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Chs Inc (CHSCO) Financials

CHSCO
Trailing 12 months to May 31, 2026
Revenue $37.4B +3.8% YoY
Net Income $577.5M +12.6% YoY
Free Cash Flow $932.9M +388.9% YoY
Operating Cash Flow $1.5B +208.1% YoY
Source SEC Filings (10-K/10-Q) Latest period Q3 FY2026, ended May 31, 2026 Reported Currency USD FYE August

Newest figures come from the 10-Q for Q3 FY2026, filed Jul 8, 2026. Each column of the statement tables below links to the filing it was taken from, and every filing is listed on the CHSCO SEC filings page.

Chs Inc (CHSCO) reported $37.4B in revenue over the twelve months to May 31, 2026, up 3.8% from the prior twelve months. This page shows its income statement, balance sheet, cash flow statement, and key financial ratios. View 15 years of annual fundamentals and quarterly data, with year-over-year growth rates and compound annual growth rates (CAGR). All figures are derived from SEC filings (10-K and 10-Q reports).

Rhea AI CHSCO FY2025

Revenue contraction is exposing a thin-margin model where reinvestment consumes nearly all internally generated cash.

The business reached a less favorable margin structure by FY2025: gross margin was 3.2% and operating margin only 0.3%, after the stronger FY2023 period. With FY2025 SG&A at $1.0B against gross profit of $1.1B, overhead now absorbs nearly all gross profit before financing and taxes.

FY2025 net income of $598M was close to operating cash flow of $636M, indicating earnings broadly converted to cash. Yet capital expenditures of $729M drove free cash flow to -$93M, making reinvestment the cash constraint rather than a large accounting-to-cash gap.

The balance sheet became less debt-dependent even as operating returns weakened: debt-to-equity declined from 0.17x in FY2023 to 0.16x in FY2025, indicating deleveraging. Over the same span, return on assets fell from 10.0% to 3.2%, so the stronger equity cushion has not translated into efficient asset use.

[ NOT FINANCIAL ADVICE ]

Financial Health Signals

Financial health score not available

Chs Inc does not currently provide enough eligible data for a peer-relative financial health score, so none is published. The signals and metrics below are current.

Piotroski F-Score Partial
4/8

Chs Inc passes 4 of 8 computable financial strength tests (1 of the nine could not be computed from available data). 3 of 4 profitability signals pass, 1 of 2 leverage/liquidity signals pass, neither operating efficiency signal passes.

Earnings Quality Cash-Backed
1.06x

For every $1 of reported earnings, Chs Inc generates $1.06 in operating cash flow ($635.8M OCF vs $597.9M net income). This indicates profits are well-supported by actual cash generation, not accounting adjustments.

Interest Coverage At Risk
0.62x

Chs Inc earns $0.62 in operating income for every $1 of interest expense ($90.8M vs $146.1M). This narrow margin raises concern about the company's ability to service its debt if operating income declines.

Key Financial Metrics

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Earnings & Revenue

Revenue
$11.6B
YoY+18.6%
QoQ+38.6%
5Y CAGR+1.2%
10Y CAGR+4.0%

Chs Inc generated $11.6B in revenue in Q3 2026. This represents an increase of 18.6% from the same quarter a year earlier. Against the prior quarter it is up 38.6%.

EBITDA
$273.7M
YoY+18.8%
QoQ+495.7%
5Y CAGR+0.9%
10Y CAGR+0.3%

Chs Inc's EBITDA was $273.7M in Q3 2026, measuring earnings before interest, taxes, depreciation, and amortization. This represents an increase of 18.8% from the same quarter a year earlier. Against the prior quarter it is up 495.7%.

Net Income
$267.4M
YoY+15.2%
QoQ+281.8%
5Y CAGR-0.5%
10Y CAGR+3.5%

Chs Inc reported $267.4M in net income in Q3 2026. This represents an increase of 15.2% from the same quarter a year earlier. Against the prior quarter it is up 281.8%.

EPS (Diluted)

Not reported for Q3 2026.

