Skip to content
FY'25FY'24FY'23FY'22
$98.47M-25.7%$132.53M+51.1%$87.72M+30.0%$67.49M-10.4%
$164.98M+9.5%$150.72M+3.9%$145.08M+9.4%$132.67M+19.0%
$167.22M+17.7%$142.11M+21.9%$116.59M-7.1%$125.48M+29.0%
$7.21M+25.8%$5.73M-9.0%$6.29M+25.2%$5.03M+2.5%
$453.68M+3.0%$440.28M+18.5%$371.65M+5.7%$351.6M+17.7%
$39.74M+60.0%$24.83M-0.1%$24.86M+36.9%$18.16M+9.5%
$104.61M+16.9%$89.51M+18.9%$75.29M+26.3%$59.61M+36.0%
6%+0.9%5.1%+0.7%4.4%-0.3%4.7%-0.2%
$589.97M-0.3%$591.69M+8.9%$543.13M0.0%$543.13M0.0%
$1.26B-5.6%$1.34B+20.6%$1.11B-1.3%$1.12B-1.4%
$166.09M0.0%$166.01M+42.9%$116.13M+9.9%$105.68M+12.7%
$51.05M+19.0%$42.88M-13.1%$49.32M-15.1%$58.1M+6.0%
$2.4B-1.6%$2.44B+16.2%$2.1B+0.1%$2.09B+2.0%
$78.3M+33.7%$58.56M+11.1%$52.71M-15.2%$62.15M+4.1%
$5.87M+6.8%$5.49M-27.4%$7.57M+21.1%$6.25M+65.0%
$44K-83.4%$265K-86.3%$1.94M+1,113%$160K+167%
$124.56M+14.7%$108.62M+20.9%$89.86M-12.1%$102.25M-10.0%
$249.07M-37.3%$397.49M+41.1%$281.65M-30.1%$403.02M-10.7%
$49.49M+44.2%$34.33M-7.9%$37.27M-16.2%$44.48M-0.9%
$55.36M+39.0%$39.82M-11.2%$44.84M-11.6%$50.73M+4.2%
$49.49M+35.4%$36.55M-4.7%$38.35M-14.1%$44.64M-0.6%
$589.21M-16.9%$708.66M+34.7%$525.99M-19.8%$655.59M-24.1%
$0$0$0$0
$1.04M+1.2%$1.03M+0.6%$1.02M+0.6%$1.01M+5.6%
$1.35B+2.0%$1.32B+1.3%$1.3B+1.2%$1.29B+18.6%
$590.88M+21.3%$487.27M+40.0%$347.96M+62.3%$214.38M+103%
-$2.43M-19.3%-$2.04M+21.4%-$2.59M-32.9%-$1.95M-139%
$129.34M+64.9%$78.45M0.0%$78.45M+26.5%$62M+2,791%
$1.81B+4.6%$1.73B+10.0%$1.57B+9.2%$1.44B+21.0%
$2.4B-1.6%$2.44B+16.2%$2.1B+0.1%$2.09B+2.0%
$900K+28.6%$700K-63.2%$1.9M+58.3%$1.2M+9.1%
$900K+28.6%$700K-63.2%$1.9M
$15.81M+72.0%$9.19M-42.5%$15.97M-23.7%$20.93M+116%
$51.05M+19.0%$42.88M-13.1%$49.32M-15.1%$58.1M+6.0%
$1.37B-4.2%$1.43B+20.5%$1.18B0.0%$1.18B0.0%
$44.12M+25.7%$35.1M-12.3%$40.02M-13.9%$46.46M+0.6%
$1.26B-5.6%$1.34B+20.6%$1.11B-1.3%$1.12B-1.4%
$44.12M+25.7%$35.1M-12.3%$40.02M-13.9%$46.46M+0.6%
$51.05M+19.0%$42.88M-13.1%$49.32M-15.1%$58.1M+6.0%
$44.12M+25.7%$35.1M-12.3%$40.02M-13.9%$46.46M+0.6%
$51.05M+19.0%$42.88M-13.1%$49.32M-15.1%$58.1M+6.0%
$46.22M-7.2%$49.79M+42.0%$35.06M-11.6%$39.68M-26.0%
$304.43M-30.4%$437.31M+33.8%$326.77M-28.1%$454.42M-9.3%
$250M-37.5%$400M+40.4%$285M-29.9%$406.5M-11.0%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
103.7M+1.1%102.5M+0.6%101.9M
100M0.0%100M0.0%100M0.0%100M0.0%
0000
$1.04M+1.2%$1.03M+0.6%$1.02M+0.6%$1.01M+5.6%
$0$0$0$0
$129.34M+64.9%$78.45M0.0%$78.45M+26.5%$62M+2,791%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$900K+28.6%$700K-63.2%$1.9M+58.3%$1.2M+9.1%
$1.04M+1.2%$1.03M
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$600M0.0%$600M0.0%$600M0.0%$600M0.0%
$103.69M+1.1%$102.52M+0.6%$101.93M+0.6%$101.32M+5.7%
$250M-37.5%$400M+40.4%$285M-29.9%$406.5M-11.0%
$1.2M
$934K-62.9%$2.52M-24.9%$3.35M-7.4%$3.62M-35.8%
$166.09M0.0%$166.01M+42.9%$116.13M+9.9%$105.68M+12.7%
$104.61M+16.9%$89.51M+18.9%$75.29M+26.3%$59.61M+36.0%
$1.37B-4.2%$1.43B+20.5%$1.18B0.0%$1.18B0.0%
$55.36M+39.0%$39.82M-11.5%$44.98M-12.0%$51.14M+3.6%
$44.12M+25.7%$35.1M-12.6%$40.15M-14.3%$46.83M0.0%
$0.06+17.6%$0.05+15.9%$0.04-6.4%$0.05-4.1%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$100M0.0%$100M0.0%$100M0.0%$100M0.0%
$0$0$0$0
$7.21M+25.8%$5.73M-9.0%$6.29M+25.2%$5.03M+2.5%
$3.96M+67.3%$2.37M0.0%$2.37M+30.0%$1.82M

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

What are The Simply Good Foods Company's total assets?
The Simply Good Foods Company (SMPL) holds $2.1B in total assets, down 12.4% year over year.
How much debt does The Simply Good Foods Company have?
The Simply Good Foods Company carries $449.8M in total debt against $1.5B of shareholders' equity, a debt-to-equity ratio of 0.30.
How much cash does The Simply Good Foods Company have?
The Simply Good Foods Company holds $107.4M in cash and equivalents.
Can The Simply Good Foods Company cover its short-term obligations?
Its current ratio is 5.06 — current assets exceed current liabilities.
Where does The Simply Good Foods Company's balance sheet data come from?
Every line is extracted from The Simply Good Foods Company's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.