7Baggers

Calavo Growers, Inc
(NASDAQ:CVGW) 

CVGW stock logo

Calavo Growers, Inc. markets and distributes avocados, prepared avocados, and other perishable foods to retail grocery and foodservice customers, club stores, mass merchandisers, food distributors, and wholesale customers worldwide. It operates in three segments: Fresh Products, Calavo Foods, and Re...

Founded: 1924
Full Time Employees: 3,657
Sector: Consumer Defensive
Industry: Packaged Foods

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    Unit: USD2026-01-31 2025-10-31 2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31 2015-07-31 2015-04-30 2015-01-31 2014-10-31 2014-07-31 2014-04-30 2014-01-31 2013-10-31 2013-07-31 2013-04-30 2013-01-31 2012-10-31 2012-07-31 2012-04-30 2012-01-31 2011-10-31 2011-07-31 2011-04-30 2011-01-31 2010-10-31 2010-07-31 2010-04-30 2010-01-31 2009-10-31 2009-07-31 2009-04-30 2009-01-31 2008-10-31 2008-07-31 2008-04-30 2008-01-31 2007-10-31 2007-07-31 2007-04-30 2007-01-31 2006-10-31 2006-07-31 2006-04-30 2006-01-31 2005-10-31 2005-07-31 2005-04-30 2005-01-31 2004-10-31 2004-07-31 2004-04-30 2004-01-31 2003-10-31 2003-07-31 2003-04-30 2003-01-31 2002-10-31 2002-07-31 2002-04-30 2001-07-31 
                                                                                                     
      net sales
    122,202,000 124,681,000 178,822,000 190,546,000 154,385,000 169,959,000 179,596,000 184,383,000 127,606,000 241,180,000 259,875,000 244,689,000 226,204,000 243,572,000 341,991,000 331,418,000 274,092,000 273,423,000 285,008,000 276,821,000 220,578,000 -590,511,000 270,425,000 281,166,000 273,348,000 292,176,000 359,332,000 286,236,000 258,032,000 280,006,000 296,419,000 264,405,000 247,928,000 277,204,000 301,645,000 270,162,000 226,554,000 247,655,000 263,146,000 220,303,000 204,575,000 207,994,000 232,450,000 221,589,000 194,791,000 200,749,000 218,702,000 194,894,000 168,165,000 -310,105,000 194,943,000 166,336,000 139,499,000 -268,015,000 153,181,000 138,992,000 117,394,000 -227,831,000 165,141,000 118,720,000 91,319,000 -183,883,000 114,578,000 109,219,000 67,320,000 -182,881,000 106,347,000 86,829,000 70,647,000 -174,368,000 96,903,000 98,777,000 72,241,000 -132,394,000 91,307,000 69,184,000 57,293,000 -120,150,000 78,954,000 67,429,000 50,647,000 62,246,000 88,699,000 60,206,000 47,671,000 -208,682,000 83,318,000 76,421,000 49,043,000 63,780,000 81,359,000 57,393,000 44,229,000 64,421,000 76,409,000 56,094,000 60,342,000 
      yoy
    -20.85% -26.64% -0.43% 3.34% 20.99% -29.53% -30.89% -24.65% -43.59% -0.98% -24.01% -26.17% -17.47% -10.92% 19.99% 19.72% 24.26% -146.30% 5.39% -1.55% -19.31% -302.11% -24.74% -1.77% 5.94% 4.35% 21.22% 8.26% 4.08% 1.01% -1.73% -2.13% 9.43% 11.93% 14.63% 22.63% 10.74% 19.07% 13.21% -0.58% 5.02% 3.61% 6.29% 13.70% 15.83% -164.74% 12.19% 17.17% 20.55% 15.70% 27.26% 19.67% 18.83% 17.64% -7.24% 17.08% 28.55% 23.90% 44.13% 8.70% 35.65% 0.55% 7.74% 25.79% -4.71% 4.88% 9.75% -12.10% -2.21% 31.70% 6.13% 42.77% 26.09% 10.19% 15.65% 2.60% 13.12% -293.02% -10.99% 12.00% 6.24% -129.83% 6.46% -21.22% -2.80% -427.19% 2.41% 33.15% 10.88% -1.00% 6.48% 2.32% -26.70%     
      qoq
    -1.99% -30.28% -6.15% 23.42% -9.16% -5.37% -2.60% 44.49% -47.09% -7.19% 6.21% 8.17% -7.13% -28.78% 3.19% 20.91% 0.24% -4.06% 2.96% 25.50% -137.35% -318.36% -3.82% 2.86% -6.44% -18.69% 25.54% 10.93% -7.85% -5.54% 12.11% 6.65% -10.56% -8.10% 11.65% 19.25% -8.52% -5.89% 19.45% 7.69% -1.64% -10.52% 4.90% 13.76% -2.97% -8.21% 12.22% 15.89% -154.23% -259.07% 17.20% 19.24% -152.05% -274.97% 10.21% 18.40% -151.53% -237.96% 39.10% 30.01% -149.66% -260.49% 4.91% 62.24% -136.81% -271.97% 22.48% 22.91% -140.52% -279.94% -1.90% 36.73% -154.57% -245.00% 31.98% 20.75% -147.68% -252.18% 17.09% 33.14% -18.63% -29.82% 47.33% 26.29% -122.84% -350.46% 9.03% 55.82% -23.11% -21.61% 41.76% 29.76% -31.34% -15.69% 36.22% -7.04%  
      cost of sales
    107,018,000 113,033,000 160,624,000 172,457,000 138,657,000 153,669,000 159,503,000 164,026,000 115,138,000 225,718,000 234,850,000 229,652,000 211,772,000 223,211,000 323,477,000 309,677,000 260,864,000 264,304,000 277,141,000 254,221,000 202,739,000 -542,973,000 239,590,000 259,091,000 257,540,000 267,543,000 323,557,000 249,399,000 227,195,000 257,739,000 263,349,000 232,436,000 221,618,000 178,833,000 276,793,000 233,909,000 204,630,000 151,893,750 230,502,000 193,496,000 183,577,000 187,825,000 208,172,000 198,614,000 176,986,000 132,037,250 197,757,000 175,917,000 154,475,000 -284,753,000 176,865,000 154,800,000 126,375,000 -243,061,000 136,968,000 124,297,000 105,349,000 -211,834,000 153,801,000 109,300,000 82,650,000 -160,941,000 99,303,000 96,133,000 58,445,000 -156,806,000 96,441,000 73,890,000 58,188,000 -165,519,000 89,211,000 91,483,000 66,212,000 -114,784,000 82,680,000 59,993,000 50,325,000 -104,847,000 68,738,000 58,768,000 47,237,000 58,013,000 79,505,000 53,851,000 45,719,000 47,347,250 74,833,000 68,625,000 45,931,000 58,450,000 72,118,000 50,422,000 40,306,000 39,661,500 67,498,000 48,975,000  
      gross profit
    15,184,000 11,648,000 18,198,000 18,089,000 15,728,000 16,290,000 20,093,000 20,357,000 12,468,000 15,462,000 25,025,000 15,037,000 14,432,000 20,361,000 18,514,000 21,741,000 13,228,000 9,119,000 7,867,000 22,600,000 17,839,000 -47,538,000 30,835,000 22,075,000 15,808,000 24,633,000 35,775,000 36,837,000 30,837,000 22,267,000 33,070,000 31,969,000 26,310,000                                                                 
      yoy
    -3.46% -28.50% -9.43% -11.14% 26.15% 5.36% -19.71% 35.38% -13.61% -24.06% 35.17% -30.84% 9.10% 123.28% 135.34% -3.80% -25.85% -119.18% -74.49% 2.38% 12.85% -292.99% -13.81% -40.07% -48.74% 10.63% 8.18% 15.23% 17.21%                                                                     
      qoq
    30.36% -35.99% 0.60% 15.01% -3.45% -18.93% -1.30% 63.27% -19.36% -38.21% 66.42% 4.19% -29.12% 9.98% -14.84% 64.36% 45.06% 15.91% -65.19% 26.69% -137.53% -254.17% 39.68% 39.64% -35.83% -31.14% -2.88% 19.46% 38.49% -32.67% 3.44% 21.51%                                                                  
      gross margin %
    12.43% 9.34% 10.18% 9.49% 10.19% 9.58% 11.19% 11.04% 9.77% 6.41% 9.63% 6.15% 6.38% 8.36% 5.41% 6.56% 4.83% 3.34% 2.76% 8.16% 8.09% 8.05% 11.40% 7.85% 5.78% 8.43% 9.96% 12.87% 11.95% 7.95% 11.16% 12.09% 10.61% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 
      selling, general and administrative
    16,401,000 12,267,000 9,232,000 10,303,000 10,287,000 13,045,000 10,510,000 13,020,000 13,463,000 14,129,000 17,842,000 18,076,000 16,353,000 17,132,000 16,713,000 16,605,000 15,337,000 16,305,000 12,387,000 13,683,000 14,174,000 -30,500,000 13,424,000 14,504,000 16,298,000 14,885,000 14,295,000 15,657,000 14,276,000 14,796,000 13,893,000 12,875,000 15,517,000 14,701,000 12,698,000 15,426,000 13,826,000 11,574,000 12,287,000 11,658,000 10,921,000 11,442,000 10,620,000 9,986,000 9,510,000 9,791,000 9,431,000 9,111,000 8,272,000 -16,416,000 8,706,000 8,190,000 8,821,000 -12,612,000 7,758,000 7,618,000 7,637,000 -17,486,967 6,844,000 5,635,000 5,015,000 -9,098,000 5,514,000 5,455,000 5,164,000 -10,523,000 5,822,000 5,535,000 5,300,000 -8,590,000 5,301,000 4,701,000 4,750,000 -8,543,000 4,803,000 4,812,000 4,631,000 -9,628,000 5,284,000 5,063,000 4,444,000 4,943,000 4,825,000 4,307,000 4,513,000 -11,498,200 3,777,000 4,012,000 3,715,000 3,444,000 4,004,000 4,130,000 3,191,000 2,391,500 3,314,000 3,094,000  
      expenses related to mexican tax matters
    230,000 1,105,000 307,000 156,000 395,000   202,000 383,000   386,000 2,048,000 269,000 303,000 478,000 367,000 455,000 1,342,000                                                                               
      operating income
    -1,447,000 -1,724,000 8,659,000 7,630,000 5,046,000 3,012,000 9,358,000 7,135,000 -1,378,000 -564,000 8,386,000 -3,425,000 -3,969,000 3,014,000 1,552,000 4,407,000 -2,987,000 -16,749,000 -5,808,000 8,971,000 3,719,000 -17,146,000 17,465,000 7,625,000 -436,000 9,823,000 21,555,000 23,107,000 16,561,000 7,471,000 19,177,000 19,094,000 10,793,000 10,269,750 12,154,000 20,827,000 8,098,000 11,395,750 20,357,000 15,149,000 10,077,000 8,727,000 13,658,000 12,989,000 8,295,000 6,699,500 11,514,000 9,866,000 5,418,000 -8,936,000 9,372,000 3,346,000 4,303,000 -12,342,000 8,455,000 7,077,000 4,408,000 -5,536,000 4,496,000 3,785,000 3,654,000 -13,844,000 9,761,000 7,631,000 3,711,000 -15,552,000 4,084,000 7,404,000 7,159,000 -259,000 2,391,000 2,593,000 1,279,000 -9,067,000 3,824,000 4,379,000 2,337,000 -5,675,000 4,932,000 3,598,000 -1,034,000 -710,000 4,369,000 2,048,000 -2,561,000 -7,885,600 4,708,000 3,784,000 -603,000 1,883,000 5,232,000 2,743,000 732,000 1,904,000 5,597,000 4,025,000  
      yoy
    -128.68% -157.24% -7.47% 6.94% -466.18% -634.04% 11.59% -308.32% -65.28% -118.71% 440.34% -177.72% 32.88% -118.00% -126.72% -50.88% -180.32% -2.32% -133.26% 17.65% -952.98% -274.55% -18.97% -67.00% -102.63% 31.48% 12.40% 21.02% 53.44% -27.25% 57.78% -8.32% 33.28% -9.88% -40.30% 37.48% -19.64% 30.58% 49.05% 16.63% 21.48% 30.26% 18.62% 31.65% 53.10% -174.97% 22.86% 194.86% 25.91% -27.60% 10.85% -52.72% -2.38% 122.94% 88.06% 86.97% 20.63% -60.01% -53.94% -50.40% -1.54% -10.98% 139.01% 3.07% -48.16% 5904.63% 70.81% 185.54% 459.73% -97.14% -37.47% -40.79% -45.27% 59.77% -22.47% 21.71% -326.02% 699.30% 12.89% 75.68% -59.63% -91.00% -7.20% -45.88% 324.71% -518.78% -10.02% 37.95% -182.38% -1.10% -6.52% -31.85%      
      qoq
    -16.07% -119.91% 13.49% 51.21% 67.53% -67.81% 31.16% -617.78% 144.33% -106.73% -344.85% -13.71% -231.69% 94.20% -64.78% -247.54% -82.17% 188.38% -164.74% 141.22% -121.69% -198.17% 129.05% -1848.85% -104.44% -54.43% -6.72% 39.53% 121.67% -61.04% 0.43% 76.91% 5.10% -15.50% -41.64% 157.19% -28.94% -44.02% 34.38% 50.33% 15.47% -36.10% 5.15% 56.59% 23.82% -41.81% 16.70% 82.10% -160.63% -195.35% 180.10% -22.24% -134.86% -245.97% 19.47% 60.55% -179.62% -223.13% 18.78% 3.59% -126.39% -241.83% 27.91% 105.63% -123.86% -480.80% -44.84% 3.42% -2864.09% -110.83% -7.79% 102.74% -114.11% -337.11% -12.67% 87.38% -141.18% -215.06% 37.08% -447.97% 45.63% -116.25% 113.33% -179.97% -67.52% -267.49% 24.42% -727.53% -132.02% -64.01% 90.74% 274.73% -61.55% -65.98% 39.06%   
      operating margin %
    -1.18% -1.38% 4.84% 4.00% 3.27% 1.77% 5.21% 3.87% -1.08% -0.23% 3.23% -1.40% -1.75% 1.24% 0.45% 1.33% -1.09% -6.13% -2.04% 3.24% 1.69% 2.90% 6.46% 2.71% -0.16% 3.36% 6.00% 8.07% 6.42% 2.67% 6.47% 7.22% 4.35% 3.70% 4.03% 7.71% 3.57% 4.60% 7.74% 6.88% 4.93% 4.20% 5.88% 5.86% 4.26% 3.34% 5.26% 5.06% 3.22% 2.88% 4.81% 2.01% 3.08% 4.60% 5.52% 5.09% 3.75% 2.43% 2.72% 3.19% 4.00% 7.53% 8.52% 6.99% 5.51% 8.50% 3.84% 8.53% 10.13% 0.15% 2.47% 2.63% 1.77% 6.85% 4.19% 6.33% 4.08% 4.72% 6.25% 5.34% -2.04% -1.14% 4.93% 3.40% -5.37% 3.78% 5.65% 4.95% -1.23% 2.95% 6.43% 4.78% 1.66% 2.96% 7.33% 7.18% 0% 
      foreign currency gain
    2,590,000   957,000 -962,000 -3,041,000 -4,203,000                                                                                           
      interest income
    542,000 754,000 879,000 762,000 845,000                                                                                            44,000 
      interest expense
    -129,000 -211,000 -199,000 -204,000 -213,000 -274,000 -833,000 -962,000 -824,000 -1,013,000 -793,000 -273,000 -416,000 -414,000 -485,000 -460,000 -327,000 -225,000 -208,000 -191,000 -174,000 -183,000 -203,000 -342,000 -187,000 -101,000 -228,000 -365,000 -254,000 -177,000 -135,000 -288,000 -231,000 -199,250 -227,000 -323,000 -247,000 -153,000 -210,000 -185,000 -217,000 -176,000 -195,000 -236,000 -223,000 -192,000 -220,000 -292,000 -256,000 -215,500 -293,000 -317,000 -252,000 -227,250 -300,000 -311,000 -298,000 -179,750 -280,000 -235,000 -204,000 -161,000 -181,000 -234,000 -229,000 -221,250 -268,000 -291,000 -326,000 -265,000 -366,000 -346,000 -348,000 -249,000 -315,000                      -145,000 
      other income
    265,000 189,000 89,000 613,000 112,000 -260,000 181,000 520,000 200,000 -546,000 230,000 278,000 354,000 -416,000 278,000 496,000 659,000 224,000 180,000 411,000 201,000 -2,094,000 628,000 628,000 994,000 -1,833,000 936,000 886,000 510,000 -272,000 406,000 -26,000 729,000 138,000 588,000 33,000 -69,000 99,750 -115,000 273,000 241,000 -97,000 88,000 309,000 117,000 131,250 120,000 270,000 135,000 -797,000 209,000 235,000 138,000 -385,000 173,000 469,000 237,000 -1,130,000 175,000 458,000 226,000 -925,000 362,000 467,000 265,000 -703,000 246,000 366,000 255,000 -729,000 248,000 398,000 261,000 -328,000 68,000 -137,000  493,000 -136,000 10,000  213,000 153,000 1,909,000 82,000 311,200 -91,000 -106,000 -114,000 -274,000 -294,000      167,000 
      income before income taxes and net income from unconsolidated entities
    1,821,000 3,299,000 6,945,000 9,758,000 4,828,000                                                                                             
      provision for income taxes
    -473,000                       -1,208,000 -650,000 1,789,000 3,987,000 5,573,000 1,533,000 250,000 3,403,000 4,764,000 4,302,000        3,725,000                       3,090,000 1,473,000 -6,367,000 1,597,000 3,017,000 2,708,000 -187,000 884,000 1,033,000 460,000 -3,449,000 1,355,000 1,655,000 850,000               1,214,000 347,000 1,167,000 2,657,000 1,758,000  
      net income from unconsolidated entities
    -544,000 44,500 -402,000 -282,000 862,000   204,000 1,000   -56,000                                                                                      
      net income
    804,000 3,859,000 4,736,000 6,940,000 4,435,000 -104,000 -762,000 6,099,000 -6,257,000 -7,920,000 6,708,000 -3,960,000 -2,795,000 -3,484,000 1,317,000 -276,000 -4,160,000 -13,038,000 -12,915,000 8,794,000 5,237,000 26,119,000 -15,572,000 -3,407,000 -1,001,000 5,177,000 10,650,000 16,278,000 4,481,000 -1,361,000 12,368,000 14,016,000 6,989,000 6,737,750 8,796,000 12,934,000 5,221,000 7,190,250 12,709,000 9,676,000 6,376,000 4,787,000 8,641,000 8,472,000 5,299,000 6,464,750 15,972,000 6,412,000 3,475,000 -5,253,000 6,125,000 2,193,000 2,681,000 -4,715,000 5,644,000 2,535,000 2,652,000 -3,778,000 2,702,000 2,374,000 2,290,000 -8,250,000 5,897,000 4,774,000 2,274,000 -9,003,000 2,465,000 4,462,000 4,380,000 259,000 1,389,000 1,612,000 732,000 -4,950,000 2,222,000 2,587,000 1,331,000 -3,112,000 2,926,000 2,189,000 -665,000 -517,000 2,919,000 2,467,000 -1,547,000 -5,097,700 3,060,000 2,334,000 -294,000 1,686,000 3,239,000 1,735,000 500,000 1,208,000 3,124,000 2,271,000  
      yoy
    -81.87% -3810.58% -721.52% 13.79% -170.88% -98.69% -111.36% -254.02% 123.86% 127.32% 409.34% 1334.78% -32.81% -73.28% -110.20% -103.14% -179.43% -149.92% -17.06% -358.12% -623.18% 404.52% -246.22% -120.93% -122.34% -480.38% -13.89% 16.14% -35.88% -120.20% 40.61% 8.37% 33.86% -6.29% -30.79% 33.67% -18.11% 50.20% 47.08% 14.21% 20.32% -25.95% -45.90% 32.13% 52.49% -223.07% 160.77% 192.38% 29.62% 11.41% 8.52% -13.49% 1.09% 24.80% 108.88% 6.78% 15.81% -54.21% -54.18% -50.27% 0.70% -8.36% 139.23% 6.99% -48.08% -3576.06% 77.47% 176.80% 498.36% -105.23% -37.49% -37.69% -45.00% 59.06% -24.06% 18.18% -300.15% 501.93% 0.24% -11.27% -57.01% -89.86% -4.61% 5.70% 426.19% -402.35% -5.53% 34.52% -158.80% 39.57% 3.68% -23.60%      
      qoq
    -79.17% -18.52% -31.76% 56.48% -4364.42% -86.35% -112.49% -197.47% -21.00% -218.07% -269.39% 41.68% -19.78% -364.54% -577.17% -93.37% -68.09% 0.95% -246.86% 67.92% -79.95% -267.73% 357.06% 240.36% -119.34% -51.39% -34.57% 263.27% -429.24% -111.00% -11.76% 100.54% 3.73% -23.40% -31.99% 147.73% -27.39% -43.42% 31.35% 51.76% 33.19% -44.60% 1.99% 59.88% -18.03% -59.52% 149.10% 84.52% -166.15% -185.76% 179.30% -18.20% -156.86% -183.54% 122.64% -4.41% -170.20% -239.82% 13.82% 3.67% -127.76% -239.90% 23.52% 109.94% -125.26% -465.23% -44.76% 1.87% 1591.12% -81.35% -13.83% 120.22% -114.79% -322.77% -14.11% 94.37% -142.77% -206.36% 33.67% -429.17% 28.63% -117.71% 18.32% -259.47% -69.65% -266.59% 31.11% -893.88% -117.44% -47.95% 86.69% 247.00% -58.61% -61.33% 37.56%   
      net income margin %
    0.66% 3.10% 2.65% 3.64% 2.87% -0.06% -0.42% 3.31% -4.90% -3.28% 2.58% -1.62% -1.24% -1.43% 0.39% -0.08% -1.52% -4.77% -4.53% 3.18% 2.37% -4.42% -5.76% -1.21% -0.37% 1.77% 2.96% 5.69% 1.74% -0.49% 4.17% 5.30% 2.82% 2.43% 2.92% 4.79% 2.30% 2.90% 4.83% 4.39% 3.12% 2.30% 3.72% 3.82% 2.72% 3.22% 7.30% 3.29% 2.07% 1.69% 3.14% 1.32% 1.92% 1.76% 3.68% 1.82% 2.26% 1.66% 1.64% 2.00% 2.51% 4.49% 5.15% 4.37% 3.38% 4.92% 2.32% 5.14% 6.20% -0.15% 1.43% 1.63% 1.01% 3.74% 2.43% 3.74% 2.32% 2.59% 3.71% 3.25% -1.31% -0.83% 3.29% 4.10% -3.25% 2.44% 3.67% 3.05% -0.60% 2.64% 3.98% 3.02% 1.13% 1.88% 4.09% 4.05% 0% 
      less: net income attributable to noncontrolling interest
    -72,000   -90,000 -20,000                             13,250 14,000   5,500 36,000 13,000 -27,000                                                         
      net income attributable to calavo growers, inc.
    732,000 3,817,000 4,714,000 6,850,000 4,415,000 -234,250 -732,000 6,062,000  -109,250 6,626,000   -733,250 1,300,000 -191,000 -4,043,000 -12,955,000 -12,981,000 8,841,000 5,277,000 -4,963,000 -15,636,000 -3,278,000 -938,000 5,211,000 10,603,000 16,345,000 4,487,000 -1,330,000 12,350,000 14,122,000 7,139,000 10,266,000 8,810,000 12,945,000 5,249,000 9,239,000 12,745,000 9,689,000 6,349,000 4,787,000 8,641,000  5,299,000 -26,620,000 16,032,000 6,710,000 3,975,000 2,829,750 6,399,000 2,213,000 2,707,000 2,723,000 5,665,000 2,548,000 2,679,000 1,857,000 2,713,000 2,404,000 2,311,000 3,253,500 5,947,000 4,793,000                                  
      calavo growers, inc.’s net income per share:
                                                                                                     
