| BRIDGFORD FOODS CORP (BRID) |
| Q3-CY2026 | Q2-CY2026 | Q1-CY2026 | Q4-CY2025 | Q3-CY2025 | Q2-CY2025 | Q1-CY2025 | Q4-CY2024 | Q3-CY2024 | Q2-CY2024 | Q1-CY2024 | Q4-CY2023 | Q3-CY2023 | Q2-CY2023 | Q1-CY2023 | Q4-CY2022 | Q3-CY2022 | Q2-CY2022 | Q1-CY2022 | Q4-CY2021 | Q3-CY2021 | Q2-CY2021 | Q1-CY2021 | Q4-CY2020 | Q3-CY2020 | Q2-CY2020 | Q1-CY2020 | Q4-CY2019 | Q3-CY2019 | Q2-CY2019 | Q1-CY2019 | Q4-CY2018 | Q3-CY2018 | Q2-CY2018 | Q1-CY2018 | Q4-CY2017 | Q3-CY2017 | Q2-CY2017 | Q1-CY2017 | Q4-CY2016 | Q3-CY2016 | Q2-CY2016 | Q1-CY2016 | Q4-CY2015 | Q3-CY2015 | Q2-CY2015 | Q1-CY2015 | Q4-CY2014 | Q3-CY2014 |
| Balance Sheet Date | | 2026-Jul-10 | 2026-Apr-17 | 2026-Jan-23 | 2025-Oct-31 | 2025-Jul-11 | 2025-Apr-18 | 2025-Jan-24 | 2024-Nov-01 | 2024-Jul-12 | 2024-Apr-19 | 2024-Jan-26 | | | | | | | | | | | 2021-Apr-16 | 2021-Jan-22 | 2020-Oct-30 | 2020-Jul-10 | 2020-Apr-17 | 2020-Jan-24 | 2019-Nov-01 | 2019-Jul-12 | 2019-Apr-19 | 2019-Jan-25 | 2018-Nov-02 | 2018-Jul-13 | 2018-Apr-20 | 2018-Jan-26 | 2017-Nov-03 | 2017-Jul-07 | 2017-Apr-14 | 2017-Jan-20 | 2016-Oct-28 | 2016-Jul-08 | 2016-Apr-15 | 2016-Jan-22 | 2015-Oct-30 | 2015-Jul-10 | 2015-Apr-17 | 2015-Jan-23 | 2014-Oct-31 |
| Fiscal Period | | Q3-FY2026 | Q2-FY2026 | Q1-FY2026 | Q4-FY2025 | Q3-FY2025 | Q2-FY2025 | Q1-FY2025 | Q4-FY2024 | Q3-FY2024 | Q2-FY2024 | Q1-FY2024 | | | | | | | | | | | Q2-FY2021 | Q1-FY2021 | Q4-FY2020 | Q3-FY2020 | Q2-FY2020 | Q1-FY2020 | Q4-FY2019 | Q3-FY2019 | Q2-FY2019 | Q1-FY2019 | Q4-FY2018 | Q3-FY2018 | Q2-FY2018 | Q1-FY2018 | Q4-FY2017 | Q3-FY2017 | Q2-FY2017 | Q1-FY2017 | Q4-FY2016 | Q3-FY2016 | Q2-FY2016 | Q1-FY2016 | Q4-FY2015 | Q3-FY2015 | Q2-FY2015 | Q1-FY2015 | Q4-FY2014 |
| Total Assets | | 141,032,000$ | 145,341,000$ | 144,605,000$ | 147,214,000$ | 152,727,000$ | 152,443,000$ | 153,376,000$ | 157,354,000$ | 163,861,000$ | 164,393,000$ | 166,755,000$ | | 171,433,000$ | 170,859,000$ | | | | | | | | 152,579,000$ | 156,609,000$ | 155,283,000$ | 146,648,000$ | 144,217,000$ | 129,612,000$ | 123,456,000$ | 120,234,000$ | 111,035,000$ | 107,683,000$ | 101,494,000$ | 100,341,000$ | 97,093,000$ | 92,087,000$ | 97,545,000$ | 97,520,000$ | 92,601,000$ | 89,363,000$ | 87,254,000$ | 84,128,000$ | 79,002,000$ | 76,767,000$ | 75,302,000$ | 60,277,000$ | 58,394,000$ | 57,039,000$ | 58,176,000$ |
| Total Current Assets | | 60,272,000$ | 64,035,000$ | 62,499,000$ | 63,613,000$ | 73,625,000$ | 75,640,000$ | 74,502,000$ | 77,989,000$ | 83,776,000$ | 85,055,000$ | 87,477,000$ | | | | | | | | | | | 61,483,000$ | 66,903,000$ | 68,750,000$ | 67,445,000$ | 67,334,000$ | 53,482,000$ | 52,768,000$ | 54,236,000$ | 50,156,000$ | 53,184,000$ | 53,216,000$ | 55,924,000$ | 55,230,000$ | 50,295,000$ | 55,823,000$ | 50,529,000$ | 47,378,000$ | 50,058,000$ | 48,585,000$ | 49,174,000$ | 44,965,000$ | 42,665,000$ | 40,757,000$ | 36,117,000$ | 33,874,000$ | 31,692,000$ | 32,265,000$ |
