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Tyson Foods, Inc. – ‘10-Q’ for 12/27/14 – ‘R26’

On:  Friday, 1/30/15, at 7:36am ET   ·   For:  12/27/14   ·   Accession #:  100493-15-12   ·   File #:  1-14704

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  As Of               Filer                 Filing    For·On·As Docs:Size

 1/30/15  Tyson Foods, Inc.                 10-Q       12/27/14   97:16M

Quarterly Report   —   Form 10-Q   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-Q        Tyson Foods, Inc. Form 10-Q                         HTML    718K 
 2: EX-12.1     Ratio of Earnings to Fixed Charges                  HTML     49K 
 3: EX-31.1     Section 302 CEO Certification                       HTML     33K 
 4: EX-31.2     Section 302 CFO Certification                       HTML     33K 
 5: EX-32.1     Section 906 CEO Certification                       HTML     30K 
 6: EX-32.2     Section 906 CFO Certification                       HTML     30K 
67: R1          Document and Entity Information                     HTML     50K 
54: R2          Consolidated Condensed Statements Of Income         HTML    107K 
65: R3          Consolidated Condensed Statements of Comprehensive  HTML     61K 
                Income                                                           
70: R4          Consolidated Condensed Balance Sheets               HTML    141K 
89: R5          Condensed Consolidated Balance Sheets               HTML     45K 
                (Parentheticals)                                                 
56: R6          Consolidated Condensed Statements Of Cash Flows     HTML    110K 
64: R7          Accounting Policies                                 HTML     37K 
49: R8          Acquisitions and Dispositions                       HTML     97K 
39: R9          Inventories                                         HTML     40K 
90: R10         Property, Plant And Equipment                       HTML     45K 
72: R11         Other Current Liabilities                           HTML     37K 
71: R12         Debt                                                HTML     73K 
77: R13         Equity (Notes)                                      HTML     78K 
78: R14         Income Taxes                                        HTML     37K 
75: R15         Other Income And Charges                            HTML     32K 
79: R16         Earnings Per Share                                  HTML     70K 
66: R17         Derivative Financial Instruments                    HTML    160K 
68: R18         Fair Value Measurements                             HTML    187K 
74: R19         Pension and Other Postretirement Benefit Plans      HTML     56K 
                Pension and Other Postretirement Benefit Plans                   
97: R20         Other Comprehensive Income                          HTML     77K 
85: R21         Segment Reporting                                   HTML     76K 
60: R22         Commitments And Contingencies                       HTML     54K 
73: R23         Condensed Consolidating Financial Statements        HTML    504K 
62: R24         Accounting Policies (Policy)                        HTML     41K 
30: R25         Inventories (Policy)                                HTML     34K 
86: R26         Acquisitions and Dispositions (Tables)              HTML    113K 
93: R27         Inventories (Tables)                                HTML     38K 
44: R28         Property, Plant And Equipment (Tables)              HTML     44K 
43: R29         Other Current Liabilities (Tables)                  HTML     36K 
47: R30         Debt (Tables)                                       HTML     61K 
48: R31         Equity (Tables)                                     HTML     61K 
50: R32         Earnings Per Share (Tables)                         HTML     66K 
22: R33         Derivative Financial Instruments (Tables)           HTML    153K 
83: R34         Fair Value Measurements (Tables)                    HTML    185K 
58: R35         Pension and Other Postretirement Benefit Plans      HTML     53K 
                Pension and Other Postretirement Benefit Plans                   
                (Tables)                                                         
61: R36         Other Comprehensive Income (Tables)                 HTML     74K 
34: R37         Segment Reporting (Tables)                          HTML     62K 
96: R38         Condensed Consolidating Financial Statements        HTML    603K 
                (Tables)                                                         
14: R39         Acquisitions and Dispositions Preliminary Fair      HTML     75K 
                Value of Assets Acquired and Liabilities Assumed                 
                at Acquisition Date (Details)                                    
51: R40         Acquisitions and Dispositions Schedule of           HTML     50K 
                Intangible Assets Acquired as Part of Business                   
                Combination (Details)                                            
88: R41         Acquisitions and Dispositions Acquisition Pro       HTML     37K 
                Forma information (Details)                                      
32: R42         Acquisitions and Dispositions Summary of Assets     HTML     94K 
                Held for Sale (Details)                                          
42: R43         Acquisitions (Details)                              HTML     67K 
46: R44         Dispositions (Details)                              HTML     70K 
55: R45         Inventories (Schedule Of Inventory) (Details)       HTML     42K 
21: R46         Inventories Inventories (Narrative) (Details)       HTML     30K 
38: R47         Property, Plant And Equipment (Details)             HTML     54K 
16: R48         Other Current Liabilities (Schedule of Other        HTML     39K 
                Current Liabilities) (Details)                                   
87: R49         Debt (Major Components Of Debt) (Details)           HTML    117K 
31: R50         Debt (Narrative) (Details)                          HTML    124K 
84: R51         Equity (Schedule of Share Repurchases) (Details)    HTML     46K 
35: R52         Equity (Schedule of Tangible Equity Units)          HTML     53K 
                (Details)                                                        