      basic
    0.04         -0.45 0.37 -0.23 -0.17 -0.18 0.07 -0.01 -0.23 -0.73 -0.74 0.5 0.3 -0.283 -0.89 -0.19 -0.05 0.3 0.61 0.93 0.26 -0.07 0.71 0.81 0.41 0.388 0.51 0.74 0.3 0.415 0.73 0.56 0.37 0.27 0.5 0.49 0.31 0.425 1.02 0.43 0.25 0.193 0.43 0.15 0.18 0.185 0.38 0.17 0.18 0.125 0.18 0.16 0.16 0.223 0.41 0.33                                  
      diluted
    0.04         -0.45 0.37 -0.23 -0.17 -0.18 0.07 -0.01 -0.23 -0.73 -0.74 0.5 0.3 -0.283 -0.89 -0.19 -0.05 0.29 0.6 0.93 0.26 -0.07 0.7 0.8 0.41 0.385 0.5 0.74 0.3 0.413 0.73 0.56 0.37 0.28 0.5 0.49 0.31 0.425 1.02 0.43 0.25 0.19 0.43 0.15 0.18 0.185 0.38 0.17 0.18 0.125 0.18 0.16 0.16 0.223 0.41 0.33                                  
      number of shares used in per share computation:
                                                                                                     
      basic
    17,874 17,853 17,815 17,837 17,801 17,800 17,799 17,756 17,721 17,673 17,667 17,664 17,653 17,630 17,619 17,599 28 17,586 17,550 17,536 17,525 17,530 17,500 17,481 17,481 17,446 4,353 17,428 17,426 17,374 4,335 17,351 17,348 17,322 17,301 17,300 17,295 3,937 15,760 15,755 15,726 244 14,848 14,819 14,834 13 14,787 14,787 14,772    14,723    14,505 72 14,457 14,423 14,419 14 14,405 14,403 14,375 34 14,300 14,294 14,293 -16 14,292 14,282 14,352 163 14,171 13,507 13,507 3,373.5 13,507 13,507 13,469 12,930 12,930 12,856 2,828 11,836 11,637  
      diluted
    17,894 17,899 17,828 17,901 15 17,842 17,872 17,799 17,856 17,721 17,673 17,769 17,664 17,653 -48 17,630 17,679 17,669 108 17,586 17,550 17,536 17,605 17,609 17,558 17,581 17,580 17,525 4,376.75 17,544 17,539 17,430 4,356.25 17,447 17,445 17,386 17,386 17,382 17,311 3,939 15,769 15,764 15,736 231 14,870 14,839 14,854 22 14,806 14,802 14,789    14,736    14,572 71 14,529 14,508 14,429 -51 14,467 14,514 14,503 131 14,452 14,398 14,359 -46 14,351 14,343 14,352 189 14,237 13,580 13,507 3,394.75 13,594 13,589 13,469 12,960 12,960 12,887 2,835.5 11,906 11,670  
      foreign currency loss
     -622,000 -2,483,000                                                                                               
      income tax benefit
     -1,399,500 -1,807,000   119,500 1,441,000  -573,000 -5,250 -617,000 -484,000 1,080,000 -3,614,000 -984,000 187,000 1,160,000 6,326,000 -12,358,000 -2,772,000 -1,943,000 1,635,000 4,682,000                                                                           
      net income from continuing operations
     3,859,000 4,736,000 6,940,000 4,435,000 -2,450,000 5,365,000 6,507,000 -2,574,000                                                                                         
      net loss from discontinued operations
         -2,554,500 -6,127,000 -408,000 -3,683,000                                                                                         
      less: net loss attributable to noncontrolling interest
     -33,000 -22,000                  40,000 32,000 -64,000 129,000 63,000 34,000 -47,000 67,000 6,000 31,000 -18,000 106,000 150,000                                                                 
      calavo growers, inc.’s net income per share:
                                                                                                     
      basic
    0.04         -0.45 0.37 -0.23 -0.17 -0.18 0.07 -0.01 -0.23 -0.73 -0.74 0.5 0.3 -0.283 -0.89 -0.19 -0.05 0.3 0.61 0.93 0.26 -0.07 0.71 0.81 0.41 0.388 0.51 0.74 0.3 0.415 0.73 0.56 0.37 0.27 0.5 0.49 0.31 0.425 1.02 0.43 0.25 0.193 0.43 0.15 0.18 0.185 0.38 0.17 0.18 0.125 0.18 0.16 0.16 0.223 0.41 0.33                                  
      continuing operations
     0.21 0.26 0.38 0.25 -0.14 0.3 0.36 -0.15                                                                                         
      discontinued operations
         0.13 -0.34 -0.02 -0.21                                                                                         
      net income attributable to calavo growers, inc
     0.225 0.26 0.38 0.25 -0.013 -0.04 0.34                                    8,472,000                                                      
      diluted
                                                                                                     
      income tax expense
       -2,536,000 -1,255,000   -390,000                                                                                          
      expenses (recovery) related to mexican tax matters
         202,500 225,000   307,750 -1,203,000                                                                                       
      income before income taxes and loss from unconsolidated entities
         457,000 4,503,000 6,693,000  -1,518,000 7,823,000   -118,000 2,570,000 -455,000 -4,785,000 -19,400,000 -88,000 12,697,000 7,335,000                                                                             
      net loss from unconsolidated entities
         -104,000 -579,000   -481,000 -498,000  156,000 248,000 -269,000 -8,000 -535,000 36,000 -469,000 -1,131,000 -155,000 -1,593,750 -1,170,000 -2,177,000 -3,028,000 -2,986,000 -2,510,000                                                                       
      add: net loss attributable to noncontrolling interest
         -35,000 30,000   13,000 -82,000 -35,000 -273,000 168,000 -17,000 85,000 117,000 83,000 -66,000 47,000                                                                              
      add: net income attributable to noncontrolling interest
           -37,000 -10,000                                     214,500 60,000 298,000 500,000 80,000 274,000 20,000 26,000    27,000    21,000 17,250 50,000                                   
      loss before income taxes and loss from unconsolidated entities
            -2,002,000   -3,420,000 -4,031,000                                                                                     
      net loss attributable to calavo growers, inc.
            -6,267,000   -3,995,000 -3,068,000                                                                                     
      calavo growers, inc.’s net loss per share:
                                                                                                     
      basic
    0.04         -0.45 0.37 -0.23 -0.17 -0.18 0.07 -0.01 -0.23 -0.73 -0.74 0.5 0.3 -0.283 -0.89 -0.19 -0.05 0.3 0.61 0.93 0.26 -0.07 0.71 0.81 0.41 0.388 0.51 0.74 0.3 0.415 0.73 0.56 0.37 0.27 0.5 0.49 0.31 0.425 1.02 0.43 0.25 0.193 0.43 0.15 0.18 0.185 0.38 0.17 0.18 0.125 0.18 0.16 0.16 0.223 0.41 0.33                                  
      net loss attributable to calavo growers, inc
            -0.35                                                                                         
      diluted
                                                                                                     
      impairment and charges related to florida facility closure
                                                                                                     
      unrealized net income on limoneira shares
                                                                                                     
      unrealized net loss on limoneira shares
                                                                                                     
      calavo growers, inc.’s net loss per share:
                                                                                                     
      basic
    0.04         -0.45 0.37 -0.23 -0.17 -0.18 0.07 -0.01 -0.23 -0.73 -0.74 0.5 0.3 -0.283 -0.89 -0.19 -0.05 0.3 0.61 0.93 0.26 -0.07 0.71 0.81 0.41 0.388 0.51 0.74 0.3 0.415 0.73 0.56 0.37 0.27 0.5 0.49 0.31 0.425 1.02 0.43 0.25 0.193 0.43 0.15 0.18 0.185 0.38 0.17 0.18 0.125 0.18 0.16 0.16 0.223 0.41 0.33                                  
      diluted
    0.04         -0.45 0.37 -0.23 -0.17 -0.18 0.07 -0.01 -0.23 -0.73 -0.74 0.5 0.3 -0.283 -0.89 -0.19 -0.05 0.29 0.6 0.93 0.26 -0.07 0.7 0.8 0.41 0.385 0.5 0.74 0.3 0.413 0.73 0.56 0.37 0.28 0.5 0.49 0.31 0.425 1.02 0.43 0.25 0.19 0.43 0.15 0.18 0.185 0.38 0.17 0.18 0.125 0.18 0.16 0.16 0.223 0.41 0.33                                  
      gain on sale of temecula packinghouse
                 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 54,000 54,000 -108,000 54,000 54,000 54,000 75,000 75,000 1,927,000                                                                      
      recovery on reserve for freshrealm note receivable
                                                                                                     
      unrealized net gain on limoneira shares
                 -1,450,750 1,225,000 -4,898,000 -2,130,000 -2,985,000 -252,000 3,506,000 3,589,000                                                                             
      impairment and charges related to rfg florida facility closure
                   305,000 565,000                                                                                 
      recovery (loss) on reserve for freshrealm note receivable and impairment of investment
                      6,000,000                                                                               
      loss on reserve for freshrealm note receivable and impairment of investment
                         -9,298,000 -37,192,000                                                                           
      unrealized and realized net gain on limoneira shares
                         -2,281,250 218,000 -10,349,000 1,006,000   1,359,000                                                                      
      income before provision for income taxes and loss from unconsolidated entities
                         -5,036,250 -19,084,000 -2,438,000 1,377,000 9,104,000 17,147,000 24,987,000                                                                      
      ​
                                                                                                     