Cash & Balance Sheet

Free Cash Flow
$984.7M
YoY+89.1%
QoQ+246.1%
5Y CAGR+18.1%

Chs Inc generated $984.7M in free cash flow in Q3 2026, representing cash available after capex. This represents an increase of 89.1% from the same quarter a year earlier. Against the prior quarter it is up 246.1%.

Cash & Debt
$497.6M
YoY+53.7%
QoQ+100.3%
5Y CAGR+10.6%
10Y CAGR+3.7%

Chs Inc held $497.6M in cash against $2.0B in long-term debt as of Q3 2026.

Shares Outstanding
0

Chs Inc had 0 shares outstanding in Q3 2026.

Dividends Per Share

Not reported for Q3 2026.

Margins & Returns

Gross Margin
3.5%
YoY+0.2pp
QoQ+3.2pp
5Y CAGR+0.7pp
10Y CAGR-0.5pp

Chs Inc's gross margin was 3.5% in Q3 2026, indicating the percentage of revenue retained after direct costs. This is up 0.2 percentage points from the same quarter a year earlier. Against the prior quarter it is up 3.2 percentage points.

Operating Margin
0.9%
YoY+0.2pp
QoQ+3.8pp
5Y CAGR-0.2pp
10Y CAGR-1.0pp

Chs Inc's operating margin was 0.9% in Q3 2026, reflecting core business profitability. This is up 0.2 percentage points from the same quarter a year earlier. Against the prior quarter it is up 3.8 percentage points.

Net Margin
2.3%
YoY-0.1pp
QoQ+4.1pp
5Y CAGR-0.2pp
10Y CAGR-0.1pp

Chs Inc's net profit margin was 2.3% in Q3 2026, showing the share of revenue converted to profit. This is down 0.1 percentage points from the same quarter a year earlier. Against the prior quarter it is up 4.1 percentage points.

Return on Equity
2.4%
YoY+0.2pp
QoQ+3.7pp
5Y CAGR-0.7pp
10Y CAGR0.0pp

Chs Inc's ROE was 2.4% in Q3 2026, measuring profit generated per dollar of shareholder equity. This is up 0.2 percentage points from the same quarter a year earlier. Against the prior quarter it is up 3.7 percentage points.

Capital Allocation

Capital Expenditures
$123.3M
YoY-29.9%
QoQ+17.5%
5Y CAGR+10.7%
10Y CAGR-0.5%

Chs Inc invested $123.3M in capex in Q3 2026, funding long-term assets and infrastructure. This represents a decrease of 29.9% from the same quarter a year earlier. Against the prior quarter it is up 17.5%.

R&D Spending

Not reported for Q3 2026.

Share Buybacks

Not reported for Q3 2026.

CHSCO Income Statement

Figures in USD, abbreviated K (thousand), M (million), B (billion), T (trillion). Negative values carry a minus sign and red type. Each change compares the year with the year before it, and each quarter with the same quarter a year earlier.

CHSCO quarterly income statement
MetricQ3'2610-QQ2'2610-QQ1'2610-QQ4'2510-QQ3'2510-QQ2'2510-QQ1'2510-QQ4'2410-K
Revenue$11.6B+18.6%$8.4B+7.2%$8.9B-4.6%$8.6B-6.2%$9.8B+1.6%$7.8B-14.2%$9.3B-18.4%$9.2B-3.3%
Cost of Revenue$11.2B+18.4%$8.3B+7.9%$8.5B-4.7%$8.3B-7.0%$9.4B+3.2%$7.7B-11.5%$8.9B-17.2%$8.9B-1.7%
Gross Profit$410.6M+24.5%$25.8M-66.2%$389.4M-2.8%$330.0M+21.0%$329.8M-29.5%$76.3M-79.1%$400.7M-37.9%$272.7M-37.8%
SG&A Expenses$302.3M+16.8%$267.6M+7.8%$268.1M+2.0%$276.1M-8.0%$258.9M-18.2%$248.3M-16.8%$262.9M+4.3%$300.2M+6.1%
Operating Income$108.3M+52.7%-$241.8M-40.6%$121.2M-12.0%$53.9M+295.7%$71.0M-53.1%-$172.0M-354.1%$137.8M-64.9%-$27.6M-117.7%
EBITDA$273.7M+18.8%-$69.2M-308.7%$292.1M+2.3%$243.3M+101.7%$230.3M-21.9%-$16.9M-108.1%$285.5M-46.2%$120.6M-59.1%
Interest Expense$49.7M+12.7%$43.8M+73.6%$37.4M+35.1%$49.1M+92.2%$44.1M+88.3%$25.2M-1.0%$27.6M-6.7%$25.6M-18.3%
Income Tax$14.7M-45.8%-$17.8M-104.2%$11.7M-11.4%-$14.9M+43.2%$27.2M+115.5%-$8.7M-156.8%$13.2M+303.1%-$26.3M-163.6%
Net Income$267.4M+15.2%-$147.1M-94.1%$260.5M+6.4%$196.7M+75.9%$232.2M-21.9%-$75.8M-144.5%$244.8M-53.2%$111.8M-59.8%