52: R53         Equity (Narrative) (Details)                        HTML    111K 
15: R54         Income Taxes (Details)                              HTML     46K 
19: R55         Other Income And Charges (Details)                  HTML     40K 
45: R56         Earnings Per Share (Schedule Of Earnings Per        HTML     82K 
                Share, Basic And Diluted) (Details)                              
25: R57         Earnings Per Share (Narrative) (Details)            HTML     46K 
91: R58         Derivative Financial Instruments (Aggregate         HTML     38K 
                Outstanding Notionals Related To Cash Flow Hedges)               
                (Details)                                                        
57: R59         Derivative Financial Instruments (Pretax Impact Of  HTML     45K 
                Cash Flow Hedge Derivative Instruments On The                    
                Consolidated Statements Of Income) (Details)                     
76: R60         Derivative Financial Instruments (Aggregate         HTML     34K 
                Outstanding Notionals Related To Fair Value                      
                Hedges) (Details)                                                
37: R61         Derivative Financial Instruments (Pretax Impact Of  HTML     35K 
                Fair Value Hedge Derivative Instruments On The                   
                Consolidated Statements of Income) (Details)                     
40: R62         Derivative Financial Instruments (Aggregate         HTML     42K 
                Outstanding Notionals Related To Undesignated                    
                Positions) (Details)                                             
82: R63         Derivative Financial Instruments (Pretax Impact Of  HTML     38K 
                Undesignated Derivative Instruments On The                       
                Consolidated Statements Of Income) (Details)                     
80: R64         Derivative Financial Instruments (Fair Value Of     HTML     58K 
                All Derivative Instruments) (Details)                            
59: R65         Derivative Financial Instruments (Narrative)        HTML     36K 
                (Details)                                                        
81: R66         Fair Value Measurements (Schedule Of Assets And     HTML    153K 
                Liabilities Measured At Fair Value On A Recurring                
                Basis) (Details)                                                 
36: R67         Fair Value Measurements (Schedule Of Debt           HTML     53K 
                Securities Measured At Fair Value On A Recurring                 
                Basis, Unobservable Input Reconciliation)                        
                (Details)                                                        
63: R68         Fair Value Measurements (Schedule Of Available For  HTML     56K 
                Sale Securities) (Details)                                       
92: R69         Fair Value Measurements (Schedule Of Fair Value     HTML     34K 
                And Carrying Value Of Debt) (Details)                            
18: R70         Fair Value Measurements Fair Value Measurement      HTML     50K 
                (Narrative) (Details)                                            
29: R71         Pension and Other Postretirement Benefit Plans      HTML     59K 
                Pension and Other Postretirement Benefit Plans                   
                (Details)                                                        
53: R72         Pension and Other Postretirement Benefit Plans      HTML     33K 
                Pension and Other Postretirement Benefit Plans                   
                (Narrative) (Details)                                            
24: R73         Other Comprehensive Income (Components Of Other     HTML     91K 
                Comprehensive Income (Loss)) (Details)                           
95: R74         Segment Reporting (Segment Reporting Information,   HTML     69K 
                By Segment) (Details)                                            
33: R75         Segment Reporting Segment Reporting (Narrative)     HTML     54K 
                (Details)                                                        
26: R76         Commitments And Contingencies Commitments           HTML     49K 
                (Details)                                                        
28: R77         Commitments And Contingencies Contingencies         HTML     48K 
                (Details)                                                        
20: R78         Condensed Consolidating Financial Statements        HTML    163K 
                (Condensed Consolidating Statement Of Income and                 
                Comprehensive Income) (Details)                                  
23: R79         Condensed Consolidating Financial Statements        HTML    225K 
                (Condensed Consolidating Balance Sheet) (Details)                
69: R80         Condensed Consolidating Financial Statements        HTML    165K 
                (Condensed Consolidating Statement Of Cash Flows)                
                (Details)                                                        
27: R81         Condensed Consolidating Financial Statements        HTML     31K 
                Condensed Consolidating Financial Statements                     
                (Narrative) (Details)                                            
94: XML         IDEA XML File -- Filing Summary                      XML    148K 
17: EXCEL       IDEA Workbook of Financial Reports                  XLSX    316K 
41: EXCEL       IDEA Workbook of Financial Reports (.xls)            XLS   2.89M 
 7: EX-101.INS  XBRL Instance -- tsn-20141227                        XML   4.10M 
 9: EX-101.CAL  XBRL Calculations -- tsn-20141227_cal                XML    264K 
10: EX-101.DEF  XBRL Definitions -- tsn-20141227_def                 XML    992K 
11: EX-101.LAB  XBRL Labels -- tsn-20141227_lab                      XML   1.73M 
12: EX-101.PRE  XBRL Presentations -- tsn-20141227_pre               XML   1.19M 
 8: EX-101.SCH  XBRL Schema -- tsn-20141227                          XSD    208K 
13: ZIP         XBRL Zipped Folder -- 0000100493-15-000012-xbrl      Zip    304K 