      unrealized and realized net loss on limoneira shares
                             -1,460,000 -5,116,000  -4,505,000                                                                     
      income from unconsolidated entities
                               -3,136,000 -6,298,000 -8,451,000 -3,677,000                                                                   
      income before provision for income taxes and income from unconsolidated entities
                                12,312,000 7,340,000 19,448,000                                                                   
      income before provision for income taxes
                                   18,780,000 11,291,000        10,101,000                       7,864,000 3,747,000 -15,370,000 4,062,000 7,479,000 7,088,000 72,000 2,273,000 2,645,000 1,192,000 -8,399,000 3,577,000 4,242,000 2,181,000               2,949,000 847,000 2,593,750 5,781,000 4,029,000  
      gross margin
                                     20,757,250 24,852,000 36,253,000 21,924,000 27,085,000 32,644,000 26,807,000 20,998,000 20,169,000 24,278,000 22,975,000 17,805,000 17,616,000 20,945,000 18,977,000 13,690,000 -25,352,000 18,078,000 11,536,000 13,124,000 -24,954,000 16,213,000 14,695,000 12,045,000 -15,997,000 11,340,000 9,420,000 8,669,000 -22,942,000 15,275,000 13,086,000 8,875,000 -26,075,000 9,906,000 12,939,000 12,459,000 -8,849,000 7,692,000 7,294,000 6,029,000 -17,610,000 8,627,000 9,191,000 6,968,000 -15,303,000 10,216,000 8,661,000 3,410,000 4,233,000 9,194,000 6,355,000 1,952,000 4,848,250 8,485,000 7,796,000 3,112,000 5,330,000 9,241,000 6,971,000 3,923,000 4,901,000 8,911,000 7,119,000  
      income before benefit from income taxes
                                     10,208,500 12,515,000 20,537,000 7,782,000 11,342,500 20,032,000 15,237,000  8,700,500 13,551,000   9,794,250 24,036,000 9,844,000 5,297,000 -8,871,000 9,288,000 3,264,000 4,189,000 -11,818,000 8,328,000 7,235,000 4,347,000 -5,947,000 4,391,000 4,008,000 3,676,000 -14,125,000 9,942,000               1,823,750 4,796,000 3,608,000  -497,000 4,522,000 3,957,000  2,050,000 4,799,000 3,890,000  2,157,000 5,526,000       
      benefit from income taxes
                                     3,470,750 3,719,000 7,603,000 2,561,000 4,152,250 7,323,000 5,561,000      3,329,500 8,064,000 3,432,000 1,822,000 -3,618,000 3,163,000 1,071,000 1,508,000 -7,103,000 2,684,000 4,700,000 1,695,000 -2,169,000 1,689,000 1,634,000 1,386,000 -5,875,000 4,045,000               711,250 1,870,000 1,419,000  20,000 1,603,000 1,490,000  775,000 1,739,000 1,556,000  471,000 2,287,000       
      less: net income (income) attributable to noncontrolling interest
                                       11,000 28,000                                                             
      contingent consideration related to rfg acquisition
                                                                                                     
      gain on deconsolidation of freshrealm
                                                 3,155,500 12,622,000                                                   
      benefit for income taxes
                                             3,097,500 4,910,000 4,590,000 2,890,000                                    -444,000    -932,000    -195,000         
      add: net income attributable to noncontrolling interest
                                                                                                     
      income before income taxes
                                               13,062,000                                                      
      net income attributable to calavo growers, inc
     0.225 0.26 0.38 0.25 -0.013 -0.04 0.34                                    8,472,000                                                      
      income before benefit for income taxes
                                                8,189,000                                    -1,109,000    -2,479,000    -489,000         
      add: net income – noncontrolling interest
                                                         15,250 21,000 13,000                                          
      add: net income — noncontrolling interest
                                                             15,500 11,000 30,000                                      
      calavo growers, inc.’s shares used in per share computation:
                                                                                                     
      less: net loss – noncontrolling interest
                                                                   -19,000                                  
      net income per share
                                                                                                     
      basic
                                                                    0.16 -0.62 0.17 0.31 0.3 0.02 0.1 0.11 0.05 -0.35 0.16 0.18 0.09 -0.22 0.2 0.15 -0.05 -0.04 0.21 0.18 -0.11 0.095 0.23 0.17 -0.02 0.13 0.25 0.13 0.04 0.125 0.26 0.2  
      diluted
                                                                    0.16 -0.62 0.17 0.31 0.3 0.02 0.1 0.11 0.05 -0.35 0.15 0.18 0.09 -0.22 0.2 0.15 -0.05 -0.04 0.21 0.18 -0.11 0.095 0.23 0.17 -0.02 0.13 0.25 0.13 0.04 0.125 0.26 0.19  
      other expense
                                                                                -156,000               -206,000 -115,000 -84,250 -184,000 -4,000  
      other income/(expense)
                                                                                    -75,000                 
      special charges
                                                                                             25,750 5,000 98,000      
      costs and expenses:
                                                                                                     
      processing, packing, and costs of nonmember fruit
                                                                                                    18,388,000 
      freight and handling
                                                                                                    2,292,000 
      general and administrative
                                                                                                    1,156,000 
      operating proceeds and nonmember operating income
                                                                                                    36,481,000 
      increase in members’ fresh fruit inventories
                                                                                                    453,000 
      operating proceeds and nonmember income before income tax provision
                                                                                                    37,000,000 
      income tax provision
                                                                                                    381,000 
      net proceeds available for distribution and nonmember net income
                                                                                                    36,619,000 
      net proceeds distributed for member fruit
                                                                                                    -33,273,000 
      under distribution to members
                                                                                                    -3,418,000 
      net income from nonmember products
                                                                                                    -72,000 
      weighted-average shares outstanding, basic and diluted
                                                                                                    9,963,000 
      basic and diluted net income per share from nonmember products
                                                                                                    -0.01 
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2026-01-31 2025-10-31 2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-10-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31 2015-07-31 2015-04-30 2015-01-31 2014-10-31 2014-07-31 2014-04-30 2014-01-31 2013-10-31 2013-07-31 2013-04-30 2013-01-31 2012-10-31 2012-07-31 2012-04-30 2012-01-31 2011-10-31 2011-07-31 2011-04-30 2011-01-31 2010-10-31 2010-07-31 2010-04-30 2010-01-31 2009-10-31 2009-07-31 2009-04-30 2009-01-31 2008-10-31 2008-07-31 2008-04-30 2008-01-31 2007-10-31 2007-07-31 2007-04-30 2007-01-31 2006-10-31 2006-07-31 2006-04-30 2006-01-31 2005-10-31 2005-07-31 2005-07-01 2005-04-30 2005-01-31 2004-10-31 2004-07-31 2004-04-30 2004-01-31 2003-10-31 2003-07-31 2003-04-30 2003-01-31 2002-10-31 2002-07-31 2002-04-30 2001-10-31 2001-07-31 
                                                                                                         
        assets
                                                                                                         
        current assets:
                                                                                                         
        cash and cash equivalents
      47,670,000 61,155,000 63,754,000 60,361,000 48,490,000 57,031,000 1,126,000 4,273,000 5,658,000 2,091,000 1,402,000 4,198,000 1,797,000 2,060,000 2,505,000 2,317,000 7,826,000 1,885,000 368,000 5,582,000 8,168,000 4,055,000 3,573,000 3,284,000 4,937,000 7,973,000 5,168,000 7,361,000 4,211,000 1,520,000 2,029,000 2,377,000 2,942,000 6,625,000 8,871,000 10,468,000 7,586,000 13,842,000 14,650,000 7,888,000 8,188,000 7,171,000 5,536,000 9,269,000 5,132,000 6,744,000 9,436,000 19,914,000 6,346,000 8,019,000 5,927,000 7,119,000 9,067,000 7,103,000 5,124,000 4,682,000 3,595,000 2,774,000 2,454,000 1,370,000 936,000 1,064,000 1,393,000 2,408,000 972,000 875,000 2,054,000 4,975,000 1,385,000 1,509,000 313,000 2,658,000 1,667,000 967,000 1,243,000 1,568,000 191,000 50,000 107,000 287,000 238,000 1,133,000 1,186,000  1,058,000 511,000 636,000 848,000 682,000 201,000 5,375,000 4,758,000 854,000 123,000 921,000 72,000 889,000 1,539,000 1,539,000 
        accounts receivable
      40,557,000 31,647,000 41,467,000 57,603,000 47,088,000 41,909,000 51,845,000 56,142,000 35,158,000 61,376,000 76,417,000 68,827,000 62,233,000 59,016,000 78,490,000 103,153,000 89,467,000 78,866,000 79,979,000 90,112,000 71,603,000 63,668,000 69,724,000 76,261,000 78,654,000 63,423,000 87,977,000 83,392,000 73,323,000 66,143,000 73,412,000 76,925,000 72,655,000 69,750,000 81,217,000 94,970,000 76,378,000 70,101,000 86,575,000 75,888,000 74,122,000 58,606,000 66,147,000 80,493,000 70,310,000 56,618,000 63,731,000 64,093,000 60,060,000 55,060,000 60,464,000 59,349,000 48,367,000 38,870,000 44,303,000 51,512,000 39,693,000 36,101,000 63,455,000 41,101,000 36,704,000 31,743,000 35,114,000 39,551,000 29,163,000 22,314,000 37,208,000 36,712,000 28,175,000 27,717,000 34,079,000 36,593,000 31,644,000 25,992,000 33,300,000 29,114,000 26,472,000 24,202,000 30,749,000 30,162,000 23,568,000 19,253,000 33,695,000  26,125,000 18,728,000 21,131,000 27,749,000 27,563,000 20,104,000 16,560,000 27,896,000 23,687,000 17,466,000 17,907,000 26,948,000  19,302,000 19,302,000 
        inventories
      37,770,000 33,604,000 30,328,000 41,625,000 39,873,000 34,157,000 31,822,000 41,554,000 39,551,000 39,430,000 38,878,000 42,818,000 44,092,000 38,830,000 36,073,000 53,617,000 52,402,000 40,757,000 47,443,000 53,335,000 41,706,000 41,787,000 43,944,000 46,908,000 42,237,000 36,889,000 46,340,000 49,616,000 38,463,000 35,044,000 35,857,000 39,158,000 31,184,000 30,858,000 32,714,000 38,634,000 24,409,000 31,849,000 36,410,000 29,849,000 27,090,000 26,351,000 31,574,000 31,045,000 27,062,000 30,975,000 33,035,000 32,261,000 27,659,000 28,673,000 31,590,000 25,434,000 22,331,000 22,948,000 21,001,000 25,032,000 20,785,000 17,787,000 21,852,000 21,820,000 15,721,000 14,831,000 15,881,000 15,283,000 13,410,000 11,731,000 15,008,000 15,616,000 13,425,000 14,889,000 16,938,000 14,933,000 12,352,000 8,359,000 13,314,000 14,962,000 12,399,000 10,569,000 10,743,000 10,502,000 11,276,000 10,096,000 15,493,000  13,167,000 11,273,000 11,375,000 13,759,000 12,612,000 10,539,000 8,021,000 12,468,000 13,260,000 14,507,000 12,461,000 16,476,000 16,538,000 12,554,000 12,554,000 
        prepaid expenses and other current assets
      9,034,000 7,649,000 8,411,000 9,457,000 11,514,000 9,976,000 8,855,000 8,188,000 10,256,000 13,934,000 12,913,000 11,296,000 10,918,000 8,868,000 9,216,000 9,333,000 10,905,000 11,946,000 14,227,000 9,418,000 12,031,000 10,733,000 10,365,000 11,118,000 10,826,000 9,027,000 7,248,000 7,878,000 8,033,000 16,727,000 6,688,000 7,026,000 7,680,000 6,872,000 6,974,000 6,391,000 6,554,000 14,402,000 13,317,000 14,540,000 13,206,000 15,763,000 19,263,000 20,909,000 22,328,000 19,528,000 13,992,000 13,528,000 11,965,000 10,757,000 8,784,000 8,539,000 8,013,000 7,190,000 5,574,000 6,797,000 6,519,000 6,220,000 6,043,000 5,429,000 7,964,000 8,424,000 5,368,000 5,149,000 7,177,000 7,191,000 7,154,000 6,038,000 5,344,000 5,155,000 4,567,000 6,017,000 6,399,000 4,911,000 6,923,000 5,969,000 4,865,000 4,934,000 5,113,000 5,242,000 5,931,000 5,879,000 4,384,000  4,683,000 4,757,000 4,598,000 4,135,000 3,924,000 5,237,000 4,487,000 3,760,000 3,765,000 3,773,000 3,945,000 3,195,000 3,805,000 2,678,000 2,678,000 
        advances to suppliers
      15,305,000 13,075,000 14,216,000 10,277,000 10,275,000 14,570,000 12,828,000 11,196,000 13,409,000 14,684,000 15,839,000 13,271,000 9,754,000 12,430,000 12,698,000 7,904,000 9,951,000 6,693,000 8,703,000 9,521,000 4,909,000 5,061,000 3,265,000 9,000 3,872,000 7,338,000 5,140,000 4,136,000 4,332,000 5,555,000 5,321,000 2,719,000 1,892,000 4,346,000 2,519,000 1,491,000 6,175,000 4,425,000 2,000,000   2,820,000 2,746,000 76,000 460,000 3,258,000 1,385,000 39,000 3,419,000 3,213,000 1,963,000 31,000 1,324,000 2,369,000 1,795,000 1,342,000 3,617,000 3,349,000 1,227,000 671,000 368,000 1,598,000 658,000 12,239,000 6,152,000 2,329,000 1,962,000 11,349,000 5,712,000 2,927,000 1,891,000 11,173,000 2,337,000 2,292,000 1,775,000 5,966,000 3,545,000 1,406,000 161,000 255,000 588,000 1,141,000 2,401,000  160,000 248,000 2,413,000 2,396,000 430,000 451,000 624,000 3,148,000 2,014,000 100,000 2,535,000 3,079,000  3,506,000 3,506,000 
        income taxes receivable
      2,296,000 2,296,000 936,000 936,000 936,000 936,000 3,611,000 2,064,000 894,000 1,094,000 4,150,000 4,330,000 4,117,000 3,396,000 8,502,000 8,664,000 8,016,000 11,524,000 6,577,000 2,419,000 6,703,000 10,591,000 7,543,000 8,850,000 4,004,000 2,865,000 361,000  2,296,000 3,521,000    1,377,000 252,000  2,675,000 334,000   3,120,000 6,111,000 978,000 2,460,000 4,601,000 2,627,000  773,000 2,235,000 2,013,000 1,519,000 3,083,000 2,807,000 2,762,000 2,471,000  1,609,000 3,111,000 1,529,000 1,904,000 2,439,000 1,816,000   762,000 2,178,000    992,000   1,123,000 1,539,000    2,268,000   1,368,000 893,000    1,699,000 803,000   262,000   499,000 316,000 225,000     
        total current assets
      152,632,000 149,426,000 159,112,000 180,259,000 158,176,000 158,579,000 238,300,000 262,344,000 245,597,000 133,370,000 150,360,000 144,740,000 132,911,000 125,674,000 148,445,000 185,937,000 179,537,000 152,641,000 158,267,000 170,387,000 145,120,000 135,895,000 138,414,000 146,430,000 144,530,000 127,515,000 152,234,000 152,383,000 130,658,000 128,510,000 123,307,000 128,205,000 116,353,000 119,828,000 132,547,000 151,954,000 123,777,000 134,953,000 152,952,000 128,165,000 125,726,000 116,822,000 129,538,000 147,546,000 133,187,000 123,044,000 123,574,000 132,603,000 113,679,000 109,730,000 112,469,000 105,777,000 94,131,000 83,464,000 82,404,000 91,501,000 77,954,000 71,478,000 98,896,000 74,631,000 66,468,000 61,812,000 61,142,000 77,358,000 60,364,000 49,346,000 65,416,000 76,516,000 55,867,000 55,015,000 60,313,000 74,192,000 58,047,000 46,585,000 59,485,000 59,927,000 51,344,000 45,777,000 49,524,000 49,099,000 45,620,000 41,046,000 59,029,000  47,334,000 39,237,000 42,940,000 50,331,000 46,881,000           
        property, plant, and equipment
      48,524,000 49,435,000 50,603,000 51,058,000 52,519,000 54,200,000 55,894,000 57,796,000 59,206,000 112,729,000 114,224,000 115,086,000 115,728,000 113,310,000 114,481,000 114,778,000 116,034,000 118,280,000 129,080,000 130,787,000 131,888,000 130,270,000 130,923,000 131,414,000 131,209,000 132,098,000 131,245,000 125,696,000 122,522,000 122,143,000 121,309,000 121,803,000 121,766,000 120,072,000 118,277,000 114,272,000 114,581,000 87,837,000 80,060,000 75,299,000 72,158,000 69,448,000 66,446,000 60,855,000 59,475,000 57,352,000 54,335,000 55,568,000 53,050,000 52,649,000 51,798,000 51,230,000 50,966,000 50,562,000 50,193,000 48,606,000 47,696,000 47,091,000 46,267,000 42,341,000 41,403,000 41,059,000 40,448,000 40,020,000 39,232,000 38,621,000 38,506,000 38,223,000 37,849,000 37,709,000 33,075,000 22,091,000 20,893,000 20,888,000 20,997,000 21,031,000 21,239,000 19,908,000 18,651,000 17,666,000 17,273,000 16,897,000 16,729,000  16,868,000 17,365,000 17,427,000 16,857,000 16,781,000 15,606,000 13,121,000 10,121,000 9,908,000 9,511,000 9,497,000 8,877,000 8,972,000 9,647,000 9,647,000 
        operating lease right-of-use assets
      15,518,000 16,333,000 16,813,000 17,610,000 17,471,000 18,316,000 19,244,000 16,664,000 17,507,000 48,033,000 49,744,000 51,265,000 53,132,000 54,518,000 55,838,000 57,042,000 58,568,000 59,842,000 57,036,000 58,169,000 59,565,000 60,262,000 61,875,000 63,678,000 64,159,000                                                                           
        investments in unconsolidated entities
      1,666,000 2,210,000 2,602,000 3,004,000 3,286,000 2,424,000 2,528,000 3,107,000 2,903,000 2,902,000 3,383,000 3,882,000 3,937,000 3,782,000 3,533,000 3,802,000 3,810,000 4,346,000 4,309,000 4,779,000 5,909,000 6,065,000 5,800,000 9,755,000 7,694,000 10,722,000                                         1,151,000                                 
        deferred income tax assets
      8,317,000 8,317,000 7,473,000 7,473,000 7,473,000 7,473,000 3,010,000 3,010,000 3,010,000 3,010,000                                                                                          
        goodwill
      10,211,000 10,211,000 10,211,000 10,211,000 10,211,000 10,211,000 10,211,000 10,211,000 10,211,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,653,000 28,568,000 28,568,000 28,469,000 28,077,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,262,000 18,349,000 18,349,000 18,349,000 18,349,000 18,696,000 4,085,000 4,085,000 4,085,000 3,679,000 3,679,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000 3,591,000  3,591,000 3,591,000 3,591,000 3,591,000 3,591,000           
        other assets
      61,315,000 56,317,000 54,435,000 51,838,000 49,791,000 49,916,000 52,964,000 57,962,000 55,974,000 52,459,000 56,726,000 51,496,000 49,876,000 47,170,000 45,421,000 44,745,000 43,408,000 40,500,000 40,006,000 39,018,000 36,205,000 32,558,000 41,093,000 39,230,000 33,244,000 31,341,000 30,132,000 30,126,000 29,046,000 27,030,000 25,035,000 24,330,000 23,975,000 22,791,000 23,885,000 22,094,000 19,892,000 13,249,000 14,295,000 14,220,000 13,203,000 14,001,000 7,753,000 8,954,000 9,274,000 9,784,000 10,114,000 11,436,000 12,034,000 12,347,000 13,186,000 13,540,000 14,949,000 16,242,000 14,805,000 15,242,000 15,676,000 16,122,000 14,174,000 4,702,000 6,083,000 6,240,000 6,396,000 7,780,000 5,992,000 6,076,000 6,189,000 7,543,000 7,660,000 7,785,000 7,996,000 7,651,000 7,874,000 7,589,000  3,784,000 4,012,000 4,110,000 2,335,000 2,383,000 1,902,000 1,314,000 1,378,000  1,482,000 1,589,000 1,782,000 3,996,000 4,053,000 3,321,000 3,769,000 3,664,000 3,806,000 4,482,000 3,943,000 4,378,000 3,906,000 2,335,000 2,335,000 
        total assets
      298,183,000 292,249,000 301,249,000                                                                                                 
        liabilities and shareholders' equity
                                                                                                         