| Cash and Cash Equivalents | | 333,000$ | 830,000$ | 4,813,000$ | 876,000$ | 3,403,000$ | 2,277,000$ | 4,659,000$ | 10,230,000$ | 15,938,000$ | 13,789,000$ | 15,708,000$ | | | | | | | | | | | | 7,066,000$ | 4,302,000$ | 12,675,000$ | 13,703,000$ | 1,246,000$ | 3,478,000$ | 7,817,000$ | 2,798,000$ | 9,201,000$ | 8,179,000$ | 13,325,000$ | 13,837,000$ | 7,221,000$ | 12,109,000$ | 10,659,000$ | 13,541,000$ | 12,497,000$ | 6,985,000$ | 12,286,000$ | 10,266,000$ | 12,642,000$ | 5,842,000$ | 9,856,000$ | 7,599,000$ | 4,927,000$ | 192,000$ |
| Receivables | | | | | | | | | | 163,000$ | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Other Current Assets | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Assets Held for Sale in Short Term | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Total Noncurrent Assets | | 80,760,000$ | 81,306,000$ | 82,106,000$ | 83,601,000$ | 79,102,000$ | 76,803,000$ | 78,874,000$ | 79,365,000$ | 80,085,000$ | 79,338,000$ | 79,278,000$ | | 171,433,000$ | 170,859,000$ | | | | | | | | 91,096,000$ | 89,706,000$ | 86,533,000$ | 79,203,000$ | 76,883,000$ | 76,130,000$ | 70,688,000$ | 65,998,000$ | 60,879,000$ | 54,499,000$ | 48,278,000$ | 44,417,000$ | 41,863,000$ | 41,792,000$ | 41,722,000$ | 46,991,000$ | 45,223,000$ | 39,305,000$ | 38,669,000$ | 34,954,000$ | 34,037,000$ | 34,102,000$ | 34,545,000$ | 24,160,000$ | 24,520,000$ | 25,347,000$ | 25,911,000$ |
| Goodwill | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Other Intangible Assets | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Physical Assets | | 58,210,000$ | 59,328,000$ | 60,085,000$ | 61,787,000$ | 62,073,000$ | 63,122,000$ | 63,653,000$ | 64,634,000$ | 65,347,000$ | 66,250,000$ | 67,487,000$ | | | | | | | | | | | 76,045,000$ | 74,978,000$ | 73,332,000$ | 66,410,000$ | 63,056,000$ | 59,385,000$ | 54,346,000$ | 49,644,000$ | 44,811,000$ | 38,869,000$ | 32,638,000$ | 25,676,000$ | 5,977,000$ | 21,313,000$ | 18,571,000$ | 17,957,000$ | 16,487,000$ | 10,719,000$ | 10,362,000$ | 10,594,000$ | 9,811,000$ | 10,114,000$ | 10,235,000$ | 10,335,000$ | 10,725,000$ | 11,621,000$ | 12,251,000$ |
| Other Noncurrent Assets | | 22,550,000$ | 21,978,000$ | 22,021,000$ | 21,814,000$ | 17,029,000$ | 13,681,000$ | 15,221,000$ | 14,731,000$ | 14,738,000$ | 13,088,000$ | 12,034,000$ | | | | | | | | | | | 15,051,000$ | 14,728,000$ | 13,201,000$ | 12,793,000$ | 9,780,000$ | 12,698,000$ | 12,295,000$ | 12,344,000$ | 12,058,000$ | 11,620,000$ | 11,630,000$ | 11,901,000$ | 13,477,000$ | 13,639,000$ | 13,111,000$ | 14,502,000$ | 14,204,000$ | 14,054,000$ | 13,775,000$ | 24,360,000$ | 24,226,000$ | 23,988,000$ | 13,666,000$ | 13,825,000$ | 13,795,000$ | 13,726,000$ | 13,660,000$ |
