%) | -$100.04 M(-17.5%) |
Aug 2020 | - | -$20.47 M(-79.5%) | -$121.22 M(+97.5%) |
May 2020 | -$61.37 M(+28.3%) | -$99.64 M(-607.7%) | -$61.37 M(-1758.5%) |
Feb 2020 | - | $19.63 M(-194.6%) | $3.70 M(-116.3%) |
Nov 2019 | - | -$20.74 M(-152.7%) | -$22.66 M(+262.9%) |
Aug 2019 | - | $39.38 M(-213.9%) | -$6.24 M(-86.9%) |
May 2019 | -$47.82 M(-70.8%) | -$34.57 M(+413.5%) | -$47.82 M(-61.5%) |
Feb 2019 | - | -$6.73 M(+55.8%) | -$124.14 M(+12.9%) |
Nov 2018 | - | -$4.32 M(+97.3%) | -$109.93 M(-42.1%) |
Aug 2018 | - | -$2.19 M(-98.0%) | -$189.86 M(+15.9%) |
May 2018 | -$163.85 M(-410.7%) | -$110.89 M(-1584.1%) | -$163.85 M(+145.3%) |
Feb 2018 | - | $7.47 M(-108.9%) | -$66.79 M(-3.9%) |
Nov 2017 | - | -$84.25 M(-453.7%) | -$69.53 M(-433.3%) |
Aug 2017 | - | $23.82 M(-272.2%) | $20.86 M(-60.4%) |
May 2017 | $52.73 M(-124.1%) | -$13.83 M(-392.0%) | $52.73 M(-3.7%) |
Feb 2017 | - | $4.74 M(-22.8%) | $54.78 M(+7.2%) |
Nov 2016 | - | $6.14 M(-89.0%) | $51.08 M(-154.5%) |
Aug 2016 | - | $55.69 M(-572.5%) | -$93.74 M(-57.2%) |
May 2016 | -$219.15 M(+54.7%) | -$11.79 M(-1232.1%) | -$219.15 M(-12.9%) |
Feb 2016 | - | $1.04 M(-100.8%) | -$251.70 M(-16.9%) |
Nov 2015 | - | -$138.69 M(+98.9%) | -$302.84 M(+62.1%) |
Aug 2015 | - | -$69.71 M(+57.2%) | -$186.86 M(+31.9%) |
May 2015 | -$141.63 M(+42.5%) | -$44.34 M(-11.5%) | -$141.63 M(+5.6%) |
Feb 2015 | - | -$50.10 M(+120.7%) | -$134.15 M(+3.0%) |
Nov 2014 | - | -$22.71 M(-7.3%) | -$130.25 M(-1.5%) |
Aug 2014 | - | -$24.49 M(-33.6%) | -$132.18 M(+33.0%) |
May 2014 | -$99.38 M(+12.5%) | -$36.86 M(-20.2%) | -$99.38 M(+29.1%) |
Feb 2014 | - | -$46.20 M(+87.5%) | -$76.98 M(+1.1%) |
Nov 2013 | - | -$24.64 M(-396.4%) | -$76.17 M(+63.9%) |
Aug 2013 | - | $8.31 M(-157.5%) | -$46.48 M(-47.4%) |
May 2013 | -$88.34 M(+226.6%) | -$14.45 M(-68.2%) | -$88.34 M(+49.0%) |
Feb 2013 | - | -$45.39 M(-999.8%) | -$59.28 M(+4.0%) |
Nov 2012 | - | $5.04 M(-115.0%) | -$57.01 M(-32.3%) |
Aug 2012 | - | -$33.54 M(-329.6%) | -$84.16 M(+211.1%) |
May 2012 | -$27.05 M(-11.6%) | $14.61 M(-133.9%) | -$27.05 M(-17.8%) |
Feb 2012 | - | -$43.12 M(+95.1%) | -$32.90 M(+71.8%) |
Nov 2011 | - | -$22.10 M(-193.8%) | -$19.15 M(+39.5%) |
Aug 2011 | - | $23.57 M(+169.3%) | -$13.72 M(-55.2%) |
May 2011 | -$30.61 M(-50.3%) | $8.75 M(-129.8%) | -$30.61 M(-55.2%) |
Feb 2011 | - | -$29.37 M(+76.1%) | -$68.31 M(-0.3%) |
Nov 2010 | - | -$16.68 M(-349.4%) | -$68.50 M(+15.8%) |
Aug 2010 | - | $6.69 M(-123.1%) | -$59.15 M(-3.9%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