Not reported in any period shown, so not listed: R&D Expenses, EPS (Basic), EPS (Diluted), Diluted Shares (Avg).

CHSCO Balance Sheet

Figures in USD, abbreviated K (thousand), M (million), B (billion), T (trillion). Negative values carry a minus sign and red type. Each change compares the year with the year before it, and each quarter with the same quarter a year earlier.

CHSCO quarterly balance sheet
MetricQ3'2610-QQ2'2610-QQ1'2610-QQ4'2510-QQ3'2510-QQ2'2510-QQ1'2510-QQ4'2410-K
Total Assets$20.8B+5.5%$20.9B+4.0%$20.7B+6.0%$18.9B+0.8%$19.7B+6.7%$20.1B+4.9%$19.6B-4.2%$18.7B-1.3%
Current Assets$9.9B+11.4%$10.3B+5.8%$9.9B+5.8%$8.1B-7.1%$8.9B+5.5%$9.7B+4.0%$9.4B-11.6%$8.7B-4.6%
Cash & Equivalents$497.6M+53.7%$248.5M-42.7%$374.7M-16.8%$327.8M-58.8%$323.9M+4.4%$433.3M-31.6%$450.5M-66.6%$794.9M-55.0%
Short-Term Investments$0$0$0-100.0%$0-100.0%$0$0$345.2M$500.9M
Inventory$3.6B+4.5%$4.9B+5.2%$4.3B+10.9%$3.3B+6.6%$3.5B+4.4%$4.6B+18.1%$3.9B-8.2%$3.1B-4.6%
Long-Term Investments$0$0$0$0$0$0$0$0
GoodwillN/AN/AN/A$239.4M+33.0%N/AN/AN/A$180.0M0.0%
Total Liabilities$9.6B+7.6%$9.9B+4.9%$9.5B+8.9%$7.8B-2.2%$8.9B+17.9%$9.4B+11.8%$8.8B-10.0%$8.0B-6.5%
Current Liabilities$6.8B+6.5%$7.1B+4.4%$7.0B+14.8%$5.3B-2.2%$6.4B+22.1%$6.8B+14.8%$6.1B-12.9%$5.4B-8.4%
Non-Current Liabilities$2.8B+10.3%$2.8B+6.2%$2.6B-4.5%$2.5B-2.1%$2.5B+8.6%$2.6B+4.5%$2.7B-2.9%$2.6B-2.0%
Long-Term Debt$2.0B+8.6%$2.0B+8.5%$1.7B-4.5%$1.7B-4.3%$1.8B+9.4%$1.8B+9.4%$1.8B+0.2%$1.8B+0.2%
Total Equity$11.2B+3.9%$11.1B+3.2%$11.2B+3.6%$11.1B+3.0%$10.8B-1.1%$10.7B-0.5%$10.8B+1.1%$10.8B+2.9%
Retained Earnings$3.2B+5.1%$3.0B+5.3%$3.2B+8.3%$3.0B+7.5%$3.0B-5.1%$2.8B-4.8%$2.9B+1.3%$2.8B+10.6%

Not reported in any period shown, so not listed: Accounts Receivable.