| Assets Held for Sale in Long Term | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Total Liabilities | | 33,261,000$ | 35,562,000$ | 29,902,000$ | 31,668,000$ | 31,201,000$ | 29,280,000$ | 26,353,000$ | 29,218,000$ | 37,056,000$ | 35,818,000$ | 37,463,000$ | | | | | | | | | | | 81,642,000$ | 83,899,000$ | 84,037,000$ | 74,745,000$ | 75,447,000$ | 61,269,000$ | 56,972,000$ | 49,353,000$ | 41,259,000$ | 40,127,000$ | 35,814,000$ | 39,848,000$ | 38,048,000$ | 37,676,000$ | 41,507,000$ | 52,763,000$ | 49,903,000$ | 47,980,000$ | 48,345,000$ | 43,337,000$ | 40,033,000$ | 39,275,000$ | 39,657,000$ | 30,707,000$ | 30,594,000$ | 31,360,000$ | 32,926,000$ |
| Total Current Liabilities | | 25,305,000$ | 26,612,000$ | 20,544,000$ | 21,336,000$ | 20,793,000$ | 19,517,000$ | 14,767,000$ | 16,453,000$ | 19,596,000$ | 18,817,000$ | 17,981,000$ | | | | | | | | | | | 28,059,000$ | 29,036,000$ | 26,203,000$ | 21,959,000$ | 24,656,000$ | 22,835,000$ | 19,940,000$ | 20,888,000$ | 19,228,000$ | 18,408,000$ | 18,367,000$ | 18,576,000$ | 15,600,000$ | 15,407,000$ | 16,244,000$ | 14,575,000$ | 13,468,000$ | 12,982,000$ | 12,222,000$ | 15,915,000$ | 13,788,000$ | 13,471,000$ | 14,211,000$ | 13,368,000$ | 13,001,000$ | 13,133,000$ | 14,405,000$ |
| Accounts Payable | | 8,944,000$ | 12,246,000$ | 8,703,000$ | 8,783,000$ | 7,310,000$ | 7,702,000$ | 4,031,000$ | 5,672,000$ | 7,956,000$ | 7,607,000$ | 7,201,000$ | | | | | | | | | | | 10,380,000$ | 10,703,000$ | 10,502,000$ | 7,788,000$ | 6,827,000$ | 7,136,000$ | 7,993,000$ | 7,767,000$ | 5,468,000$ | 7,176,000$ | 7,655,000$ | 6,719,000$ | 4,095,000$ | 5,123,000$ | 5,365,000$ | 4,462,000$ | 4,291,000$ | 3,968,000$ | 4,085,000$ | 6,415,000$ | 5,101,000$ | 5,050,000$ | 6,087,000$ | 4,781,000$ | 4,643,000$ | 4,764,000$ | 5,780,000$ |
| Short Term Debt | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Short Term Capital Lease Obligations | | 885,000$ | 1,133,000$ | 1,202,000$ | 1,182,000$ | 1,155,000$ | 1,136,000$ | 1,117,000$ | 1,098,000$ | 1,081,000$ | 978,000$ | 1,120,000$ | | | | | | | | | | | 151,000$ | 147,000$ | 144,000$ | | | 99,000$ | 95,000$ | | | | | | | | 424,000$ | | | | 150,000$ | | | | 162,000$ | | | | 241,000$ |
| Other Current Liabilities | | | | | 446,000$ | | | | 394,000$ | | | 618,000$ | | | | | | | | | | | | | 265,000$ | | | | 249,000$ | | | | 245,000$ | | | | 277,000$ | | | | 354,000$ | | | | 554,000$ | | | | 417,000$ |
| Total Noncurrent Liabilities | | 7,956,000$ | 8,950,000$ | 9,358,000$ | 10,332,000$ | 10,408,000$ | 9,763,000$ | 11,586,000$ | 12,765,000$ | 17,460,000$ | 17,001,000$ | 19,482,000$ | | | | | | | | | | | 53,583,000$ | 54,863,000$ | 57,834,000$ | 52,786,000$ | 50,791,000$ | 38,434,000$ | 37,032,000$ | 28,465,000$ | 22,031,000$ | 21,719,000$ | 17,447,000$ | 21,272,000$ | 22,448,000$ | 22,269,000$ | 25,263,000$ | 38,188,000$ | 36,435,000$ | 34,998,000$ | 36,123,000$ | 27,422,000$ | 26,245,000$ | 25,804,000$ | 25,446,000$ | 17,339,000$ | 17,593,000$ | 18,227,000$ | 18,521,000$ |
