Sanmina Corporation (SANM)
NASDAQ: SANM · Real-Time Price · USD
125.20
-1.15 (-0.91%)
At close: Mar 13, 2026, 4:00 PM EDT
125.71
+0.51 (0.41%)
After-hours: Mar 13, 2026, 7:37 PM EDT

Sanmina Cash Flow Statement

Millions USD. Fiscal year is Oct - Sep.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Sep '25 Sep '24 Sep '23 Oct '22 Oct '21
Net Income
247.13266.26237.75327.51240.38249.55
Depreciation & Amortization
127.15119.47122.42118.24108.78109.66
Stock-Based Compensation
71.7263.457.4150.439.6134.98
Other Adjustments
19.84-17.4829.2330.5238.023.74
Change in Receivables
-5.39-63.76-104.39-89.4647.48-145.81
Changes in Inventories
-379.08-542.7435.71210.22-651.12-157.28
Changes in Accounts Payable
69.4899.05-111.55-418.19508.99243.83
Changes in Accrued Expenses
94.0675.18-77.56-61.89173.94-49.02
Changes in Unearned Revenue
571.4662.9289.1955.61--
Changes in Other Operating Activities
-80.87-41.6462.0112.21-175.2348.7
Operating Cash Flow
735.45620.66340.22235.17330.85338.34
Operating Cash Flow Growth
164.43%82.43%44.67%-28.92%-2.21%12.57%
Capital Expenditures
-312.02-147.36-111.23-191.37-138.64-73.3
Sale of Property, Plant & Equipment
0.164.882.031.418.431.08
Proceeds from Sale of Intangible Assets
-----5
Purchases of Investments
-7.72-15.04-5.2-2.5-2-2.71
Proceeds from Sale of Investments
58.0249.31----
Payments for Business Acquisitions
-1,356-----21.41
Other Investing Activities
0.43-----
Investing Cash Flow
-1,525-108.21-114.4-192.46-132.21-91.33
Short-Term Debt Issued
308.53562.72,1092,9811,874399.6
Short-Term Debt Repaid
-308.53-562.7-2,109-2,981-1,874-399.6
Long-Term Debt Issued
2,200---346.74-
Long-Term Debt Repaid
-315-17.5-21.57-17.5-332.81-18.75
Net Long-Term Debt Issued (Repaid)
1,885-17.5-21.57-17.513.92-18.75
Issuance of Common Stock
--6.163.412.382.99
Repurchase of Common Stock
-169.14-113.8-228.46-84.78-331.1-64.06
Net Common Stock Issued (Repurchased)
-169.14-113.8-222.3-81.37-328.72-61.07
Other Financing Activities
-97.1-42.54-25.84193.380.52.5
Financing Cash Flow
1,611-173.84-269.7194.51-314.3-77.32
Effect of Exchange Rate Changes on Cash and Cash Equivalents
2.911.752.180.5-4.51-0.2
Net Cash Flow
824.41340.36-41.71137.71-120.17169.5
Free Cash Flow
423.43473.3228.9943.8192.22265.05
Free Cash Flow Growth
-10.54%106.69%422.79%-77.21%-27.48%12.99%
FCF Margin
4.55%5.82%3.03%0.49%2.43%3.93%
Free Cash Flow Per Share
7.698.584.020.733.053.95
Levered Free Cash Flow
2,205453.28209.9617.381.03353.39
Unlevered Free Cash Flow
356.75503.02260.1986.34104.6349.36
Updated Jan 26, 2026. Data Source: Fiscal.ai. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q