        current liabilities:
                                                                                                         
        payable to growers
      19,612,000 15,353,000 31,849,000 48,568,000 15,397,000 18,377,000 26,377,000 37,491,000 21,964,000 14,788,000 22,712,000 26,834,000 16,119,000 20,223,000 35,748,000 52,105,000 37,798,000 23,033,000 30,040,000 31,390,000 11,556,000 11,346,000 18,490,000 28,037,000 21,052,000 13,463,000 34,597,000 25,632,000 10,247,000 14,001,000 22,025,000 27,373,000 17,304,000 16,524,000 27,986,000 37,480,000 16,484,000 20,965,000 39,991,000 19,613,000 11,164,000 3,924,000 15,035,000 25,078,000 7,822,000 6,660,000 20,920,000 19,117,000 4,720,000 14,490,000 28,049,000 17,301,000 5,985,000 8,475,000 14,132,000 12,535,000 4,389,000 5,082,000 28,820,000 14,068,000 4,013,000 11,208,000 16,969,000 7,676,000 1,650,000 396,000 13,648,000 6,219,000 572,000 2,392,000 14,872,000 9,603,000 1,723,000 2,414,000 12,718,000 6,715,000 2,745,000 6,334,000 12,540,000 10,428,000 6,740,000 1,753,000 18,030,000  10,070,000 2,784,000 5,789,000 14,949,000 15,783,000 6,092,000 3,446,000 16,701,000 12,380,000 8,011,000 6,368,000 19,067,000 12,880,000   
        trade accounts payable
      7,351,000 8,374,000 9,772,000 6,808,000 6,725,000 8,742,000 9,819,000 6,505,000 4,916,000 15,537,000 16,425,000 19,176,000 17,421,000 10,436,000 11,551,000 18,639,000 11,848,000 9,794,000 10,424,000 14,012,000 14,417,000 9,384,000 10,640,000 7,555,000 21,880,000 17,421,000 15,385,000 13,903,000 16,917,000 13,735,000 16,338,000 16,420,000 20,676,000 22,911,000 30,597,000 28,346,000 23,575,000 22,447,000 23,667,000 21,285,000 21,347,000 19,600,000 19,510,000 19,125,000 16,703,000 15,065,000 16,061,000 15,850,000 12,330,000 11,699,000 13,308,000 12,535,000 9,498,000 7,898,000 10,884,000 9,010,000 7,743,000 7,038,000 7,813,000 2,291,000 2,650,000 2,839,000 3,124,000 2,682,000 2,446,000 2,223,000 3,104,000 7,545,000 2,576,000 4,567,000 3,176,000 2,837,000 2,742,000 2,643,000 3,083,000 2,222,000 2,675,000 4,046,000 3,203,000 1,742,000 3,372,000 1,892,000 2,383,000  2,237,000 2,245,000 2,490,000 3,599,000 1,579,000 2,437,000 1,534,000 2,077,000 1,313,000 904,000 1,708,000 1,417,000 2,279,000 2,120,000 2,120,000 
        accrued expenses
      26,518,000 21,237,000 10,459,000 17,491,000 29,516,000 28,149,000 16,962,000 19,829,000 20,582,000 31,108,000 42,183,000 50,247,000 51,894,000 51,795,000 51,672,000 50,086,000 47,761,000 42,063,000 40,713,000 42,035,000 46,961,000 36,922,000 37,010,000 33,358,000 36,074,000 39,629,000 48,941,000 43,178,000 39,528,000 38,521,000 35,799,000 36,752,000 35,575,000 39,946,000 27,771,000 26,594,000 24,683,000 31,095,000 25,837,000 22,776,000 23,445,000 21,311,000 19,679,000 20,605,000 24,708,000 25,303,000 26,236,000 22,568,000 23,802,000 20,939,000 19,140,000 24,155,000 27,832,000 22,237,000 18,017,000 19,367,000 21,297,000 19,285,000 17,773,000 12,781,000 16,646,000 15,353,000 15,102,000 42,637,000 26,153,000 20,032,000 22,300,000 28,949,000 19,490,000 16,104,000 18,442,000 28,412,000 16,726,000 12,227,000 12,420,000 22,803,000 15,562,000 13,689,000 12,046,000 14,413,000 11,330,000 12,482,000 10,723,000  10,287,000 12,127,000 8,234,000 7,399,000 8,402,000 8,189,000 7,777,000 7,437,000 5,970,000 6,215,000 7,015,000 6,253,000 5,419,000 2,813,000 2,813,000 
        income tax payable
      123,000 63,000 1,721,000 2,002,000 4,115,000 2,767,000                                         3,680,000         471,000            1,887,000 1,618,000  376,000     114,000   823,000 42,000   177,000        51,000         
        mexico tax liability
      11,000,000 11,000,000                                                                                                  
        current portion of operating leases
      3,602,000 3,568,000 3,479,000 3,466,000 3,180,000 3,296,000 3,480,000 3,401,000 3,585,000 7,062,000 6,911,000 6,832,000 6,969,000 6,925,000 6,966,000 6,879,000 6,876,000 6,817,000 7,051,000 6,726,000 6,674,000 6,443,000 6,399,000 6,218,000 5,881,000                                                                           
        current portion of finance leases
      875,000 885,000 921,000 836,000 861,000                                                                                               
        total current liabilities
      69,081,000 60,480,000 69,201,000 90,171,000 70,794,000 73,205,000 116,592,000 133,182,000 120,895,000 81,746,000 101,309,000 115,782,000 105,122,000 101,953,000 118,454,000 140,248,000 116,876,000 114,624,000 100,714,000 95,584,000 81,137,000 106,331,000 98,414,000 121,015,000 113,132,000 90,629,000 99,677,000 109,855,000 105,804,000 98,943,000 83,256,000 103,546,000 106,546,000 116,167,000 124,491,000 144,404,000 124,374,000 109,341,000 112,807,000 97,664,000 101,373,000 97,858,000 93,310,000 114,593,000 107,716,000 100,997,000 100,868,000 103,886,000 98,787,000 97,380,000 92,156,000 94,878,000 81,424,000 73,808,000 68,533,000 80,046,000 67,649,000 62,836,000 83,994,000 54,871,000 49,419,000 47,011,000 43,030,000 63,225,000 46,186,000 36,789,000 48,668,000 52,685,000 36,129,000 39,602,000 44,058,000 55,463,000 40,948,000 30,251,000 39,859,000 39,412,000 27,081,000 33,754,000 31,673,000 32,288,000 30,595,000 23,428,000 33,496,000  23,323,000 20,177,000 22,587,000 27,108,000 27,002,000           
        long-term liabilities:
                                                                                                         
        long-term portion of operating leases
      14,048,000 14,962,000 15,594,000 16,466,000 16,683,000 17,476,000 18,242,000 15,759,000 16,488,000 45,393,000 47,281,000                                                                                         
        long-term portion of finance leases
      3,871,000 4,051,000 4,211,000 3,873,000 4,069,000                                                                                               
        other long-term liabilities
      3,842,000 4,198,000 4,243,000 4,384,000 4,512,000 4,388,000 4,432,000 4,609,000 4,653,000 4,653,000 2,229,000 2,284,000 2,602,000 2,635,000 2,915,000 2,970,000 3,026,000 3,081,000 3,136,000 3,192,000 3,247,000 3,302,000 3,519,000 3,575,000 3,549,000 4,769,000 4,987,000 5,063,000 842,000 842,000    657,000                                                                  
        total long-term liabilities
      21,761,000 23,211,000 24,048,000 24,723,000 25,264,000 26,138,000 60,657,000 70,856,000 71,255,000 94,879,000 94,531,000 78,185,000 74,599,000 60,422,000 86,232,000 104,277,000 128,474,000 103,895,000 99,271,000 106,984,000 103,589,000 67,291,000 69,321,000 70,237,000 71,255,000 13,862,000 14,208,000 11,721,000 4,008,000 3,834,000 3,132,000 3,089,000 3,128,000 3,828,000 2,963,000 2,713,000 2,715,000 2,752,000 3,034,000 753,000 786,000 820,000  1,168,000 1,970,000 2,791,000 6,931,000 9,723,000 9,280,000 13,986,000 20,928,000 19,173,000 22,252,000 23,704,000 22,338,000 23,827,000 25,501,000 26,246,000 27,800,000 15,434,000 15,782,000 14,355,000 12,492,000 14,513,000 16,721,000 16,940,000 16,597,000 26,820,000 28,702,000 29,567,000 30,445,000 22,603,000 19,544,000 23,764,000 24,963,000 26,594,000 29,472,000 14,797,000 15,162,000 18,659,000 17,907,000 20,308,000 19,478,000  858,000 860,000 874,000 801,000 806,000           
        commitments and contingencies
                                                                                                         
        shareholders' equity:
                                                                                                         
        common stock
      18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 18,000 17,000 17,000       17,000    15,000    14,000    14,000    14,000    14,000    14,000    14,000    14,000    14,000     14,000    13,000    13,000  12,000   
        additional paid-in capital
      180,637,000 179,082,000 178,803,000 178,522,000 178,198,000 177,973,000 177,690,000 177,302,000 176,823,000 176,481,000 175,653,000 174,674,000 172,524,000 171,223,000 170,208,000 169,453,000 168,692,000 168,133,000 167,215,000 166,709,000 165,487,000 165,000,000 164,082,000 163,230,000 162,584,000 161,606,000 160,722,000 159,838,000 158,941,000 157,928,000 157,011,000 156,069,000 155,127,000 154,243,000 153,073,000 152,241,000 151,575,000 149,748,000 148,811,000 148,193,000 147,636,000 147,063,000 146,875,000 145,906,000 145,055,000 144,496,000 65,584,000 65,358,000 59,606,000 59,376,000 51,904,000 47,587,000 51,757,000 51,276,000 50,565,000 50,451,000 50,307,000 49,929,000 49,891,000 42,642,000 42,575,000 42,319,000 41,674,000 41,586,000 39,726,000 39,714,000 39,751,000 38,689,000 38,677,000 38,626,000 38,496,000 38,465,000 38,451,000 38,068,000 37,190,000 37,160,000 37,117,000 37,109,000 36,899,000 36,576,000 36,278,000 37,240,000 38,942,000  28,847,000 28,835,000 28,822,000 28,809,000 28,797,000 28,784,000 24,727,000 24,727,000 24,727,000 24,727,000 24,221,000 19,476,000 19,487,000 192,000 192,000 
        retained earnings
      24,996,000 27,840,000 27,603,000 26,465,000 23,189,000 22,341,000 26,060,000 28,572,000 24,290,000 32,338,000 42,024,000 37,176,000 42,945,000 51,115,000 54,430,000 53,130,000 53,321,000 57,364,000 90,649,000 103,630,000 94,789,000 89,512,000 103,870,000 119,506,000 122,784,000 122,557,000 136,700,000 126,097,000 109,752,000 93,124,000 112,022,000 99,672,000 85,550,000 78,411,000 84,802,000 75,992,000 63,047,000 57,798,000 64,254,000 51,509,000 41,820,000 35,472,000 44,592,000 35,951,000 27,479,000 22,180,000 82,369,000 66,337,000 59,627,000 55,653,000 60,627,000 54,228,000 52,015,000 49,342,000 52,793,000 47,128,000 44,580,000 41,902,000 46,386,000 43,673,000 41,269,000 38,965,000 42,307,000 36,360,000 31,567,000 29,293,000 34,241,000 31,776,000 27,314,000 22,934,000 23,988,000 22,599,000 20,987,000 20,257,000 24,097,000 21,875,000 19,288,000 17,957,000 21,192,000 18,266,000 16,077,000 16,742,000 21,823,000  18,904,000 16,437,000 17,984,000 20,926,000 17,866,000 15,532,000 15,970,000 17,516,000 14,277,000 12,542,000 12,042,000 13,401,000 10,277,000   
        total calavo growers, inc. shareholders' equity
      205,651,000 206,940,000                                                                                                  
        noncontrolling interest
      1,690,000 1,618,000 1,576,000 1,554,000 1,464,000 1,444,000 1,409,000 1,439,000 1,402,000 1,392,000 1,405,000 1,323,000 1,288,000 1,015,000 1,183,000 1,166,000 1,251,000 1,368,000 1,451,000 1,385,000 1,432,000 1,472,000 1,560,000 1,496,000 1,625,000 1,688,000 1,722,000 1,675,000 1,742,000 1,748,000 1,779,000 1,761,000 1,867,000 1,016,000 909,000 923,000 934,000 962,000 989,000 1,025,000 1,038,000 1,011,000         37,000 311,000 331,000 357,000 400,000 421,000 434,000 461,000 513,000 524,000  575,000 630,000 680,000                                    
        total shareholders' equity
      207,341,000 208,558,000 208,000,000 206,559,000 202,869,000 201,776,000 205,177,000 207,331,000 202,533,000 210,229,000 219,100,000 213,191,000 216,775,000 223,371,000 225,839,000 223,767,000 223,282,000 226,883,000 259,333,000 271,742,000 261,726,000 256,002,000 269,530,000 284,250,000 287,011,000 285,869,000 299,162,000 287,628,000 270,453,000 264,959,000 286,545,000 268,144,000 250,974,000 244,122,000 248,716,000 236,805,000 219,165,000 215,069,000 218,499,000 205,391,000 189,330,000 185,982,000 198,500,000                                                         
        total liabilities and shareholders' equity
      298,183,000 292,249,000 301,249,000                                                                                                 
        other current liabilities
        11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000                                                                                 
        total calavo growers, inc shareholders' equity
        206,424,000                                                                                                 
        restricted cash
               761,000 761,000   1,074,000 961,000 949,000 970,000 970,000 970,000                                                                                 
        current assets held for sale
            128,213,000 138,927,000 140,671,000                                                                                           
        non-current assets held for sale
                                                                                                         
        intangibles
            275,000 275,000 275,000 5,698,000 6,074,000 6,450,000 6,826,000 7,206,000 7,587,000 7,992,000 8,381,000 8,769,000 9,137,000 9,536,000 9,925,000 10,323,000                                                                              
        current liabilities held for sale
            47,254,000 53,261,000 57,222,000                                                                                           
        current portion of term loan
            814,000 813,000 792,000 647,000 404,000                                                                                         
        current portion of long-term obligations and finance leases
           874,000 886,000 882,000 834,000 1,604,000 1,674,000 1,693,000 1,719,000 1,574,000 1,517,000 1,539,000 1,593,000 1,587,000 1,486,000 1,421,000 1,529,000 1,343,000 1,275,000 847,000 745,000                                                                           
        borrowings pursuant to line of credit, long-term
            29,919,000 42,025,000 41,677,000 35,024,000 36,768,000                                                                                         
        long-term liabilities held for sale
                                                                                                         
        long-term portion of term loan
            2,804,000 3,009,000 3,213,000 3,416,000 3,055,000                                                                                         
        long-term portion of obligations and finance leases
           4,274,000 4,514,000 4,708,000 4,478,000 5,647,000 5,198,000                                                                                         
        deferred income tax liabilities
            746,000 746,000 746,000 746,000                                                                                          
        ​
                414,940,000 407,158,000 396,496,000 385,746,000 430,525,000 468,292,000 468,632,000 445,402,000 459,318,000 474,310,000 446,452,000 429,624,000 437,265,000 475,502,000 471,398,000 390,360,000 413,047,000                                                                         
        deferred income taxes
                5,776,000 5,586,000 5,433,000 5,433,000 5,316,000 5,316,000 5,316,000 5,316,000 2,790,000 2,689,000 2,486,000 2,486,000 8,081,000 556,000 3,447,000 3,447,000 4,377,000 4,377,000 4,377,000 4,377,000 4,778,000 8,641,000 9,419,000 9,783,000 13,007,000 14,319,000 16,641,000 14,944,000 17,588,000 17,462,000 20,812,000  3,294,000 3,294,000 3,294,000 3,294,000 1,995,000 1,995,000 1,995,000 1,995,000 2,222,000 2,222,000 2,222,000 2,222,000 2,136,000 2,136,000 2,136,000 2,136,000 2,336,000 2,336,000 2,336,000 2,336,000 2,728,000 2,728,000 2,728,000 2,728,000 1,826,000 1,826,000 1,826,000 1,826,000 2,525,000 2,525,000 2,525,000 2,525,000 2,348,000 2,348,000 2,348,000 2,348,000 2,651,000 2,651,000 2,651,000 2,651,000 1,775,000  1,775,000 1,775,000 1,775,000 1,379,000 1,379,000 1,379,000 1,379,000 1,252,000 1,252,000 1,252,000 1,252,000 553,000 553,000 537,000 537,000 
        net sales
                259,875,000   1,191,073,000     285,008,000 276,821,000 220,578,000  270,425,000 281,166,000 273,348,000 1,195,777,000 359,332,000                                                                         
        cost of sales
                234,850,000   1,117,228,000     277,141,000 254,221,000 202,739,000  239,590,000 259,091,000 257,540,000 1,067,695,000 323,557,000                                                                         
        gross profit
                25,025,000   73,845,000     7,867,000 22,600,000 17,839,000  30,835,000 22,075,000 15,808,000 128,082,000 35,775,000                                                                         
        selling, general and administrative
                17,842,000   65,698,000     12,387,000 13,683,000 14,174,000  13,424,000 14,504,000 16,298,000 59,113,000 14,295,000                                                                         
        expenses (recovery) related to mexican tax matters
                -1,203,000                                                                                         
        impairment and charges related to florida facility closure
                   959,000                                                                                      
        operating income
                8,386,000   5,987,000     -5,808,000 8,971,000 3,719,000  17,465,000 7,625,000 -436,000 71,046,000 21,555,000                                                                         
        interest expense
                -793,000   -1,686,000     -208,000 -191,000 -174,000  -203,000 -342,000 -187,000 -948,000 -228,000                                                                         
        other income
                230,000   1,017,000     180,000 411,000 201,000  628,000 628,000 994,000 499,000 936,000                                                                         
        unrealized net income on limoneira shares
                                                                                                         
        income before income taxes and income from unconsolidated entities
                7,823,000   -2,787,000     -88,000 12,697,000 7,335,000                                                                               
        income tax benefit
                -617,000   -3,251,000     -12,358,000 -2,772,000 -1,943,000  4,682,000                                                                             
        net income from unconsolidated entities
                -498,000   -564,000     -469,000 -1,131,000 -155,000  -1,170,000 -2,177,000 -3,028,000 -14,082,000 -2,510,000                                                                         
        net income
                6,708,000   -6,602,000     -12,915,000 8,794,000 5,237,000  -15,572,000 -3,407,000 -1,001,000 36,586,000 10,650,000                                                                         
        add: net income (income) attributable to noncontrolling interest
                -82,000        -66,000                                                                                 
        net income attributable to calavo growers, inc.
                6,626,000   -6,249,000     -12,981,000 8,841,000 5,277,000  -15,636,000 -3,278,000 -938,000 36,646,000 10,603,000                                                                         
        calavo growers, inc.’s net income per share:
                                                                                                         
        basic
                370   -350     -740 500 300  -890 -190 -50 2,090 610                                                                         
        diluted
                370   -350     -740 500 300  -890 -190 -50 2,080 600                                                                         
        number of shares used in per share computation:
                                                                                                         
        borrowings pursuant to credit facilities, long-term
                 22,200,000 16,400,000 1,200,000 25,600,000 41,900,000 64,000,000 37,700,000 36,000,000 42,250,000 37,150,000                                                                               
        long-term operating leases, less current portion
                 48,862,000 50,642,000 52,140,000 53,437,000 54,760,000 56,277,000 57,561,000 54,447,000 55,907,000 57,357,000 58,273,000 59,899,000 61,443,000 62,253,000                                                                           
        long-term obligations and finance leases, less current portion
                 4,839,000 4,955,000 4,447,000 4,280,000 4,647,000 5,171,000 5,553,000 5,688,000 5,635,000 5,835,000 5,716,000 5,903,000 5,219,000 5,453,000                                                                           
        dividend payable
                       20,330,000    20,343,000    19,354,000    17,568,000    16,657,000    15,696,000    13,907,000    12,970,000    11,004,000    9,612,000    8,123,000    8,092,000    7,252,000    5,047,000    5,030,000    4,573,000    4,564,000     4,052,000    3,232,000    2,567,000     
        investment in limoneira company
                    21,251,000 20,027,000 24,925,000 27,055,000 30,040,000 30,292,000 26,786,000 23,197,000 22,610,000 22,392,000 32,741,000 31,734,000 33,194,000 38,310,000 36,951,000 42,609,000 47,121,000 40,241,000 37,251,000 40,362,000 39,342,000 35,747,000 29,386,000 34,036,000 30,578,000 30,924,000 21,745,000 27,415,000 35,591,000 39,653,000 35,954,000 44,355,000 38,115,000 39,705,000 35,902,000 45,531,000 38,789,000 32,203,000 37,596,000 38,841,000 30,941,000 29,057,000 31,080,000 29,991,000 35,833,000 38,046,000 38,893,000 34,986,000 31,529,000 29,472,000 23,681,000 24,200,000 25,929,000 22,817,000 27,657,000                               
        expenses related to mexican tax matters
                   1,417,000     1,342,000                                                                                 
        gain on sale of temecula packinghouse
                   -216,000     -54,000 54,000 54,000  54,000 54,000 54,000 2,077,000 75,000                                                                         
        interest income
                   500,000            2,675,000                                                                          
        recovery (loss) on reserve for freshrealm note receivable and impairment of investment
                        6,000,000                                                                                 
        realized and unrealized net gain on limoneira shares
                   -8,605,000                                                                                      
        add: net income attributable to noncontrolling interest
                   353,000      47,000                                                                                
        borrowings pursuant to credit facilities, current
                                                                                                         
        impairment and charges related to rfg florida facility closure
                                                                                                         
        unrealized net gain on limoneira shares
                        -252,000 3,506,000 3,589,000                                                                               
        less: net income attributable to noncontrolling interest
                          40,000   129,000 63,000                                                                           
        notes receivable from freshrealm
                             33,970,000 36,112,000 35,241,000 30,743,000                                                                         
        short-term borrowings
                           20,550,000 24,600,000 45,000,000 27,500,000   26,500,000 39,000,000 15,000,000 8,000,000 21,000,000 31,500,000 20,000,000 38,000,000 47,500,000 59,500,000 19,000,000 18,500,000 31,990,000 44,000,000 36,910,000 36,080,000 45,150,000 53,610,000 35,900,000 28,740,000 41,030,000 52,690,000 33,990,000 25,980,000 35,140,000 32,780,000 20,170,000 20,020,000 33,190,000 28,760,000 17,860,000 24,220,000 24,360,000 24,740,000 8,150,000 3,920,000 7,740,000 14,570,000 5,520,000 8,250,000 6,720,000 10,510,000 10,130,000 5,830,000 13,250,000 18,450,000 6,630,000 10,330,000 6,250,000 4,791,000 3,804,000 1,753,000 4,354,000 7,841,000 1,424,000 867,000  710,000 3,000,000 2,000,000  1,000,000 3,500,000   4,100,000 3,400,000 3,000,000 8,500,000 11,000,000 11,400,000 11,400,000 
        deferred rent
                               3,681,000 3,631,000 3,224,000 2,895,000 2,678,000 2,782,000 2,706,000 2,719,000 2,732,000 2,509,000 2,286,000 2,298,000 2,307,000 2,315,000                                                             
        loss on reserve for freshrealm note receivable and impairment of investment
                            -37,192,000                                                                             
        unrealized and realized net income on limoneira shares
                               -9,722,000 -5,116,000                                                                         
        income before benefit for income taxes and income from unconsolidated entities
                            -19,084,000 -2,438,000 1,377,000                                                                           
        unrealized and realized net gain on limoneira shares
                            218,000 -10,349,000 1,006,000                                                                           
        less: net income (income) attributable to noncontrolling interest
                            -64,000   60,000 -47,000                                                                         
        benefit for income taxes
                             -1,208,000 -650,000                                                                           
        current portion of long-term obligations
                               762,000 754,000 221,000 112,000 118,000 118,000 117,000 123,000 129,000 137,000 134,000 132,000 138,000 137,000 642,000 1,417,000 2,206,000 3,006,000 4,635,000 4,873,000 5,099,000 5,231,000 5,321,000 5,245,000 5,258,000 5,679,000 5,747,000 5,329,000 5,416,000 5,480,000 5,473,000 5,460,000 5,448,000 5,368,000 1,371,000 1,370,000 1,369,000 1,369,000 1,368,000 1,367,000 1,366,000 1,366,000 1,365,000 1,363,000 1,362,000 1,362,000 1,361,000 1,307,000 1,307,000 1,308,000 1,308,000 1,308,000 1,308,000 1,308,000 1,309,000 1,312,000 1,313,000 1,316,000  19,000 21,000 22,000 23,000 24,000 24,000 24,000 2,826,000 80,000 81,000 222,000 207,000 444,000 512,000 512,000 
        long-term obligations, less current portion
                               5,412,000 5,590,000 3,434,000 271,000 314,000 350,000 383,000 409,000 439,000 454,000 427,000 417,000 445,000 485,000 519,000 552,000 586,000 624,000 1,168,000 1,970,000 2,791,000 3,629,000 5,801,000 6,841,000 7,792,000 8,843,000 11,097,000 12,073,000 13,039,000 13,965,000 16,189,000 17,074,000 18,244,000 19,282,000 6,053,000 6,071,000 6,089,000 7,106,000 9,424,000 13,891,000 13,908,000 13,925,000 25,362,000 25,356,000 25,351,000 21,672,000 14,163,000 13,106,000 13,106,000 13,106,000 13,406,000 22,406,000 10,406,000 10,412,000 11,715,000 11,717,000 11,719,000 11,719,000  18,000 20,000 34,000 37,000 42,000 57,000 61,000 64,000 2,984,000 2,995,000 3,180,000 3,137,000 3,142,000 3,366,000 3,366,000 
        accumulated other comprehensive income
                                   12,141,000 15,715,000 10,624,000 8,412,000 10,434,000 9,914,000 7,631,000 3,591,000 6,544,000 4,428,000 4,647,000 -1,181,000 2,419,000 7,016,000 9,657,000 7,588,000 12,713,000 8,891,000 9,861,000 7,541,000 13,414,000 9,358,000 5,341,000 8,631,000 9,390,000 4,515,000 3,366,000 4,599,000 3,935,000 7,554,000 8,903,000 9,420,000 6,959,000 4,936,000 3,682,000 150,000 466,000 1,511,000 -387,000 2,566,000 3,943,000 12,666,000 12,135,000 8,951,000 15,664,000 18,533,000 20,659,000 10,879,000 6,293,000 7,545,000 10,883,000 9,735,000 13,386,000 10,598,000                 
        income before benefit from income taxes and income from unconsolidated entities
                               63,550,000 17,147,000                                                                         
        benefit from income taxes
                               12,882,000 3,987,000                                                                         
        investment in unconsolidated entities
                                12,860,000 15,370,000 18,507,000 24,805,000 33,121,000 33,297,000 33,622,000 33,019,000 30,850,000 27,274,000 24,486,000 24,652,000 20,890,000 19,761,000 19,868,000 19,720,000 19,760,000 18,360,000 18,380,000 18,380,000 20,112,000 1,533,000 1,544,000 1,420,000 520,000 520,000 520,000 520,000 2,466,000 2,498,000 2,329,000 2,292,000 2,286,000 2,256,000 2,101,000 2,016,000 1,889,000 1,751,000  1,382,000                                  
        loans to freshrealm
                                 24,680,000 19,942,000                                                                       
        income taxes payable
                                 421,000   976,000 1,884,000 1,368,000   4,350,000   4,675,000 1,358,000                       2,546,000 1,122,000                        1,138,000 214,000   1,445,000        
        noncontrolling interest, calavo salsa lisa
                                          771,000 771,000 285,000 285,000 285,000 285,000 270,000 270,000 270,000 270,000 -146,000 -104,000 -69,000 121,000                                                  
        common stock (0.001 par value...
                                             17,000 17,000 17,000 17,000                                                         
        liabilities and shareholders’ equity
                                                                                                         
        shareholders’ equity:
                                                                                                         
        common stock, 0.001 par value...
                                                 17,000 17,000  15,000 15,000 15,000  14,000 14,000 14,000  14,000 14,000 14,000  14,000 14,000 14,000  14,000 14,000 14,000  14,000 14,000 14,000  14,000 14,000 14,000  14,000 14,000 14,000  14,000 14,000 14,000  15,000  14,000 14,000  14,000 14,000 14,000  13,000 13,000 13,000  12,000    
        total shareholders’ equity
                                                 191,531,000 180,139,000 179,406,000 156,859,000 145,602,000 126,473,000 128,452,000 121,940,000 107,481,000 112,417,000 110,022,000 107,887,000 100,959,000 99,500,000 95,780,000   93,278,000 88,257,000   71,457,000 69,487,000 75,517,000 70,092,000 68,571,000 65,517,000 75,164,000 73,213,000 68,403,000 74,003,000 79,834,000 79,708,000 65,034,000 58,943,000 63,220,000 63,278,000 59,468,000 64,746,000 68,720,000  45,094,000 42,403,000 43,937,000 46,866,000 43,498,000           
        noncontrolling interest, freshrealm
                                                     4,031,000 -316,000 -6,000                                                  
        total calavo growers, inc. shareholders’ equity
                                                        121,903,000 107,170,000                                                
        commitments and contingencies:
                                                                                                         
        total shareholder’s equity
                                                                103,845,000 95,232,000   88,931,000 81,642,000                                    
        commitments and contingencies noncontrolling interest
                                                                  554,000                                       
        investment in unconsolidated subsidiaries
                                                                      1,504,000                                   
        income tax receivable
                                                                        204,000     293,000   582,000  1,524,000        214,000             995,000 995,000 
        investment in maui fresh, llc
                                                                         907,000 778,000 682,000 613,000 540,000 461,000 403,000 338,000 338,000 261,000 229,000                      
        investment in limoneira
                                                                           29,904,000 44,079,000 43,214,000 38,029,000 48,962,000 53,586,000 57,043,000 41,140,000 33,879,000 35,954,000 41,486,000 39,584,000 45,634,000 40,967,000                 
        commitments and contingencies shareholders’ equity:
                                                                                                         
        notes receivable from shareholders
                                                                                  -2,264,000 -2,430,000 -2,430,000 -2,461,000 -2,636,000 -2,636,000 -2,658,000  -2,671,000 -2,883,000 -2,883,000 -2,883,000 -3,179,000 -3,537,000 -3,563,000 -3,627,000 -4,864,000 -5,179,000 -5,720,000 -5,720,000 -6,632,000   
        other long-term assets
                                                                                6,659,000                         
        building held for sale
                                                                                           1,658,000 1,658,000             
        commitments and contingencies (note 8) shareholders’ equity:
                                                                                                         
        loans to growers
                                                                                        95,000  152,000 246,000 209,000 65,000 291,000 363,000 353,000 405,000 418,000 689,000 467,000 603,000 1,052,000 699,000 699,000 
        if to fcw, as follows:
                                                                                                         
        farm credit west, pca
                                                                                                         
        2929 w. main street, suite a
                                                                                                         
        visalia, ca 93291-5700
                                                                                         1,141,000                
        attention: james neeley
                                                                                                         
        fax no.: 559-627-4728
                                                                                                         
        goodwill and intangible assets
                                                                                               4,046,000          
        investments held to maturity
                                                                                                  2,033,000 2,006,000 1,979,000 1,952,000 1,913,000   
        short-term investments
                                                                                                 2,223,000        
        current assets: - sum
                                                                                                  61,496,000 54,225,000  66,133,000   55,609,000 
        investment held to maturity
                                                                                                       1,817,000 1,817,000 
        payable to members
                                                                                                       12,913,000 12,913,000 
        redeemable preferred stock, 1 par value: 10,000,000 shares authorized: 57,000 (2001) (unaudited) and 47,000 (2000) shares issued and outstanding
                                                                                                       57,000 57,000 
        unallocated retained earnings
                                                                                                       11,969,000 11,969,000 
                                                                                                         