| Long Term Debt | | 1,177,000$ | 1,376,000$ | 351,000$ | 673,000$ | 957,000$ | 2,340,000$ | 1,518,000$ | 1,702,000$ | 2,068,000$ | 2,340,000$ | 2,786,000$ | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Long Term Capital Lease Obligations | | 377,000$ | 429,000$ | 652,000$ | 959,000$ | 1,363,000$ | 1,661,000$ | 1,950,000$ | 2,235,000$ | 2,583,000$ | 1,992,000$ | 2,450,000$ | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Other Noncurrent Liabilities | | | | | 5,672,000$ | | | | 1,206,000$ | | | 5,904,000$ | | | | | | | | | | | 31,169,000$ | 31,305,000$ | 33,142,000$ | 24,642,000$ | | | 25,228,000$ | | | | | | | | | | | | | | | | | | | | |
| Total Equity | | 107,771,000$ | 109,779,000$ | 115,546,000$ | 115,546,000$ | 121,526,000$ | 123,163,000$ | 127,023,000$ | 128,136,000$ | 126,805,000$ | 128,575,000$ | 129,535,000$ | | 128,090,000$ | 127,406,000$ | 126,325,000$ | | | | | | | 70,937,000$ | 72,710,000$ | 71,246,000$ | 71,903,000$ | 68,770,000$ | 68,343,000$ | 66,484,000$ | 70,881,000$ | 69,776,000$ | 67,556,000$ | 65,680,000$ | 60,493,000$ | 59,045,000$ | 54,411,000$ | 56,038,000$ | 44,757,000$ | 42,698,000$ | 41,383,000$ | 38,909,000$ | 40,791,000$ | 38,969,000$ | 37,492,000$ | 35,645,000$ | 29,712,000$ | 27,800,000$ | 25,679,000$ | 25,250,000$ |
| Equity to Minority | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Equity to Common Shareholders | | 107,771,000$ | 109,779,000$ | 115,546,000$ | 115,546,000$ | 121,526,000$ | 123,163,000$ | 127,023,000$ | 128,136,000$ | 126,805,000$ | 128,575,000$ | 129,535,000$ | | 128,090,000$ | 127,406,000$ | 126,325,000$ | | | | | | | 70,937,000$ | 72,710,000$ | 71,246,000$ | 71,903,000$ | 68,770,000$ | 68,343,000$ | 66,484,000$ | 70,881,000$ | 69,776,000$ | 67,556,000$ | 65,680,000$ | 60,493,000$ | 59,045,000$ | 54,411,000$ | 56,038,000$ | 44,757,000$ | 42,698,000$ | 41,383,000$ | 38,909,000$ | 40,791,000$ | 38,969,000$ | 37,492,000$ | 35,645,000$ | 29,712,000$ | 27,800,000$ | 25,679,000$ | 25,250,000$ |
| Additional Paid-In Capital | | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | | | | | | | | | | | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,298,000$ | 8,312,000$ | 8,334,000$ | 8,403,000$ | 8,480,000$ | 8,551,000$ | 8,584,000$ |
| Retained Earnings | | 98,277,000$ | 100,285,000$ | 105,209,000$ | 106,052,000$ | 112,801,000$ | 114,438,000$ | 118,298,000$ | 119,411,000$ | 120,062,000$ | 121,832,000$ | 122,792,000$ | | | | | | | | | | | 79,446,000$ | 81,219,000$ | 79,755,000$ | 77,851,000$ | 74,718,000$ | 74,291,000$ | 72,432,000$ | 71,149,000$ | 70,044,000$ | 67,824,000$ | 65,948,000$ | 63,886,000$ | 62,438,000$ | 57,804,000$ | 56,902,000$ | 53,921,000$ | 51,862,000$ | 50,547,000$ | 48,073,000$ | 45,489,000$ | 43,667,000$ | 42,175,000$ | 40,303,000$ | 29,385,000$ | 27,530,000$ | 25,328,000$ | 24,861,000$ |
| Treasury Stock | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| Capital Lease Obligations | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |