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Equities Changes in Equity (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
May 31, 2023
May 31, 2022
May 31, 2023
May 31, 2022
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance $ 9,829,319 $ 9,368,444 $ 9,461,266 $ 9,017,326
Reversal of prior year patronage and redemption estimates 582,050 101,901 980,435 149,216
patronage refund (121,048) (20,983) (502,938) (51,026)
Equity Certificates Repurchased and Retired During Period, Value (462,689) (81,744) (480,435) (99,229)
Dividends, Preferred Stock, Cash     (126,501) (126,501)
Stockholders' Equity, Other (279) (8,228) 274 (9,300)
Net income (loss) 547,343 576,245 1,622,307 1,247,084
Net income (loss) attributable to CHS Inc. 547,499 576,574 1,622,418 1,247,535
Net loss attributable to noncontrolling interests (156) (329) (111) (451)
Other Comprehensive Income (Loss), Net of Tax (3,108) (18,221) (4,936) (23,685)
Patronage Refunds, Estimated (144,105) (58,745) (433,047) (120,902)
Equity Redemptions, Estimate (144,105) (117,491) (433,047) (241,805)
Ending Balance 10,083,378 9,741,178 10,083,378 9,741,178
Capital equity certificates [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance 3,307,140 3,462,002 3,587,131 3,583,911
Reversal of prior year patronage and redemption estimates 462,690 81,731 (28,368) 99,216
patronage refund 2,615   516,246  
Equity Certificates Repurchased and Retired During Period, Value (457,679) (78,616) (471,589) (92,668)
Stockholders' Equity, Other (678) (2,228) (390) (3,256)
Equity Redemptions, Estimate (144,105) (117,491) (433,047) (241,805)
Ending Balance 3,169,983 3,345,398 3,169,983 3,345,398
Nonpatronage Equity Certificates [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance 27,861 28,110 27,933 28,431
Reversal of prior year patronage and redemption estimates 0 0 0 0
Equity Certificates Repurchased and Retired During Period, Value (112) (90) (184) (428)
Stockholders' Equity, Other (44) (1) (44) 16
Ending Balance 27,705 28,019 27,705 28,019
Non-qualified Equity Certificates [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance 1,771,844 1,632,818 1,776,172 1,634,896
Reversal of prior year patronage and redemption estimates 0 0 (153,858) (230,290)
patronage refund 1,226 4,205 154,484 235,576
Equity Certificates Repurchased and Retired During Period, Value (4,898) (3,038) (8,662) (6,133)
Stockholders' Equity, Other (115) (6,809) (79) (6,873)
Ending Balance 1,768,057 1,627,176 1,768,057 1,627,176
Preferred Stock [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance 2,264,038 2,264,038 2,264,038 2,264,038
Equity Certificates Repurchased and Retired During Period, Value 0 0 0 0
Ending Balance 2,264,038 2,264,038 2,264,038 2,264,038
Accumulated Other Comprehensive Income (Loss) [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance (257,163) (221,855) (255,335) (216,391)
Other Comprehensive Income (Loss), Net of Tax (3,108) (18,221) (4,936) (23,685)
Ending Balance (260,271) (240,076) (260,271) (240,076)
Capital Reserves [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance 2,710,507 2,196,428 2,055,682 1,713,976
Reversal of prior year patronage and redemption estimates 119,360 20,170 1,162,661 280,290
patronage refund (124,889) (25,188) (1,173,668) (286,602)
Dividends, Preferred Stock, Cash     (126,501) (126,501)
Stockholders' Equity, Other 574 1,105 1,401 2,548
Net income (loss) attributable to CHS Inc. 547,499 576,574 1,622,418 1,247,535
Patronage Refunds, Estimated (144,105) (58,745) (433,047) (120,902)
Ending Balance 3,108,946 2,710,344 3,108,946 2,710,344
Noncontrolling Interest [Member]        
Schedule of Capitalization, Equity [Line Items]        
Beginning Balance 5,092 6,903 5,645 8,465
Stockholders' Equity, Other (16) (295) (614) (1,735)
Net loss attributable to noncontrolling interests (156) (329) (111) (451)
Ending Balance $ 4,920 $ 6,279 $ 4,920 $ 6,279