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2026-01-31 2025-10-31 2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31 2023-07-31 2023-04-30 2023-01-31 2022-10-31 2022-07-31 2022-04-30 2022-01-31 2021-10-31 2021-07-31 2021-04-30 2021-01-31 2020-10-31 2020-07-31 2020-04-30 2020-01-31 2019-10-31 2019-07-31 2019-04-30 2019-01-31 2018-10-31 2018-07-31 2018-04-30 2018-01-31 2017-10-31 2017-07-31 2017-04-30 2017-01-31 2016-10-31 2016-07-31 2016-04-30 2016-01-31 2015-10-31 2015-07-31 2015-04-30 2015-01-31 2014-10-31 2014-07-31 2014-04-30 2014-01-31 2013-10-31 2013-07-31 2013-04-30 2013-01-31 2012-10-31 2012-07-31 2012-04-30 2012-01-31 2011-10-31 2011-07-31 2011-04-30 2011-01-31 2010-10-31 2010-07-31 2010-04-30 2010-01-31 2009-10-31 2009-07-31 2009-04-30 2009-01-31 2008-10-31 2008-07-31 2008-04-30 2008-01-31 2007-10-31 2007-07-31 2007-04-30 2007-01-31 2006-10-31 2006-07-31 2006-04-30 2006-01-31 2005-10-31 2005-07-31 2005-04-30 2005-01-31 2004-10-31 2004-07-31 2004-04-30 2004-01-31 2003-10-31 2003-07-31 2003-04-30 2003-01-31 2002-10-31 2002-07-31 
                                                                                                      
          cash flows from operating activities:
                                                                                                      
          net income
        804,000 3,859,000 4,736,000 6,940,000 4,435,000        -3,484,000 1,318,000 -276,000 -4,160,000 -13,038,000 -12,915,000 8,794,000 5,237,000  -15,572,000 -3,407,000 -1,001,000  10,650,000 16,278,000 4,481,000 -1,361,000 12,368,000 14,016,000 6,989,000 10,373,000 8,796,000 12,934,000 5,221,000 9,698,000 12,709,000 9,676,000 6,376,000 4,787,000 8,641,000 8,472,000 5,299,000 -26,074,000 15,972,000 6,412,000 3,475,000 5,746,000 6,125,000 2,193,000 2,681,000 6,116,000 5,644,000 2,535,000 2,652,000 3,588,000 2,702,000 2,374,000 2,290,000 4,695,000 5,897,000 4,774,000 2,274,000 13,599,693 2,465 -4,371,158 4,380,000 7,721,267 1,389 -729,656 732,000 7,323,860 2,222 -1,327,082 1,331,000 1,338,000 4,448,476 666,524 -665,000 3,318,161 2,919 1,547,920 -1,547,000 6,204,900 3,060 296,040 -294,000 1,686,000 5,471,765 1,735 500  3,124 
          adjustments to reconcile net income to net cash from operating activities:
                                                                                                      
          depreciation and amortization
        1,754,000 1,827,000 1,855,000 1,859,000 1,942,000 -8,664,397 2,042,000 2,078,000 4,555,000 4,362,000 4,287,000 4,166,000 4,117,000 4,067,000 4,093,000 4,312,000 4,646,000 4,554,000 4,077,000 4,294,000  4,204,000 4,079,000 3,567,000  3,403,000 3,378,000 3,392,000 3,246,000 3,235,000 3,350,000 3,211,000 3,093,000 3,023,000 2,282,000 2,293,000 2,305,000 2,221,000 2,183,000 2,103,000 2,070,000 2,003,000 1,997,000 1,968,000 1,813,000 1,735,000 1,689,000 1,689,000 1,356,000 1,718,000 1,686,000 1,607,000 1,633,000 1,496,000 1,400,000 1,380,000 1,281,000 1,207,000 912,000 927,000 877,000 864,000 836,000 791,000 3,051,725 786 -747,511 749,000  675 -565,880 567,000 2,389,188 746 -546,934 548,000 481,000 1,552,958 -512,958 514,000 2,859,777 580 -826,357 828,000 2,646,208 727      474   
          non-cash operating lease expense
        -65,000 -63,000 -902,000 770,000 -64,000 1,737,249 -1,019,000 -734,000 14,000 19,000 -7,000 52,000 -20,000 -21,000 12,000 49,000 26,000 -2,000 43,000 16,000  41,000 39,000 65,000                                                                       
          net loss from unconsolidated entities
        544,000 392,000        498,000 56,000 -156,000  269,000 8,000 535,000    155,000  1,170,000 2,177,000 3,028,000                                                                       
          stock-based compensation expense
        1,773,000 279,000 283,000 323,000 272,000 -1,831,840 388,000 505,000 941,000 979,000 2,150,000 1,253,000 1,016,000 755,000 812,000 556,000 1,132,000 554,000 1,357,000 907,000  852,000 1,786,000 931,000  884,000 860,000 966,000                  214,000    97,000    114,000                                         
          amortization of debt issuance costs
        46,000 45,000 46,000                                                                                            
          gain on sale of temecula packinghouse
        -55,000 -55,000 -55,000 -57,000 -54,000 161,784 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000 -54,000  -54,000 -54,000 -54,000  -75,000                                                                     
          loss on disposal of property, plant, and equipment
        -3,000 151,000 -43,000 33,000 -55,944                                                                                      
          effect on cash of changes in operating assets and liabilities:
                                                                                                      
          accounts receivable
        -8,910,000 9,820,000 16,136,000 -10,515,000 -5,179,000 17,236,460 4,055,000 -19,653,000 -1,645,000 -7,590,000 -6,594,000 -3,217,000 19,474,000 24,663,000 -13,686,000 -10,601,000 1,113,000 10,263,000 -18,465,000 -7,935,000  6,343,000 4,843,000 -15,231,000  -4,585,000 -10,151,000 -7,181,000 7,269,000 3,515,000 -4,262,000 -2,905,000 11,457,000 13,957,000 -20,016,000 -6,277,000 16,427,000 -10,687,000 -1,766,000 -15,516,000 7,503,000 14,339,000 -10,213,000 -13,692,000 7,047,000 274,000 -4,033,000 -5,000,000 5,403,000 -1,115,000 -10,982,000 -9,497,000 5,370,000 7,209,000 -11,819,000 -3,597,000 27,259,000 -13,628,000 -4,397,000 -4,964,000 3,333,000 4,437,000 -10,274,000 -6,849,000 5,306,584 -510 536,926 -546,000  2,800 5,641,399 -5,652,000 -2,253,570 -4,346 2,304,916 -2,310,000 6,577,000 -11,529,090 4,316,090 -4,327,000 1,415,964 -7,969 -2,403,995 2,399,000 -4,584,786 -186         
          inventories
        -4,166,000 -3,276,000 11,297,000 -1,752,000 -5,716,000 -260,886 9,868,000 -1,739,000 -7,870,000 3,940,000 885,000 -5,262,000 -2,757,000 17,544,000 -1,215,000 -11,735,000 6,099,000 5,892,000 -11,660,000 81,000  2,964,000 -3,979,000 -5,348,000  3,276,000 -11,153,000 -3,419,000 813,000 3,301,000 -7,974,000 -326,000 1,856,000 5,920,000 -14,225,000 7,440,000 4,561,000 -6,561,000 -2,759,000 -739,000 5,264,000 -481,000 -3,983,000 3,913,000 2,060,000 -774,000 -4,602,000 1,014,000 2,917,000 -6,156,000 -3,103,000 617,000 -1,947,000 4,031,000 -4,247,000 -2,998,000 4,065,000 787,000 -6,099,000 -890,000 1,050,000 -598,000 -1,779,000 -1,679,000 3,158,119 608 -1,464,727 1,464,000  -1,062 3,986,426 -3,993,000 2,212,745 1,648 1,825,607 -1,830,000 174,000 -646,594 1,179,594 -1,180,000 1,283,118 -2,326 -103,792 102,000 -3,348,262 -1,147         
          prepaid expenses and other current assets
        -1,466,000 -438,000 1,646,000 2,057,000 -1,538,000 -3,490,443 875,000 1,304,000 1,313,000 -2,017,000 394,000 -2,050,000 -117,000 -43,000 1,572,000 -1,559,000 1,276,000 -409,000 3,998,000 -1,298,000  941,000 44,000 -1,799,000  -285,000 51,000 -418,000 -526,000 21,000 696,000 -920,000 -507,000 -583,000 -727,000 370,000 -1,659,000 413,000 -2,408,000 -1,443,000 -3,848,000 3,449,000 1,419,000 -2,800,000 -5,536,000 -509,000 -1,563,000 -1,208,000 -1,973,000 -245,000 -1,371,000 22,000 -1,285,000 1,223,000 -278,000 -299,000 -757,000 -302,000 2,535,000 460,000 -3,056,000 245,000 253,000 14,000 -1,544,644 527 188,117 -189,000  1,525 1,396,984 -1,398,000 1,024,249                      
          advances (from) to suppliers
        -2,149,000                                                                                              
          income taxes receivable/payable
        60,000 -3,018,000 -281,000 -2,113,000 1,348,000 2,519,945 -1,547,000 -1,170,000 200,000 180,000 -213,000 -721,000 5,106,000 162,000 -648,000 3,508,000 -4,947,000 -4,158,000 4,284,000 3,888,000  1,307,000 -4,846,000 -1,139,000  -782,000 2,717,000 1,225,000 -4,497,000 -908,000 516,000 2,745,000 -1,125,000 -4,602,000 7,025,000 -2,341,000 -4,673,000 3,317,000                                                         
          other assets
        -5,044,000 -1,927,000 -2,643,000 -2,138,000 125,000 750,438 4,998,000 -1,988,000 -3,758,000 -4,192,000 -3,336,000 -4,094,000 -1,756,000 -1,560,000 -1,337,000 -308,000 -828,000 -1,877,000 -1,488,000 -3,638,000  -2,853,000 4,768,000 -1,924,000  -97,000 -922,000 -2,735,000 128,000 -983,000 -798,000 -1,465,000 1,111,000 -2,152,000 -1,709,000 388,000 205,000 447,000 -341,000 372,000 737,000 -321,000 -83,000 108,000 -87,000 57,000 181,000 -103,000 73,000 -81,000 130,000 13,000 -94,000 2,000 95,000 11,000 193,000 -203,000   -2,000 3,000 4,000 -30,000 -112,887 -94 20,981 -21,000  102 28,091 -28,000                       
          payable to (from) growers
        4,259,000                                                                                              
          trade accounts payable, accrued expenses and other liabilities
        3,960,000 9,711,000 -3,292,000 -13,182,000 -484,000 1,273,966 -4,523,000 -635,000 3,891,000 -11,563,000 -300,000 7,026,000 -842,000 -4,933,000 8,411,000 7,891,000 577,000                                                                              
          net cash from operating activities
        -8,658,000 2,308,000 7,970,000 15,691,000 -4,427,000 -13,558,581 11,433,000 2,092,000 58,000 -15,420,000 2,098,000 -5,876,000 8,049,000 20,852,000 18,944,000 2,388,000 1,176,000     23,378,000 3,499,000 -6,521,000  33,879,000 16,232,000 10,371,000 8,458,000 18,780,000 13,291,000 7,897,000 20,955,000 17,904,000 21,592,000 1,689,000 6,927,000 28,696,000 17,305,000 9,040,000 4,755,000 17,768,000 16,391,000 -1,631,000 -6,140,000 14,222,000 19,883,000 -6,620,000 -1,903,000 12,141,000 2,115,000 1,368,000 3,475,000 18,380,000 -550,000 418,000 10,396,000 2,812,000 2,378,000 -7,720,000 -3,204,000 10,671,000 11,128,000 -397,000 21,978,318 5,022 -5,213,340 5,227,000  6,370 5,469,282 -5,468,000 4,628,678 12 6,762,310 -6,762,000 -139,000 7,954,677 579,323 -576,000 5,564,026 762 -3,674,788 3,678,000 4,456,327 1,679         
          capital expenditures
        -788,000 -1,085,000 -651,000 -133,000 -282,000 2,516,110 -142,000 -1,347,000 -1,030,000 -1,631,000 -3,276,000 -5,185,000 -2,031,000 -3,951,000 -1,743,000 -2,044,000 -1,799,000               
          free cash flows
        -9,446,000 1,223,000 7,319,000 15,558,000 -4,709,000 -11,042,471 11,291,000 745,000 -972,000 -17,051,000 -1,178,000 -11,061,000 6,018,000 16,901,000 17,201,000 344,000 -623,000     23,378,000 3,499,000 -6,521,000  33,879,000 16,232,000 10,371,000 8,458,000 18,780,000 13,291,000 7,897,000 20,955,000 17,904,000 21,592,000 1,689,000 6,927,000 28,696,000 17,305,000 9,040,000 4,755,000 17,768,000 16,391,000 -1,631,000 -6,140,000 14,222,000 19,883,000 -6,620,000 -1,903,000 12,141,000 2,115,000 1,368,000 3,475,000 18,380,000 -550,000 418,000 10,396,000 2,812,000 2,378,000 -7,720,000 -3,204,000 10,671,000 11,128,000 -397,000 21,978,318 5,022 -5,213,340 5,227,000  6,370 5,469,282 -5,468,000 4,628,678 12 6,762,310 -6,762,000 -139,000 7,954,677 579,323 -576,000 5,564,026 762 -3,674,788 3,678,000 4,456,327 1,679         
          cash flows from investing activities:
                                                                                                      
          purchases of property, plant, and equipment
        -788,000 -1,085,000 -651,000 -133,000 -282,000 2,516,110 -142,000 -1,347,000 -1,030,000 -1,631,000 -3,276,000 -5,185,000 -2,031,000 -3,951,000 -1,743,000 -2,044,000 -1,799,000 -1,980,000 -2,891,000 -4,768,000                                                                           
          net cash from investing activities
        -788,000 -1,085,000 -651,000 -133,000 -282,000 2,599,110 -142,000 -1,347,000 -1,030,000 -1,631,000 -3,276,000 -5,185,000 16,419,000 -3,951,000 -1,743,000 -2,044,000 -899,000 520,000 -4,217,000 -4,768,000  -2,412,000 -22,479,000 -3,331,000  -9,520,000 -586,000 -13,102,000 -15,502,000 -6,096,000 -3,324,000 -5,282,000 -5,178,000 -9,988,000 -5,787,000 -32,715,000 -8,687,000 -7,874,000 -4,787,000 -383,000 -4,133,000 -10,258,000 -2,974,000 -3,689,000 -2,798,000 -10,164,000 -3,790,000 -1,799,000 -2,803,000 -1,851,000 -1,544,000 -1,548,000 -1,257,000 -2,551,000 -1,921,000 -1,432,000 -3,421,000 -14,844,000 -1,562,000 -1,080,000 -1,114,000 -5,604,000 285,000 -1,288,000 -5,985,904 -2,354 702,258 -704,000  -5,010 884,560 -886,000 -7,943,724 -4,145 1,674,869 -1,677,000 -1,970,000 -2,691,248 1,097,248 -1,099,000 -11,919,497 -23,862 738,359 -736,000 -8,468,521 -803         
          cash flows from financing activities:
                                                                                                      