‘R26’   —   Acquisitions and Dispositions (Tables)


This is an IDEA Financial Report.  [ Alternative Formats ]



 
v2.4.1.9
Acquisitions and Dispositions (Tables)
3 Months Ended
Business Combinations [Abstract]  
Schedule of Business Acquisitions, by Acquisition [Table Text Block]
The following table summarizes the preliminary fair values of the assets acquired and liabilities assumed at the acquisition date. Certain estimated values for the acquisition, including goodwill, intangible assets, plant property and equipment, and deferred taxes, are not yet finalized and the preliminary purchase price allocations are subject to change as we complete our analysis of the fair value at the date of acquisition. The purchase price was allocated based on information available at acquisition date. During the quarter ended December 27, 2014, we recorded measurement period adjustments, which reduced goodwill by $5 million, after obtaining additional information regarding, among other things, asset valuations and liabilities assumed. The amount was not considered material and therefore prior periods have not been revised.
 
in millions
 
Cash and cash equivalents
 
$
72

Accounts receivable
 
236

Inventories
 
418

Other current assets
 
343

Property, Plant and Equipment
 
1,303

Goodwill
 
4,799

Intangible Assets
 
5,141

Other Assets
 
66

Accounts payable
 
(347
)
Other current liabilities
 
(328
)
Long-Term Debt
 
(869
)
Deferred Income Taxes
 
(2,072
)
Other Liabilities
 
(518
)
Net assets acquired
 
$
8,244

Schedule of Finite-Lived Intangible Assets Acquired as Part of Business Combination [Table Text Block]
The fair value of identifiable intangible assets is as follows (in millions):
Intangible Asset Category
 
Type
 
Life in Years
 
Fair Value
Brands & trademarks
 
Non-amortizable
 
Indefinite
 
$
4,062

Brands & trademarks
 
Amortizable
 
20 years
 
532

Customer relationships
 
Amortizable
 
Weighted average life of 16 years
 
541

Non-compete agreements
 
Amortizable
 
1 year
 
6

Total identifiable intangible assets
 
 
 
 
 
$
5,141

Schedule of Indefinite-lived Intangible Assets Acquired as Part of Business Combination [Table Text Block]
The fair value of identifiable intangible assets is as follows (in millions):
Intangible Asset Category
 
Type
 
Life in Years
 
Fair Value
Brands & trademarks
 
Non-amortizable
 
Indefinite
 
$
4,062

Brands & trademarks
 
Amortizable
 
20 years
 
532

Customer relationships
 
Amortizable
 
Weighted average life of 16 years
 
541

Non-compete agreements
 
Amortizable
 
1 year
 
6

Total identifiable intangible assets
 
 
 
 
 
$
5,141

Business Acquisition, Pro Forma Information [Table Text Block]
The pro forma results have been prepared for comparative purposes only and are not necessarily indicative of the results of operations as they would have been had the acquisition occurred on the assumed date, nor is it necessarily an indication of future operating results. The pro forma results for the three months ended December 28, 2013 include a nonrecurring tax benefit of $46 million recognized by Hillshire Brands primarily related to the release of valuation allowances on state deferred tax assets.
in millions
 
 
 
Pro forma sales
 
$
9,817

Pro forma net income from continuing operations attributable to Tyson
 
$
338

Pro forma net income per diluted share from continuing operations attributable to Tyson
 
$
0.81

Summary of Net Assets and Liabilities Held for Sale
The following table summarizes the net assets and liabilities held for sale (in millions):
 
 
Assets held for sale:
 
 
 
Accounts receivable, net
$
23

 
$
74

Inventories
77

 
141

Other current assets
17

 
72

Net property, plant and equipment
76

 
132

Goodwill
14

 
16

Other assets
6

 
11

Total assets held for sale
$
213

 
$
446

Liabilities held for sale:
 
 
 
Current debt
$

 
$
32

Accounts payable
33

 
61

Other current liabilities
12

 
27

Long-term debt

 
9

Deferred income taxes
8

 
12

Other Liabilities
1

 

Total liabilities held for sale
$
54

 
$
141


Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘10-Q’ Filing    Date    Other Filings
Filed on:1/30/158-K
For Period end:12/27/14
9/27/1410-K,  DEF 14A
12/28/1310-Q
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Filing Submission 0000100493-15-000012   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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