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Flex Ltd. FLEX Balance Sheet Statement

TTM Q4 '26TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25
$2.39B+4.4%$3.06B+31.0%$2.25B-13.5%$2.24B-0.2%$2.29B-7.5%
$4.68B+27.5%$3.84B+13.5%$3.86B+10.1%$3.92B+32.9%$3.67B+21.0%
$5.85B+15.3%$5.55B+5.3%$5.27B-3.6%$5.21B-10.8%$5.07B-18.3%
$4.45B+2.7%$4.19B-8.3%$4.18B-14.0%$4.09B-18.9%
$462M-0.6%$536M+16.5%$516M0.0%$485M-22.2%
$16.33B+27.2%$15.15B+18.8%$13.84B+3.7%$13.47B+7.3%$12.84B-1.2%
$2.51B+7.5%$2.39B+6.8%$2.35B+4.3%$2.33B+4.5%$2.33B+2.7%
$1.37B+2.1%$1.38B+3.2%$1.38B+20.0%$1.37B+20.2%$1.34B+18.1%
$22.06B+20.0%$20.82B+13.9%$19.55B+5.2%$19.13B+7.9%$18.38B+0.7%
$8.06B+56.5%$6.48B+28.8%$6.13B+19.1%$5.8B+22.7%$5.15B+15.2%
$0-100%$675M+26.9%$676M+27.3%$677M+24.7%$1.21B
$12.02B+22.0%$10.86B+20.1%$10.37B+11.5%$9.92B+10.6%$9.85B+15.4%
$3.75B+51.1%$3.76B+19.5%$3.01B-5.2%$3B+12.4%$2.48B-23.9%
$565M+23.9%$583M+22.7%$604M+26.9%$583M+25.9%$456M-6.9%
$584M-1.0%$500M-19.5%$520M-16.5%$535M-16.0%$590M-8.1%
$16.92B+26.4%$15.7B+18.2%$14.51B+6.8%$14.04B+10.2%$13.38B+3.5%
$3.35B-19.2%$3.51B-16.6%$3.67B-16.1%$3.93B-15.5%$4.14B-18.4%
$2.16B+68.5%$1.91B+80.2%$1.68B+110%$1.48B+152%$1.28B+188%
-$167M+25.4%-$104M+62.7%-$111M+35.8%-$116M+51.3%-$224M-14.9%
$200M$200M
$5.14B+2.8%$5.12B+2.6%$5.04B+0.6%$5.09B+1.9%$5B-6.1%
$22.06B+20.0%$20.82B+13.9%$19.55B+5.2%$19.13B+7.9%$18.38B+0.7%
$9M0.0%$9M-10.0%$9M-18.2%$7M-41.7%
$640M+35.3%$545M+24.7%$516M+11.0%$494M-8.0%
$2.36B+97.3%$1.83B+57.9%$1.65B+38.8%$1.35B+27.2%$1.19B+15.8%
$912M+58.1%$580M-12.4%$575M-12.5%$576M-11.7%$577M-10.4%
$659M+17.3%$667M+15.4%$703M+21.0%$686M+19.7%$562M-6.5%
$300M-12.5%$314M+40.8%$330M+43.5%$343M+40.0%
$283M-17.5%$300M-12.5%$314M+40.8%$330M+43.5%$343M+40.0%
$659M+17.3%$667M+15.4%$703M+21.0%$686M+19.7%$562M-6.5%
$912M-5.4%$933M-8.7%$960M-6.9%$951M-6.7%$964M-5.0%
$659M+17.3%$667M+15.4%$703M+21.0%$686M+19.7%$562M-6.5%
$912M-5.4%$933M-8.7%$960M-6.9%$951M-6.7%$964M-5.0%
$671M+19.8%$590M+15.5%$568M+20.1%$494M+15.4%$560M+14.8%
$2.16B+10.2%$1.96B+0.9%$1.91B-10.3%$1.88B-17.2%$1.96B-25.2%
$671M+19.8%$590M+15.5%$568M+20.1%$494M+15.4%$560M+14.8%
$1.13B+16.1%$1.15B+12.9%$1.09B+6.5%$1.08B+6.8%$977M+0.9%
$129M+1.6%$136M+2.3%$131M+1.6%$119M-3.3%
$9M0.0%$9M-10.0%$9M-18.2%$7M-41.7%
$0.00$0.00$0.00$0.00
373.2M-2.9%376.4M-3.4%381.8M-4.4%383.4M-6.1%
367.6M-4.3%370.9M-4.9%376.2M-5.8%377.8M-7.4%
$1.06B+72.6%$881M+39.2%$819M+37.6%$751M+64.3%$616M+147%
$456M+28.5%$429M+15.3%$450M+13.9%$377M-23.1%
$1.5B-6.3%$1.5B-16.7%$1.5B-21.1%$1.6B-27.3%
$217M-42.1%$202M-46.6%$203M-47.0%$405M+9.8%
$517M-28.0%$516M-14.1%$533M-13.1%$748M+21.8%
4.7%+0.1%4.6%0.0%4.6%+0.2%4.6%+0.1%
$374M+65.5%$304M+24.1%$281M+16.1%$246M-11.2%
$31M-41.5%$41M-52.3%$53M-37.6%$51M-36.3%
$129M+1.6%$136M+2.3%$131M+1.6%$119M-3.3%
5.6M
$18M+12.5%$12M-29.4%$13M+8.3%$14M-6.7%

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Questions, answered.

What are Flex Ltd.'s total assets?
Flex Ltd. (FLEX) holds $22.1B in total assets, up 20.0% year over year.
How much debt does Flex Ltd. have?
Flex Ltd. carries $4.5B in total debt against $5.1B of shareholders' equity, a debt-to-equity ratio of 0.87.
How much cash does Flex Ltd. have?
Flex Ltd. holds $2.4B in cash and equivalents.
Can Flex Ltd. cover its short-term obligations?
Its current ratio is 1.36 — current assets exceed current liabilities.
Where does Flex Ltd.'s balance sheet data come from?
Every line is extracted from Flex Ltd.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.