          payment of dividend to shareholders
        -3,576,000 -3,571,000 -3,576,000 -3,574,000 -3,567,000 5,332,079 -1,780,000 -1,780,000 -1,781,000 -1,778,000 -1,774,000 -5,102,000 -20,330,000 -20,343,000  -19,354,000  -17,568,000 -16,657,000 -15,696,000 -13,907,000 -1,000 -12,970,000 -11,005,000 -9,646,000 1,000 -8,124,000 -1,000 -8,099,000  -7,252,000  5,041,953 -5,047,000  5,026,968 -5,032,000  4,568,427 -4,573,000  -4,559,436 4,559,436 -4,564,000  4,047,948 -4,052,000  3,372,624 -3,376,000  -2,564,433     
          proceeds from revolving credit facility
            114,000 -95,647,748 12,557,000    66,300,000 64,500,000 45,700,000 52,700,000 72,500,000 96,300,000 68,500,000 93,750,000 81,600,000 91,000,000  46,450,000 72,500,000 53,500,000  55,000,000 51,000,000 89,500,000 93,000,000 66,500,000 61,000,000 58,000,000 39,000,000 41,000,000 19,000,000 64,500,000 38,500,000 72,350,000 44,990,000 61,390,000                                                       
          payments on revolving credit facility
            -114,000 100,717,724 -24,663,000    -60,500,000 -49,300,000 -70,100,000 -69,000,000 -94,600,000 -70,000,000 -66,800,000 -100,000,000 -76,500,000 -74,400,000  -66,850,000 -55,000,000 -26,000,000  -81,500,000 -63,500,000 -65,500,000 -86,000,000 -79,500,000 -71,500,000 -46,500,000 -57,000,000 -50,500,000 -31,000,000 -24,000,000 -38,000,000 -85,840,000 -57,000,000 -54,300,000                                                       
          payments of minimum withholding taxes on net share settlement of equity awards
        -218,000 -2,000 1,000 -47,000 624,332 -26,000 -599,000    -1,000 -51,000 -44,000 -214,000 -48,000 -135,000 -467,000  -1,179,000                                                                       
          payments on long-term obligations and finance leases
        -245,000 -251,000 -348,000 -114,000 -218,000 1,272,474 -348,000 -489,000 -437,000 -540,000 -447,000 -422,000 -639,000 -401,000 -580,000 -376,000 -246,000 -439,000    -277,000 -212,000 -198,000                                                                       
          net cash from financing activities
        -4,039,000 -3,822,000 -3,926,000 -3,687,000 -3,832,000 12,739,650 -14,438,000 -2,130,000 3,778,000   9,724,000 -24,800,000 -16,701,000 -22,731,000 5,597,000 1,240,000 -6,737,000    -20,677,000 17,327,000 6,816,000  -26,552,000 -12,496,000 5,422,000 6,535,000 -13,032,000 -10,532,000 -6,298,000     952,000 -14,060,000 -12,818,000 -7,640,000 1,013,000 -11,243,000 -9,280,000 3,708,000 6,246,000 -14,536,000 -2,525,000 6,746,000 6,807,000 -11,482,000 -2,519,000 2,144,000 -239,000 -15,387,000 3,558,000 1,835,000 -6,655,000 13,116,000 -382,000 8,672,000 3,989,000 -6,082,000 -9,977,000 1,782,000 -16,626,959 -5,589 4,638,548 -4,647,000  -3,705 -7,052,151 7,054,000 4,230,853 3,808 -8,576,661 8,580,000 2,052,000 -6,288,583 -782,417 780,000 6,851,921 23,228 3,061,851 -3,067,000 -722,279 -710         
          net decrease in cash, cash equivalents
        -13,485,000                                                                                              
          cash, cash equivalents, beginning of period
        61,155,000 57,031,000                                                                                          
          cash, cash equivalents, end of period
        47,670,000 -2,599,000 3,393,000 11,871,000 48,490,000                                                                                          
          noncash investing and financing activities:
                                                                                                      
          settlement of agricola belher infrastructure advance offset against payable to growers
        81,000    -599,394 487,000 113,000                                                                                     
          property, plant, and equipment included in trade accounts payable and accrued expenses
        3,000 -308,000 85,000 222,000 12,000 -28,949 -1,554,000 1,583,000 559,000 212,000 98,000 -149,000 -569,000 705,000 173,000 -63,000 -147,000 -341,000 863,000  -488,000 121,000 935,000  1,886,000 25,000 573,000 579,000 -358,000 -338,000 1,063,000 1,250,000 -280,000                                                             
          impairment of goodwill
             -9,270,720                                                                                         
          provision of tomato grower advances
                                                                                                      
          divesture of calavo salsa lisa
                                                                                                     
          gain on sale of fresh cut business
                                                                                                      
          provision for uncollectible mexican iva taxes receivable
              165,000 1,404,000                                                                                   
          deferred income taxes
                                    1,339,000 2,074,000 1,453,000     1,005,000 1,000 -1,000 598,000                                                       
          advances to suppliers
         40,000 -4,539,000 -2,000 4,295,000 -2,455,286 -1,632,000 2,700,000 1,388,000 -2,568,000 -2,589,000 2,676,000 268,000 -3,734,000 2,047,000 -3,258,000 2,010,000 818,000 -4,612,000 152,000  -2,456,000 3,863,000 3,466,000  -204,000 196,000 1,223,000 -234,000 -2,402,000 -827,000 2,454,000 -1,827,000 -1,028,000 4,684,000 -1,750,000 -2,425,000 -2,000,000 2,820,000 -74,000 -2,670,000 384,000 2,798,000 -1,873,000 -1,346,000 3,380,000 -206,000 -1,250,000 -1,932,000 1,293,000 1,045,000 -574,000 -453,000 2,275,000 -268,000 -2,122,000 -556,000 -303,000 1,230,000 -940,000 11,875,000 -6,087,000 -3,823,000 597,035 9,387 2,776,578 -2,785,000  9,282 36,119 -45,000 -885,631 4,191 2,134,440 -2,139,000 -1,245,000 979,114 -552,114 553,000 1,271,988 -2,241 -2,162,747 2,165,000 -1,787,228 -1,966         
          payable to growers
         -16,496,000 -16,719,000 33,171,000 -2,980,000 -11,584,411 -11,115,000 15,527,000 7,176,000 -4,122,000 10,715,000 -4,104,000 -15,525,000 -16,356,000 14,307,000 14,765,000 -7,007,000 -1,350,000 19,834,000 210,000  -9,547,000 6,985,000 7,589,000  8,965,000 15,384,000 -3,753,000 -8,024,000 -5,349,000 10,069,000 780,000 -11,262,000 -9,493,000 20,996,000 -4,480,000 -17,980,000 20,378,000 8,449,000 7,237,000 -11,109,000 -9,199,000 17,257,000 1,162,000 -14,259,000 2,646,000 14,397,000 -9,769,000 -13,559,000 10,748,000 13,006,000 -2,490,000 -5,656,000 1,597,000 8,146,000 -693,000 -23,738,000 14,753,000 11,280,000 -7,196,000 -5,761,000 5,346,000 6,026,000 1,254,000 -2,007,256 7,429 1,823,827 -1,820,000  5,269 698,189 -691,000 -3,926,384 6,003 3,589,381 -3,589,000 -6,206,000 10,778,325 -4,978,325 4,987,000 -4,048,241 7,960 3,009,281 -3,005,000 2,331,497 -834         
          proceeds received from fresh cut business sale
                                                                                                      
          payments of debt issuance cost
                                                                                                      
          proceeds from term loan
                                                                                                      
          payments on term loan
             440,937 -204,000 -183,000 -58,000                                                                                      
          proceeds from stock option exercises
                 48,000 47,000 47,000  39,000 47,000  38,000 47,000 53,000   44,000    14,000                                                      
          net increase in cash, cash equivalents
         -2,599,000 3,393,000 11,871,000 -8,541,000                                                                                          
          supplemental information:
                                                                                                      
          cash paid during the year for:
                                                                                                      
          interest
                                                                                  -299,319 300,000 139,000 803,480 -247,480 248,000 398,821 134 -26,955 27,000 65,942 13         
          income taxes
                                                                                  -114,885 115,000 3,059,000 1,031,998 -1,998 2,000 3,874,137 846 -16,983 17,000 4,897,093 818         
          right of use assets obtained in exchange for new financing lease obligations
         55,000    -639,359 505,000 135,000 919,000 1,097,000     208,000 557,000 364,000 301,000  203,000 390,000                                                                       
          net income from unconsolidated entities
           282,000 -862,000   -204,000 -1,000        -36,000 469,000                                                                             
          declared dividends payable
                                                                                                      
          adjustments to reconcile net loss to net cash from operating activities:
                                                                                                      
          ​
                                                                                                      
          realized and unrealized net income on limoneira shares
                                                                                                      
          impairment and non-cash charges related to closure of florida facility
                                                                                                     
          gain on sale of rfg
                                                                                                      
          benefit from uncollectible mexican iva taxes receivable
                                                                                                      
          proceeds received from rfg sale
                                                                                                      
          proceeds received from limoneira stock sales
                                 1,000 1,153,000                                                                   
          proceeds from sale leaseback
                                                                                                      
          net decrease in cash, cash equivalents and restricted cash
             1,780,179          5,941,000 1,517,000                                                                              
          cash, cash equivalents and restricted cash, beginning of period
             -2,849,148 2,852,000 3,134,000 2,855,000                                                                              
          cash, cash equivalents and restricted cash, end of period
             -1,068,969 -3,147,000 -1,385,000 5,658,000 -2,035,000 2,401,000 1,797,000 -332,000 200,000 -5,530,000 8,796,000 1,517,000                                                                              
          net loss
              -762,000 6,099,000 -6,257,000 6,708,000 -3,960,000 -2,795,000                                                                                   
          net increase in cash, cash equivalents and restricted cash
               -1,385,000 2,806,000 -2,035,000 2,401,000 -1,337,000 -332,000 200,000                                                                                 
          proceeds from revolving credit facilities
                29,200,000                                   17,710,000    18,700,000    12,610,000    10,900,000    16,590,000    9,050,000    380,000    11,820,000                       
          payments on revolving credit facilities
                -22,547,000                                                     580,000                                 
          realized and unrealized net loss on limoneira shares
                                                                                                      
          net cash provided (used in) by financing activities
                 15,016,000                                                                                     
          benefit from losses on accounts receivable
                                        10,000 -204,000        7,000   66,000        63,000 5,000 95,000 -34,000 3,000                 -30,000 43,999 -11,999 12,000 474,600 399 -3,999 4,000 24,975         
          realized and unrealized net gain on limoneira shares
                                                                                                      
          recovery from reserve for freshrealm note receivable and impairment of investment
                                                                                                      
          interest income on notes to freshrealm
                             -243,000 -618,000 -871,000                                                                       
          gain on disposal of property, plant, and equipment
                                                                                                     
          acquisition of sffi, net of cash acquired of 623
                                                                                                     
          investment in unconsolidated entities
                                                                                                      
          loan to agricola belher
                                                               -2,000,000             -300 449,550 -450,000 -4,996,300                      
          proceeds received from freshrealm separation agreement recovery
                                                                                                      
          proceeds received on repayment of infrastructure loan
                                                                                                      
          infrastructure advance to tomato growers
                                                                                                    
          unrealized net loss on limoneira shares
                     -1,225,000 4,898,000 2,130,000                                                                               
          gain on reserve for freshrealm note receivable and impairment of investment
                                                                                                      
          recovery on reserve for freshrealm note receivable
                                                                                                      
          impairment and non-cash charges related to closure of rfg florida facility
                      317,000                                                                               
          unrealized net gain on limoneira shares
                        2,985,000 252,000 -3,506,000 -3,589,000                                                                           
          impairment and charges related to closure of rfg florida facility
                                                                                                      
          loss (recovery) on reserve for freshrealm note receivable and impairment of investment
                                                                                                     
          deferred rent
                                 407,000 330,000 217,000 -104,000 76,000 -13,000 -13,000 223,000 223,000   -8,000                                                          
          proceeds received for repayment of san rafael note
                                 114,000 113,000 112,000 87,000 117,000 120,000 112,000 112,000 81,000 108,000 108,000 28,000 111,000                                                      
          investment in freshrealm
                                        -2,584,000 -3,025,000 -1,600,000                                                          
          notes receivables advanced to freshrealm
                                                                                                      
          notes receivable from freshrealm converted to investment in freshrealm
                                                                                                     
          acquisitions of property, plant, and equipment with capital lease
                                                                                                      
          capital lease related to temecula packinghouse
                                                                                                     
          collection for agricola belher infrastructure advance
                                                                                                    
          unrealized investment gain
                                    -4,511,000 6,879,000                                                                 
          deferred income taxes on freshrealm reserve and impairment loss
                                                                                                      
          recovery of proceeds from freshrealm separation agreement
                                                                                                      
          adjustments to reconcile net income to net cash provided (used) by operating activities:
                                                                                                      
          trade accounts payable, accrued expenses and other long-term liabilities
                          -6,475,000 14,739,000  6,832,000 -22,760,000 3,206,000  5,359,000 310,000 5,570,000 811,000 -677,000 -2,741,000 -5,335,000                                                               
          net cash provided (used) by operating activities
                          -2,742,000 13,165,000                                                                           
          net increase in cash and cash equivalents
                          -2,586,000 4,113,000  289,000 -1,653,000 -3,036,000  -2,193,000 3,150,000 2,691,000     -2,246,000 -1,597,000 2,882,000 -6,256,000 -808,000 6,762,000 -300,000 1,017,000 1,635,000 -3,733,000 4,137,000 -1,612,000 -2,692,000 -10,478,000 13,568,000 -1,673,000 2,092,000 -1,192,000 -1,948,000 1,964,000 1,979,000 442,000 1,087,000 821,000 320,000 1,084,000 434,000 -128,000 -329,000 -1,015,000 1,436,000 97,000 -634,545 -2,921 127,466 -124,000  -2,345 -698,309 700,000 915,807 -325 -139,482 141,000 -57,000 -1,025,154   496,450 128   -4,734,473    617,000 3,837,067    -817 
          cash and cash equivalents, beginning of period
                          4,055,000  7,973,000  1,520,000 6,625,000 13,842,000 7,171,000 6,744,000  8,019,000  7,103,000  2,774,000  1,064,000  875,000  -1,507,491 1,509,000  -966,033 967,000  -49,950 50,000  1,131,867 -1,131,867 1,133,000  -635,364 636,000  -5,369,625 5,375,000  920,079    
          cash and cash equivalents, end of period
                          -2,586,000 8,168,000  289,000 -1,653,000 4,937,000  -2,193,000 3,150,000 4,211,000 -509,000 -348,000 -565,000 2,942,000 -2,246,000 -1,597,000 2,882,000 7,586,000 -808,000 6,762,000 -300,000 8,188,000 1,635,000 -3,733,000 4,137,000 5,132,000  -10,478,000 13,568,000 6,346,000  -1,192,000 -1,948,000 9,067,000  442,000 1,087,000 3,595,000  1,084,000 434,000 936,000  -1,015,000 1,436,000 972,000  -2,921 -1,380,025 1,385,000  -2,345 -1,664,342 1,667,000  -325 -189,432 191,000  106,713 -237,713 238,000  128 -509,942 511,000  166 -200,318 201,000  4,757,146    -817 
          proceeds on long-term obligations and finance leases
                           -121,000                                                                           
          net cash provided (used) in financing activities
                           -4,284,000                                                                           
          statement of operations data:
                                                                                                      
          net sales
                                                                                                      
          gross profit
                                                                                                      
          selling, general and administrative
                                                                                                      
          net income attributable to calavo growers, inc.
                                                                                                      
          basic net income per share
                                                                                                      
          diluted net income per share
                                                                                                      
          adjusted ebitda
                                                                                                      
          adjusted ebitda per share
                                                                                                      
          balance sheet data as of end of period:
                                                                                                      
          working capital
                                                                                                      
          total assets
                                                                                                      
          accrued expenses
                                                                                                      
          current portion of long-term obligations
                                                                                                      
          long-term obligations, less current portion
                                                                                                      
          shareholders' equity
                                                                                                      
          cash flows provided by:
                                                                                                      
          operations
                                                                                                      
          investing activities
                                                                                                      
          financing activities
                                                                                                      
          other data:
                                                                                                      
          cash dividends declared per share
                                                                                                      
          net book value per share
                                                                                                      
          pounds of avocados sold
                                                                                                      
          pounds of processed avocados products sold
                                                                                                      
          average sales price per pound - avocados
                                                                                                      
          gross profit per pound - avocados
                                                                                                      
          average sales price per pound - processed products
                                                                                                      
          gross profit per pound - processed products
                                                                                                      
          provision for losses on accounts receivable
                                                                       105,907 14 -87,921 88,000     472,668 160 -39,828 40,000                19   
          unrealized and realized net loss on limoneira shares
                                 5,116,000 -1,359,000 4,505,000                                                                   
          loss on reserve for freshrealm note receivable and impairment of investment
                                                                                                      
