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DAR — DARLING INGREDIENTS INC.

NYSE

DARLING INGREDIENTS INC.

CompareBack to Screener
$62.94
+1.30(+2.11%)
O
60.73
H
63.73
L
59.63
V
2.12M
⏱️ End-of-day dataAs of Oct 2, 2026

DAR — Financial Statements

Historical 2-Year Statements
Financial Metric / Line ItemQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024
Fiscal Date2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-31
Periodquarterlyquarterlyquarterlyquarterlyquarterlyquarterly
Year2,026.002,025.002,025.002,025.002,025.002,024.00
Cash And Cash Equivalents116,015.0088,671.0091,494.0094,577.0081,471.0075,973.00
Accounts Receivable637,372.00643,205.00621,225.00615,097.00597,113.00590,584.00
Inventory577,571.00527,738.00622,315.00605,334.00595,408.00576,837.00
Prepaid Assets96,960.0085,179.0089,030.0080,351.0089,921.0081,286.00
Restricted Cash22,216.0016,686.0015,559.0027,502.0039,872.0037,579.00
Assets Held For Sale128,043.00143,479.00N/AN/AN/AN/A
Other Current Assets61,035.0040,127.0040,201.0048,322.0025,852.0042,114.00
Total Current Assets$1.65M$1.55M$1.50M$1.50M$1.45M$1.44M
Properties$6.06M223,705.00$5.96M$5.88M$5.65M210,692.00
Accumulated Depreciation$-3.06M$-2.99M$-2.94M$-2.86M$-2.70M$-2.58M
Goodwill$5.81M$5.76M$5.88M$5.85M$5.68M$5.54M
Intangible Assets832,109.00845,003.00881,448.00898,820.00898,050.00898,412.00
Investments And Advances$2.44M$2.21M$2.32M$2.16M$2.11M$2.26M
Other Non Current Assets223,213.00214,711.00225,569.00221,518.00221,321.00221,962.00
Total Non Current Assets$8.99M$8.75M$8.95M$8.78M$8.58M$8.63M
Total Assets$10.64M$10.30M$10.45M$10.27M$10.03M$10.07M
Accounts Payable356,209.00371,084.00374,801.00365,740.00348,480.00348,705.00
Accrued Expenses367,173.00315,186.00311,198.00357,677.00364,544.00350,284.00
Short Term Debt137,855.00136,962.00144,148.00118,270.00180,470.00195,781.00
Tax Payable17,689.0016,018.0015,507.0014,696.0014,564.009,723.00
Pensions137,529.00170,312.00164,296.00140,314.00127,710.00139,011.00
Other Current Liabilities23,298.0025,085.00N/AN/AN/AN/A
Total Current Liabilities$1.04M$1.03M$1.01M996,697.00$1.04M$1.04M
Long Term Provisions67,815.0068,795.0083,478.0083,647.0081,126.0080,757.00
Long Term Debt$4.21M$4.02M$4.20M$4.10M$3.96M$4.06M
Deferred Liabilities269,868.00240,561.00270,892.00283,341.00289,428.00293,022.00
Other Non Current Liabilities93,570.00103,644.00102,909.00100,028.00108,114.00109,917.00
Total Non Current Liabilities$4.66M$4.45M$4.67M$4.59M$4.46M$4.56M
Total Liabilities$5.70M$5.49M$5.68M$5.58M$5.50M$5.61M
Common Stock1,769.001,756.001,756.001,756.001,756.001,750.00
Retained Earnings$4.21M$4.07M$4.02M$4.00M$3.99M$4.01M
Other Shareholders Equity-322,411.00-339,189.00-344,742.00-396,262.00-543,750.00-684,241.00
Total Shareholders Equity$4.94M$4.81M$4.77M$4.69M$4.54M$4.46M
Additional Paid In Capital$1.73M$1.72M$1.73M$1.73M$1.72M$1.72M
Treasury Stock746,114.00719,280.00718,928.00718,920.00718,747.00672,710.00
Minority Interest68,146.0072,604.0080,286.0079,773.0087,342.0086,482.00
Land And ImprovementsN/A212,229.00N/AN/AN/A203,511.00
Machinery Furniture EquipmentN/A$4.01MN/AN/AN/A$3.63M
Construction In ProgressN/A474,689.00N/AN/AN/A440,651.00