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Equities Changes in Equity (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
May 31, 2022
Feb. 28, 2022
Nov. 30, 2021
May 31, 2021
Feb. 28, 2021
Nov. 30, 2020
May 31, 2022
May 31, 2021
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance $ 9,368,444 $ 9,249,926 $ 9,017,326 $ 8,719,783 $ 8,785,856 $ 8,819,173 $ 9,017,326 $ 8,819,173
Reversal of prior year patronage and redemption estimates 101,901 35,094 12,221 29,139 26,135 7,726    
patronage refund (20,983) (30,043)   (8,625) (21,416)      
Redemptions of equities (81,744) (5,264) (12,221) (25,323) (4,760) (7,726)    
Preferred stock dividends   (42,167) (84,334)   (42,167) (84,334)    
Other, net (8,228) (554) (518) (1,984) 666 (8,661)    
Net income (loss) 576,245 218,896 451,943 273,672 (38,358) 69,369 1,247,084 304,683
Net income (loss) attributable to CHS Inc. 576,574     273,591     1,247,535 305,033
Net (loss) income attributable to noncontrolling interests (329)     81     (451) (350)
Other comprehensive income, net of tax (18,221) 9,954 (15,418) 7,115 2,549 8,917 (23,685) 18,581
Estimated 2022 cash patronage refunds (58,745) (22,466) (39,691) (21,292) 5,639 (9,304)    
Estimated 2022 equity redemptions (117,491) (44,932) (79,382) (21,292) 5,639 (9,304)    
Ending Balance 9,741,178 9,368,444 9,249,926 8,951,193 8,719,783 8,785,856 9,741,178 8,951,193
Capital equity certificates [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance 3,462,002 3,505,903 3,583,911 3,721,612 3,715,416 3,724,187 3,583,911 3,724,187
Reversal of prior year patronage and redemption estimates 81,731 5,264 12,221 15,514 4,760 7,726    
Redemptions of equities (78,616) (4,228) (9,824) (19,275) (4,177) (6,539)    
Other, net (2,228) (5) (1,023) (298) (26) (654)    
Estimated 2022 equity redemptions (117,491) (44,932) (79,382) (21,292) 5,639 (9,304)    
Ending Balance 3,345,398 3,462,002 3,505,903 3,696,261 3,721,612 3,715,416 3,345,398 3,696,261
Nonpatronage Equity Certificates [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance 28,110 28,130 28,431 28,614 28,649 28,727 28,431 28,727
Reversal of prior year patronage and redemption estimates 0 0 0 0 0 0    
Redemptions of equities (90) (20) (318) (35) (35) (31)    
Other, net (1)   17 43   (47)    
Ending Balance 28,019 28,110 28,130 28,622 28,614 28,649 28,019 28,622
Non-qualified Equity Certificates [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance 1,632,818 1,632,753 1,634,896 1,409,530 1,407,343 1,408,696 1,634,896 1,408,696
Reversal of prior year patronage and redemption estimates 0 (230,290) 0 5,000 (211,970) 0    
patronage refund 4,205 231,371   7 214,720      
Redemptions of equities (3,038) (1,016) (2,079) (6,013) (548) (1,156)    
Other, net (6,809)   (64) 58 (15) (197)    
Ending Balance 1,627,176 1,632,818 1,632,753 1,408,582 1,409,530 1,407,343 1,627,176 1,408,582
Preferred Stock [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038
Redemptions of equities 0 0 0 0 0 0    
Ending Balance 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038 2,264,038
Accumulated Other Comprehensive Income (Loss) [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance (221,855) (231,809) (216,391) (222,458) (225,007) (233,924) (216,391) (233,924)
Other comprehensive income, net of tax (18,221) 9,954 (15,418) 7,115 2,549 8,917    
Ending Balance (240,076) (221,855) (231,809) (215,343) (222,458) (225,007) (240,076) (215,343)
Capital Reserves [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance 2,196,428 2,043,305 1,713,976 1,509,902 1,586,382 1,618,147 1,713,976 1,618,147
Reversal of prior year patronage and redemption estimates 20,170 260,120 0 8,625 233,345 0    
patronage refund (25,188) (261,414)   (8,632) (236,136)      
Preferred stock dividends   (42,167) (84,334)   (42,167) (84,334)    
Other, net 1,105 50 1,393 (1,726) 1,068 (7,798)    
Net income (loss) attributable to CHS Inc. 576,574 219,000 451,961 273,591 (38,229) 69,671    
Estimated 2022 cash patronage refunds (58,745) (22,466) (39,691) (21,292) 5,639 (9,304)    
Ending Balance 2,710,344 2,196,428 2,043,305 1,760,468 1,509,902 1,586,382 2,710,344 1,760,468
Noncontrolling Interest [Member]                
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Beginning Balance 6,903 7,606 8,465 8,545 9,035 9,302 8,465 9,302
Other, net (295) (599) (841) (61) (361) 35    
Net (loss) income attributable to noncontrolling interests (329) (104) (18) 81 (129) (302)    
Ending Balance $ 6,279 $ 6,903 $ 7,606 $ 8,565 $ 8,545 $ 9,035 $ 6,279 $ 8,565