          deferred income taxes on freshrealm reserve
                                                                                                      
          acquisitions of and deposits on property, plant, and equipment
                             -2,412,000 -2,606,000 -3,331,000  -4,234,000 -3,600,000 -3,867,000 -3,453,000 -2,713,000 -3,444,000 -5,394,000                      -2,643,000     -1,692,000 -1,114,000  -1,104,000 -1,145,000 -1,288,000  -1,861 702,258 -704,000  -680 435,010 -436,000  -445 1,674,869 -1,677,000  -2,691,248 1,097,248 -1,099,000  -412 734,976 -736,000  -803 2,818,389 -2,823,000  -2,801,915 -937 -1,148   
          proceeds from sale of temecula packinghouse
                                                                                                     
          unrealized and realized net gain on limoneira shares
                              10,349,000 -1,006,000                                                                       
          income statement data:
                                                                                                      
          pounds of california avocados sold
                                                                                                      
          pounds of non-california avocados sold
                                                                                                      
          proceeds received for repayment of loan to freshrealm
                                                                                                     
          payments on long-term obligations
                                 -52,000 -34,000 -49,000 -36,000 -32,000 -32,000 -36,000 -23,000 -13,000 12,000 -34,000 -39,000 -539,000 -808,000 -823,000 -838,000 -2,173,000 -1,040,000 -1,047,000 -970,000 -2,262,000 -964,000 -964,000 -1,472,000 -2,322,000 -558,000 -1,053,000   -872,000 -1,158,000   -17,000 -17,000 -17,000 -6,717,000 -16,000 -16,000 -1,362,653 -1,316 15,969 -16,000  -1,306       -6,000 -1,311,992 2,992 -3,000 -23,979 -2 14,981 -15,000 -28,975 -6 3,981 -4,000 -2,805,000 -511,662 -12 -326  -242 
          noncash transfer of noncontrolling interest
                                     1,001,000                                                               
          loss from unconsolidated entities
                                  3,137,000 6,298,000 8,452,000 3,677,000 325,000 -603,000                                                               
          interest income on loans to freshrealm
                                                                                                      
          loans to freshrealm
                                                                                                      
          payment of minimum withholding taxes on net share settlement of equity awards
                                  -1,008,000 -429,000 -1,158,000                                                               
          loan to freshrealm
                                   -10,500,000 -9,000,000                                                                  
          provision for losses (recoveries) on accounts receivable
                                                                                                     
          stock compensation expense
                                    917,000 942,000 942,000 1,832,000 831,000 831,000 831,000 1,827,000 557,000 558,000 557,000 462,000 87,000   211,000    93,000    116,000    66,000 56,000 66,000 50,000 16,000 16,000 12,000 12,000 12,000 43,968 12 -7,980 8,000    2,000        72,000    13,000           
          excess tax benefit from stock-based compensation
                                                                                                      
          infrastructure advance to agricola belher
                                                                                                      
          investment in agricola don memo
                                                                                                    
          purchase of noncontrolling interest of salsa lisa
                                                                                                     
          net decrease in cash and cash equivalents
                                    -509,000 -348,000 -565,000 -3,683,000                                                -895,000    -125,000   5,169,307 -5,174,000    -798   
          investment in freshrealm included in accrued expenses
                                                                                                      
          provision for losses/recoveries on accounts receivable
                                                                                                      
          unrealized holding losses
                                       -3,111,000   6,361,000 -4,650,000    -5,670,000 -8,176,000                                      -6,045,852 6,050,000               
          loss (income) from unconsolidated entities
                                        -311,000 -493,000 237,000 166,000                                                           
          contingent consideration related to acquisition of salsa lisa
                                                                                                      
          loan to agricola don memo
                                                1,000,000                                                      
          proceeds received for repayment of loan to agricola don memo
                                            4,000,000                                                       
          proceeds from issuance of noncontrolling interest stock
                                                                                                      
          record iva as a long term asset
                                                                                                      
          noncash assets received for issuance of noncontrolling interest
                                                                                                      
          unrealized holding gains
                                        1,019,000    3,457,000 -345,000                                865 10,927,252 -10,933,000 15,063,293 -3,456 -7,237,837 7,261,000 -2,075,000    22,166,483              
          trade accounts payable and accrued expenses
                                         3,709,000 7,868,000 -1,159,000 -1,372,000 6,024,000 -870,000 3,814,000 1,193,000 -541,000 -1,681,000 1,043,000 -1,145,000 4,007,000 2,277,000 3,485,000 408,000 -428,000 -860,000 5,887,000 1,199,000 242,000 -746,000 2,541,000 1,224,000 -2,263,000 -4,241,000 1,086,000 -34,000 -18,731,000 15,173,000 6,321,000 1,020,268 -13,044 -1,317,224 1,333,000  -14,345 -4,548,621 4,565,000 -2,862,764 -9,526 -321,710 329,000 2,574,000 347,219 -565,219 567,000 3,251,618 582 -3,646,200 3,648,000 1,301,423 1,017         
          acquisitions of property, plant, and equipment
                                         -6,985,000 -2,870,000 -31,223,000 -6,087,000 -6,574,000 -4,787,000 -4,411,000 -4,244,000 -7,192,000 -2,974,000 -3,689,000    -1,674,000    -1,548,000    -1,523,000 -1,458,000                                     -366 
          deferred financing costs
                                                                                                     
          net cash from in financing activities
                                         -9,513,000 -12,923,000 24,770,000                                                           
          construction in progress included in trade accounts payable and accrued expenses
                                           2,049,000 4,402,000 29,000 139,000 4,000                                        157,000               
          income from unconsolidated entities
                                            438,000   -146,000  90,000   2,000 1,000 11,000 1,000     -94,000 -60,000 -219,000 -128,000 -43,000 -110,000 -285,000 -119,000 -243,000 -138,000                                 
          interest on contingent consideration
                                                    9,000 10,000 9,000 9,000 13,000 49,000 49,000 35,000 34,000 32,000 31,000 31,000                                       
          contingent consideration and non-cash compensation expense related to the acquisition of rfg
                                                                                                      
          gain on deconsolidation of freshrealm
                                                                                                     
          proceeds from liquidation of calavo chile
                                                                                                     
          decrease in cash due to deconsolidation of freshrealm
                                                                                                     
          proceeds from issuance of freshrealm stock
                                                                                                      
          issuance of stock related to rfg contingent consideration
                                                                                                      
          income taxes receivable
                                               3,102,000 -5,237,000 1,149,000 2,264,000 -1,641,000   1,515,000 -100,000 5,267,000 3,004,000 -200,000 87,000 -273,000 -2,471,000 1,609,000 1,597,000 -2,264,000 375,000 537,000 -581,000 -1,963,000 21,000 1,291,000 1,416,000 -1,072,444 -555 -998,001 999,000  293 -529,636 531,000 814,311 -582 -741,729 744,000 -2,182,000 952,047 439,953 -439,000 -31,803 214 896,589 -896,000           
          intangible assets impairment on calavo salsa lisa
                                                                                                      
          retirement of stock purchased from limoneira
                                                                                                      
          tax benefit of stock option exercises
                                                                                                      
          proceeds from (payments on) revolving credit facility
                                                                                                      
          contingent consideration and non-cash compensation related to the acquisition of rfg
                                                                                                      
          investment in unconsolidated entity
                                                    -125,000                                               
          proceeds on revolving credit facilities
                                                         -9,160,000    -13,170,000                                         
          exercise of stock options
                                                  220,000 15,000  16,000 99,000 15,000  467,000 233,000  217,000  15,000 198,000  55,000    747 -35,964 36,000  21 -265,725 266,000  28    249,750 -129,750 130,000          474,525    
          tax benefit related to stock based compensation
                                                  123,000 333,000   53,000 122,000   76,000 132,000                                           
          unrealized investment holding losses
                                                  3,699,000 -8,401,000  -1,591,000 3,803,000 -9,628,000                -518,000  3,112 2,239,913 -2,247,000                           
          distribution from unconsolidated entity
                                                               91,000    34,000                                   
          gain on sale of maui fresh international
                                                                                                      
          proceeds from sale of maui fresh international
                                                                                                      
          proceeds from issuance of long-term obligations
                                                                                                      
          cash and cash equivalents, beginning of year
                                                                                                   921   
          cash and cash equivalents, end of year
                                                                                                   123   
          tax receivable increase related to stock option exercise
                                                                                       36,000            72   
          notes receivable issued for sale of maui fresh international
                                                                                                      
          revalue adjustment on contingent consideration
                                                        -230,000 357,000 199,000 1,245,000 4,000 245,000 53,000 118,000                                       
          proceeds from issuance of freshrealm units
                                                                                                      
          retirement of common stock
                                                                                   -1,198,800 1,198,800 -1,200,000               
          tax benefit related to stock option exercise
                                                             95,000  42,000  21,000    303 -6,993 7,000  -114,882 115,000     59,940                 
          reclassification of rfg cash contingent consideration to additional paid in capital
                                                                                                      
          collection for beltran infrastructure advance
                                                                                                     
          acquisitions property, plant, and equipment
                                                                                                      
          collection on beltran infrastructure advance
                                                                                                      
          construction in progress included in trade accounts payable
                                                           28,000    27,000      -42,000      39,000    33,000    173,000                   
          acquisition of renaissance food group, net of cash acquired
                                                                                                     
          conversion of cash consideration to stock consideration for rfg acquisition
                                                                                                      
          distributions from unconsolidated entity
                                                             92,000    80,000                                     
          unrealized investment holding gains
                                                           -1,244,000  1,884,000 -2,022,000 1,089,000  -2,213,000 -847,000 3,907,000  2,057,000                                 
          income taxes payable
                                                                     1,424,000     -1,616,113 1,618,000          822,958        924         
          goodwill impairment on calavo salsa lisa
                                                                                                      
          acquisition of hawaiian sweet and pride, net of cash acquired
                                                                                                     
          acquisition of calavo salsa lisa, net of cash acquired
                                                                                                      
          proceeds on (payments on) long-term obligations
                                                                                                      
          proceeds (payments) from (on) revolving credit facility
                                                                                                      
          minimum earnout adjustment related to the acquisition of hawaiian sweet and pride
                                                                                                      
          interest on deferred consideration
                                                                 18,000 17,000 18,000 14,000 24,000 24,000 151,871 38 -44,909 45,000                           
          collections from agricola belher
                                                                      506,493                              
          acquisition of hawaiian sweet and pride
                                                                                                      
          proceeds (payments) on revolving credit facilities
                                                                 -140,000                                     
          proceeds (payments) on long-term obligations
                                                                                                      
          acquisition of calavo salsa lisa llc, net of cash acquired
                                                                                                     
          dividend paid to shareholders
                                                                                                      
          proceeds (repayments) from (on) line of credit borrowings
                                                                                                      
          supplemental information -
                                                                                                      
          capital lease obligations
                                                                                                      
          fixed asset acquired with long term debt
                                                                                                      
          in february 2010, we entered into an asset purchase and contribution agreement in which we acquired a 65 percent ownership interest in newly created calavo salsa lisa, llc which acquired substantially all of the assets of lisa’s salsa company. see note 16 for further information. the following table summarizes the estimated fair values of the non-cash assets acquired and liabilities assumed at the date of acquisition
                                                                                                      
          current assets, excluding cash
                                                                                                      
          property, plant, and equipment
                                                                                                      
          goodwill
                                                                                                      
          intangible assets
                                                                                                      
          total assets acquired
                                                                                                      
          current liabilities
                                                                                                      
          noncontrolling interest
                                                                                                      
          contingent consideration
                                                                                                      
          net non-cash assets acquired
                                                                                                      
          income from maui fresh, llc
                                                                       -122,000    -96,000    -58,000                       
          proceeds from collection of shareholder notes receivable
                                                                                                      
          supplemental information —
                                                                                                      
          income from unconsolidated entity
                                                                                                      
          loss on disposal of fixed assets
                                                                                                      
          acquisitions of hawaiian sweet and pride, net of cash acquired
                                                                                                      
          proceeds from (payments on) revolving credit facilities
                                                                         -5,020                             
          construction in progress in accounts payable
                                                                                                      
          minimum earnout adjustment related to the acquisition of hawaiian sweet and pride.
                                                                                                      
          income from maui fresh llc
                                                                             -73    31,891 -32,000                   
          gross margin
                                                                                                      
          short-term debt
                                                                                                      
          long-term debt, less current portion
                                                                                                      
          shareholders’ equity
                                                                                                      
          investing
                                                                                                      
          financing
                                                                                                      
          dividends per share
                                                                                                      
          stock based compensation
                                                                             10    -7,988 8,000  548,774    13    12         
          agricola belher collections
                                                                                                      
          acquisition of hawaiian sweet and hawaiian pride, net of cash acquired
                                                                                                      
          proceeds from borrowings
                                                                             -2,420    3,780                     
          collection on notes receivable from shareholders
                                                                                 -163,570 166,000  205,825    13    296         
          capital lease obligation
                                                                                                     
          cash settlement of the acquisition of limoneira stock, net of our common stock issued
                                                                                                      
          investment in maui fresh, llc
                                                                                                      
          proceeds from sale of building
                                                                                                      
          proceeds from (repayments of) short-term borrowings
                                                                                                     
          proceeds from issuance of long-term debt
                                                                                        12,987,000              
          issuance of our common stock in limoneira transaction
                                                                                                      
          other long-term assets
                                                                                                      
          prepaid expenses and other assets
                                                                                  -138,768 138,000 -1,625,000 -343,509 669,509 -670,000 -723,529 374 -3,845 4,000 2,653,008 -154         
          cash paid during the period for:
                                                                                                      
          proceeds from (payments on) term borrowings
                                                                                   12,987,000                   
          income tax payable
                                                                                                      
          direct costs of acquisition of maui fresh international, inc.
                                                                                                      
          fixed assets
                                                                                                      
          total non-cash assets acquired
                                                                                                      
          deferred tax liabilities assumed
                                                                                                      
          gain on sale of building
                                                                                                     
          purchase of limoneira stock
                                                                                                      
          proceeds received from sale of building
                                                                                                     
          proceeds from (payments on) short-term borrowings
                                                                                     326,070    157             
          proceeds from short-term borrowings
                                                                                       6,417,000    1,000,000   -3,499,000 3,500,000       
          (gain)/loss on disposal of property, plant, and equipment
                                                                                                      
          gain on sale of investments held to maturity
                                                                                                      
          proceeds from sale of investments held to maturity
                                                                                                     
          proceeds from sale of short-term investments
                                                                                                      
          purchases of short-term investments
                                                                                                      
          additional rights offering costs
                                                                                                   -41   
          loans to growers
                                                                                         57 37,057 -37,000 143,712 226         
          direct costs of maui acquisition
                                                                                                     
          issuance of stock to limoneira
                                                                                                      
          collection on notes receivable
                                                                                               26,000  2,092,144    901 
          proceeds from issuance of common stock
                                                                                                      
          exercise of stock options using shareholder notes receivable
                                                                                                      
          5% stock dividend
                                                                                                      
          stock purchases using shareholder notes receivable
                                                                                                      
          acquisition of property under capital lease
                                                                                                      
          write-off of fixed assets
                                                                                                      
          purchase of short-term investments
                                                                                                      
          additional costs related to the rights offering
                                                                                                 -40,959     
          tax benefit related to stock options
                                                                                                 71,928     
          gain on settlement of insurance claim
                                                                                                      
          proceeds from insurance settlement on facility damage
                                                                                                      
          exercise of stock options using promissory notes
                                                                                                      
          stock purchase using promissory notes
                                                                                                      
          proceeds from/(repayments of) short-term borrowings
                                                                                                      
          dividend to shareholders
                                                                                                   -2,567   
          proceeds (repayments) from (on) short-term borrowings
                                                                                                   400   
          proceeds from stock option exercise
                                                                                                   475   
          proceeds from collection of shareholder note receivable
                                                                                                   541   
          gross margins
                                                                                                      
          operating income
                                                                                                      
          other income
                                                                                                      
          purchases of investments
                                                                                                     -39 
          proceeds (repayments) from/of short-term borrowings
                                                                                                     -2,500 
          acquisition of capital lease
                                                                                                      
          net income from nonmember products
                                                                                                      
          adjustments to reconcile net income from nonmember products to net cash from operating activities:
                                                                                                      
          under distribution to members
                                                                                                      
          proceeds from issuance of capital stock
                                                                                                      
          retirement of common stock and member privileges
                                                                                                      
          proceeds from issuance of treasury stock
                                                                                                      
          supplemental information-
                                                                                                      
          noncash investing and financing activities;
                                                                                                      
          conversion of common stock to preferred stock
                                                                                                      
          acquisition of equipment under capital lease