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CONDENSED CONSOLIDATED BALANCE SHEETS (UNAUDITED) - USD ($)
$ in Millions
Jun. 30, 2026
Sep. 30, 2025
Current assets    
Cash and cash equivalents $ 288.5 $ 256.7
Trade accounts receivable, net of allowance 747.0 655.3
Inventories:    
Raw materials 279.1 244.7
Work-in-process 0.1 0.0
Finished goods 100.4 92.1
Current assets held for sale 19.4 21.8
Prepaid expenses 62.8 55.6
Other current assets 137.7 104.2
Total current assets 1,635.0 1,430.4
Long-term assets    
Goodwill 1,719.0 1,696.5
Other intangible assets, net of amortization 794.2 840.9
Deferred tax assets 32.2 26.5
Pension assets 69.0 64.1
Noncurrent assets held for sale 0.0 233.5
Operating lease right-of-use assets 175.2 186.5
Finance lease right-of-use assets 25.0 34.1
Other long-term assets 103.3 119.1
Total long term assets 2,917.9 3,201.2
Properties, plants and equipment    
Land 121.0 124.7
Buildings 511.3 497.4
Machinery and equipment 1,805.1 1,736.0
Capital projects in progress 182.2 151.2
Properties, plants and equipment, gross 2,619.6 2,509.3
Accumulated depreciation (1,468.3) (1,374.1)
Properties, plants and equipment, net 1,151.3 1,135.2
Total assets 5,704.2 5,766.8
Current liabilities    
Accounts payable 497.3 429.6
Accrued payroll and employee benefits 120.4 137.9
Restructuring reserves 10.7 21.7
Current portion of long-term debt 12.5 0.0
Short-term borrowings 330.5 287.7
Current liabilities held for sale 0.0 2.1
Current portion of operating lease liabilities 41.6 43.9
Current portion of finance lease liabilities 4.4 5.5
Dividends payable 27.2 25.3
Other current liabilities 223.8 175.9
Total current liabilities 1,268.4 1,129.6
Long-term liabilities    
Long-term debt 687.4 914.8
Operating lease liabilities 134.2 143.9
Finance lease liabilities 23.0 29.3
Deferred tax liabilities 224.7 250.2
Pension liabilities 58.0 59.2
Postretirement benefit obligations 5.3 5.4
Contingent liabilities and environmental reserves 16.8 17.3
Other long-term liabilities 156.2 172.4
Total long-term liabilities 1,305.6 1,592.5
Commitments and contingencies (Note 9)
Redeemable noncontrolling interests 92.4 92.3
Equity    
Common stock, without par value 295.8 247.3
Treasury stock, at cost (417.7) (276.5)
Retained earnings 3,360.5 3,194.9
Accumulated other comprehensive loss, net of tax:    
Foreign currency translation (192.8) (201.1)
Derivative financial instruments 8.5 8.1
Minimum pension liabilities (54.9) (57.8)
Total Greif, Inc. shareholders’ equity 2,999.4 2,914.9
Noncontrolling interests 38.4 37.5
Total shareholders’ equity 3,037.8 2,952.4
Total liabilities and shareholders’ equity $ 5,704.2 $ 5,766.8