May 2010 | -$61.55 M(-49.8%) | -$28.95 M(-2.0%) | -$61.55 M(+34.4%) |
Feb 2010 | - | -$29.55 M(+303.1%) | -$45.78 M(+97.5%) |
Nov 2009 | - | -$7.33 M(-271.1%) | -$23.19 M(-72.2%) |
Aug 2009 | - | $4.28 M(-132.5%) | -$83.43 M(-31.9%) |
May 2009 | -$122.49 M(+290.9%) | -$13.18 M(+89.5%) | -$122.49 M(+9.5%) |
Feb 2009 | - | -$6.96 M(-89.7%) | -$111.84 M(+7.8%) |
Nov 2008 | - | -$67.58 M(+94.3%) | -$103.76 M(+93.1%) |
Aug 2008 | - | -$34.78 M(+1277.4%) | -$53.75 M(+71.5%) |
May 2008 | -$31.34 M(-36.4%) | -$2.52 M(-325.4%) | -$31.34 M(-44.4%) |
Feb 2008 | - | $1.12 M(-106.4%) | -$56.33 M(-31.3%) |
Nov 2007 | - | -$17.56 M(+42.0%) | -$81.94 M(+15.5%) |
Aug 2007 | - | -$12.37 M(-55.1%) | -$70.97 M(+44.1%) |
May 2007 | -$49.27 M(+115.5%) | -$27.52 M(+12.3%) | -$49.27 M(+78.9%) |
Feb 2007 | - | -$24.50 M(+271.4%) | -$27.54 M(+23.2%) |
Nov 2006 | - | -$6.59 M(-170.6%) | -$22.35 M(-22.1%) |
Aug 2006 | - | $9.34 M(-261.5%) | -$28.68 M(+25.4%) |
May 2006 | -$22.87 M(-3.3%) | -$5.78 M(-70.1%) | -$22.87 M(-66.2%) |
Feb 2006 | - | -$19.31 M(+49.4%) | -$67.73 M(+41.8%) |
Nov 2005 | - | -$12.92 M(-185.3%) | -$47.76 M(+158.9%) |
Aug 2005 | - | $15.15 M(-129.9%) | -$18.45 M(-22.0%) |
May 2005 | -$23.66 M(-46.3%) | -$50.65 M(-7727.4%) | -$23.66 M(+178.8%) |
Feb 2005 | - | $664.00 K(-95.9%) | -$8.49 M(-38.1%) |
Nov 2004 | - | $16.39 M(+64.9%) | -$13.71 M(-56.8%) |
Aug 2004 | - | $9.94 M(-128.0%) | -$31.75 M(-27.9%) |
May 2004 | -$44.03 M(+272.7%) | -$35.48 M(+677.6%) | -$44.03 M(+296.5%) |
Feb 2004 | - | -$4.56 M(+176.5%) | -$11.10 M(+27.3%) |
Nov 2003 | - | -$1.65 M(-29.5%) | -$8.72 M(-17.2%) |
Aug 2003 | - | -$2.34 M(-8.3%) | -$10.53 M(-10.8%) |
May 2003 | -$11.81 M(-17.8%) | -$2.55 M(+17.0%) | -$11.81 M(-2.7%) |
Feb 2003 | - | -$2.18 M(-36.9%) | -$12.14 M(-4.5%) |
Nov 2002 | - | -$3.46 M(-4.5%) | -$12.71 M(+5.1%) |
Aug 2002 | - | -$3.62 M(+25.8%) | -$12.09 M(-15.9%) |
May 2002 | -$14.38 M(+10.9%) | -$2.88 M(+4.5%) | -$14.38 M(-14.4%) |
Feb 2002 | - | -$2.75 M(-3.2%) | -$16.79 M(+29.5%) |
Nov 2001 | - | -$2.84 M(-51.8%) | -$12.96 M(-0.1%) |
Aug 2001 | - | -$5.90 M(+11.6%) | -$12.98 M(+0.2%) |
May 2001 | -$12.96 M(-78.4%) | -$5.29 M(-593.7%) | -$12.96 M(+5.0%) |
Feb 2001 | - | $1.07 M(-137.4%) | -$12.34 M(-43.4%) |
Nov 2000 | - | -$2.86 M(-51.3%) | -$21.81 M(-64.0%) |
Aug 2000 | - | -$5.88 M(+26.0%) | -$60.55 M(+1.0%) |
May 2000 | -$59.97 M(+123.8%) | -$4.67 M(-44.5%) | -$59.97 M(-20.5%) |
Feb 2000 | - | -$8.40 M(-79.8%) | -$75.41 M(+7.0%) |
Nov 1999 | - | -$41.60 M(+684.9%) | -$70.50 M(+129.6%) |
Aug 1999 | - | -$5.30 M(-73.6%) | -$30.70 M(+14.6%) |