CHSCO Cash Flow Statement

Figures in USD, abbreviated K (thousand), M (million), B (billion), T (trillion). Negative values carry a minus sign and red type. Each change compares the year with the year before it, and each quarter with the same quarter a year earlier.

CHSCO quarterly cash flow statement
MetricQ3'2610-QQ2'2610-QQ1'2610-QQ4'2510-QQ3'2510-QQ2'2510-QQ1'2510-QQ4'2410-K
Operating Cash Flow$1.1B+59.1%-$569.0M+45.2%-$337.8M-14.9%$1.3B+14.2%$696.6M+25.1%-$1.0B-315.8%-$294.0M-99.2%$1.1B-15.3%
Depreciation & Amortization$165.3M+3.7%$172.6M+11.4%$170.8M+15.7%$189.3M+27.8%$159.4M+11.1%$155.0M+10.6%$147.7M+7.0%$148.2M+6.6%
Capital Expenditures$123.3M-29.9%$105.0M-36.4%$116.0M-39.8%$195.1M-27.0%$175.9M-9.9%$164.9M-19.0%$192.7M+35.3%$267.4M+40.5%
Free Cash Flow$984.7M+89.1%-$674.0M+44.0%-$453.8M+6.7%$1.1B+27.2%$520.6M+44.0%-$1.2B-165.4%-$486.6M-67.8%$845.8M-24.8%
Investing Cash Flow-$298.4M+41.1%$42.6M+208.6%-$247.9M-3617.9%-$328.4M+64.0%-$506.3M-51.5%-$39.2M+54.3%-$6.7M+93.3%-$912.1M-205.0%
Financing Cash Flow-$525.2M-70.8%$392.1M-63.3%$644.2M+1887.4%-$955.3M-439.6%-$307.5M+43.6%$1.1B+384.5%-$36.0M+79.3%$281.3M+213.3%

Not reported in any period shown, so not listed: Stock-Based Compensation, Dividends Paid, Share Buybacks.

CHSCO Financial Ratios

Margins and returns are percentages; the remaining ratios are unitless multiples. Each change compares the year with the year before it, and each quarter with the same quarter a year earlier.

CHSCO quarterly financial ratios
MetricQ3'2610-QQ2'2610-QQ1'2610-QQ4'2510-QQ3'2510-QQ2'2510-QQ1'2510-QQ4'2410-K
Gross Margin3.5%+0.2pp0.3%-0.7pp4.4%+0.1pp3.8%+0.9pp3.4%-1.5pp1.0%-3.1pp4.3%-1.3pp3.0%-1.6pp
Operating Margin0.9%+0.2pp-2.9%-0.7pp1.4%-0.1pp0.6%+0.9pp0.7%-0.9pp-2.2%-3.0pp1.5%-2.0pp-0.3%-1.9pp
Net Margin2.3%-0.1pp-1.8%-0.8pp2.9%+0.3pp2.3%+1.1pp2.4%-0.7pp-1.0%-2.8pp2.6%-2.0pp1.2%-1.7pp
Return on Equity2.4%+0.2pp-1.3%-0.6pp2.3%+0.1pp1.8%+0.7pp2.1%-0.6pp-0.7%-2.3pp2.3%-2.6pp1.0%-1.6pp
Return on Assets1.3%+0.1pp-0.7%-0.3pp1.3%0.0pp1.0%+0.4pp1.2%-0.4pp-0.4%-1.3pp1.3%-1.3pp0.6%-0.9pp
Current Ratio1.47+0.1x1.450.0x1.42-0.1x1.53-0.1x1.40-0.2x1.43-0.1x1.540.0x1.61+0.1x
Debt-to-Equity0.180.0x0.180.0x0.160.0x0.160.0x0.170.0x0.170.0x0.170.0x0.170.0x
Asset Turnover0.56+0.1x0.400.0x0.430.0x0.460.0x0.500.0x0.39-0.1x0.47-0.1x0.490.0x
FCF Margin8.5%+3.2pp-8.1%+7.4pp-5.1%+0.1pp12.5%+3.3pp5.3%+1.6pp-15.4%-10.4pp-5.2%-2.7pp9.2%-2.6pp

Frequently Asked Questions

What is Chs Inc's annual revenue?

Chs Inc (CHSCO) reported $35.5B in total revenue for fiscal year 2025. This represents a -9.7% change compared to the previous fiscal year. Revenue measures the total income earned from the company's primary business operations before any expenses are deducted.

How fast is Chs Inc's revenue growing?

Chs Inc (CHSCO) revenue declined by 9.7% year-over-year, from $39.3B to $35.5B in fiscal year 2025.

Is Chs Inc profitable?

Yes, Chs Inc (CHSCO) reported a net income of $597.9M in fiscal year 2025, with a net profit margin of 1.7%.

Chs Inc (CHSCO) had EBITDA of $742.2M in fiscal year 2025, measuring earnings before interest, taxes, depreciation, and amortization.

As of fiscal year 2025, Chs Inc (CHSCO) had $327.8M in cash and equivalents against $1.7B in long-term debt.

Chs Inc (CHSCO) had a gross margin of 3.2% in fiscal year 2025, indicating the percentage of revenue retained after direct costs of goods sold.

Chs Inc (CHSCO) had an operating margin of 0.3% in fiscal year 2025, reflecting the profitability of core business operations before interest and taxes.

Chs Inc (CHSCO) had a net profit margin of 1.7% in fiscal year 2025, representing the share of revenue converted into profit after all expenses.

Chs Inc (CHSCO) has a return on equity of 5.4% for fiscal year 2025, measuring how efficiently the company generates profit from shareholder equity.

Chs Inc (CHSCO) recorded an outflow of $92.8M in free cash flow during fiscal year 2025. This represents a -120.0% change compared to the previous fiscal year. Free cash flow represents the cash a company generates after accounting for capital expenditures, and is widely used to assess financial flexibility and shareholder value.

Chs Inc (CHSCO) generated $635.8M in operating cash flow during fiscal year 2025, representing cash generated from core business activities.

Chs Inc (CHSCO) had $18.9B in total assets as of fiscal year 2025, including both current and long-term assets.

Chs Inc (CHSCO) invested $728.6M in capital expenditures during fiscal year 2025, funding long-term assets and infrastructure.

Chs Inc (CHSCO) had 0 shares outstanding as of fiscal year 2025.

Chs Inc (CHSCO) had a current ratio of 1.53 as of fiscal year 2025, which is generally considered healthy.

Chs Inc (CHSCO) had a debt-to-equity ratio of 0.16 as of fiscal year 2025, measuring the company's financial leverage by comparing total debt to shareholder equity.

Chs Inc (CHSCO) had a return on assets of 3.2% for fiscal year 2025, measuring how efficiently the company uses its assets to generate profit.

Chs Inc (CHSCO) has a Piotroski F-Score of 4 out of 8 computable signals; 1 of the nine could not be computed from available data, so the full-scale strength rating is not shown. The F-Score evaluates nine binary signals across profitability (positive ROA, positive cash flow, improving ROA, earnings quality), leverage (decreasing debt, improving liquidity, no share dilution), and operating efficiency (improving gross margin, improving asset turnover). Scores of 7 to 9 indicate strong and improving fundamentals. Learn more in our complete guide to financial health indicators.

Chs Inc (CHSCO) has an earnings quality ratio of 1.06x, considered cash-backed (high quality). This ratio compares operating cash flow to net income. A ratio above 1.0x means the company generates more cash than its reported earnings, indicating sustainable, cash-backed profits. Ratios below 1.0x suggest earnings rely on accounting accruals rather than actual cash generation. Learn more in our complete guide to financial health indicators.

Chs Inc (CHSCO) has an interest coverage ratio of 0.62x, meaning it can struggle to cover its interest obligations. This ratio divides operating income by interest expense. Ratios above 5x indicate strong debt-servicing ability, while ratios below 2x suggest the company may face difficulty meeting interest payments if earnings decline. Learn more in our complete guide to financial health indicators.

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