May 1999 | -$26.80 M(+48.1%) | -$20.10 M(+474.3%) | -$26.80 M(+117.9%) |
Feb 1999 | - | -$3.50 M(+94.4%) | -$12.30 M(+11.8%) |
Nov 1998 | - | -$1.80 M(+28.6%) | -$11.00 M(-23.6%) |
Aug 1998 | - | -$1.40 M(-75.0%) | -$14.40 M(-20.4%) |
May 1998 | -$18.10 M(-12.1%) | -$5.60 M(+154.5%) | -$18.10 M(-26.4%) |
Feb 1998 | - | -$2.20 M(-57.7%) | -$24.60 M(-4.3%) |
Nov 1997 | - | -$5.20 M(+2.0%) | -$25.70 M(+7.5%) |
Aug 1997 | - | -$5.10 M(-57.9%) | -$23.90 M(+16.0%) |
May 1997 | -$20.60 M(+171.1%) | -$12.10 M(+266.7%) | -$20.60 M(+142.4%) |
Feb 1997 | - | -$3.30 M(-2.9%) | -$8.50 M(+63.5%) |
Nov 1996 | - | -$3.40 M(+88.9%) | -$5.20 M(+188.9%) |
Aug 1996 | - | -$1.80 M | -$1.80 M |
May 1996 | -$7.60 M | - | - |
FAQ
- What is Cal-Maine Foods annual cash flow from investing activities?
- What is the all time high annual CFI for Cal-Maine Foods?
- What is Cal-Maine Foods annual CFI year-on-year change?
- What is Cal-Maine Foods quarterly cash flow from investing activities?
- What is the all time high quarterly CFI for Cal-Maine Foods?
- What is Cal-Maine Foods quarterly CFI year-on-year change?
- What is Cal-Maine Foods TTM cash flow from investing activities?
- What is the all time high TTM CFI for Cal-Maine Foods?
- What is Cal-Maine Foods TTM CFI year-on-year change?
What is Cal-Maine Foods annual cash flow from investing activities?
The current annual CFI of CALM is -$412.59 M
What is the all time high annual CFI for Cal-Maine Foods?
Cal-Maine Foods all-time high annual cash flow from investing activities is $52.73 M
What is Cal-Maine Foods annual CFI year-on-year change?
Over the past year, CALM annual cash flow from investing activities has changed by -$37.48 M (-9.99%)
What is Cal-Maine Foods quarterly cash flow from investing activities?
The current quarterly CFI of CALM is -$135.87 M
What is the all time high quarterly CFI for Cal-Maine Foods?
Cal-Maine Foods all-time high quarterly cash flow from investing activities is $80.88 M
What is Cal-Maine Foods quarterly CFI year-on-year change?
Over the past year, CALM quarterly cash flow from investing activities has changed by -$87.79 M (-182.61%)
What is Cal-Maine Foods TTM cash flow from investing activities?
The current TTM CFI of CALM is -$629.34 M
What is the all time high TTM CFI for Cal-Maine Foods?
Cal-Maine Foods all-time high TTM cash flow from investing activities is $54.78 M
What is Cal-Maine Foods TTM CFI year-on-year change?
Over the past year, CALM TTM cash flow from investing activities has changed by -$433.73 M (-221.74%)