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Sanmina Corp SANM Cash Flow Statement

TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25
$274.43M+11.0%$247.13M-7.2%$266.26M-5.5%$281.63M+6.9%$263.48M+6.1%
$146.03M+14.8%$127.15M+6.4%$119.47M-1.6%$121.47M0.0%$121.47M-1.7%
$80M+11.5%$71.72M+13.1%$63.4M+1.2%$62.65M+2.3%$61.25M+1.9%
$30.05M+247%-$20.38M-72.5%-$11.81M-152%$22.72M-15.6%$26.92M-9.1%
-$435.75M-4,279%$10.43M-84.8%$68.81M-70.1%$230.11M
$231.55M-38.9%$379.08M-30.2%$542.74M
$241.58M+248%$69.48M-29.9%$99.05M
-$26.68M-429%
-$2.07M+49.3%-$4.07M+28.1%-$5.66M+10.8%-$6.35M-93.6%-$3.28M-2,883%
$977.35M+32.9%$735.45M+18.5%$620.66M+31.1%$473.45M+30.5%$362.67M+30.4%
$243.11M+12.0%$217.11M+47.3%$147.36M+36.6%$107.89M+13.3%$95.2M+1.2%
$49.31M
-$1.59B-3.8%-$1.53B-1,259%-$112.53M-48.5%-$75.78M-14.0%-$66.49M+31.3%
$2.76B+391%$562.7M-18.3%$689.1M-1.3%$698.5M-48.5%
$308.53M-45.2%$562.7M-18.3%$689.1M-37.3%$1.1B-31.9%
$155.35M$0-100%$5.2M-11.3%$5.87M-2.4%
$61.44M-10.2%$68.39M+59.0%$43.02M+11.1%$38.73M+1.9%$38.01M
$1.61B+1,027%-$173.84M+23.1%-$226.03M+15.1%-$266.27M-56.5%
$1.52M-47.8%$2.91M+66.1%$1.75M-56.7%$4.05M+148%$1.63M
$939.06M+13.9%$824.41M+142%$340.36M+89.1%$180.01M
$51.74M+103%$25.43M+53.4%$16.58M-1.2%$16.79M-14.2%$19.57M-15.1%
$126.55M+23.1%$102.83M+4.3%$98.58M+17.2%$84.11M+27.6%$65.91M-3.1%
$88.52M+91.3%$46.28M+5.5%$43.87M+4,110%-$1.09M+98.3%-$62.79M-8.4%
$347.85M-39.1%$571.4M-13.8%$662.92M+74.1%$380.74M+26.7%$300.5M+166%
-$26.68M-429%
$477K+33.3%$357.75K+50.0%$238.5K+100%
$315M+1,700%$17.5M+33.3%$13.13M0.0%$13.13M0.0%
$252.74M+42.3%$177.63M+55.9%$113.94M-36.5%$179.38M-18.8%$221.01M+61.7%
$95M+46.3%$64.94M+19.2%$54.48M
$126.55M+23.1%$102.83M+4.3%$98.58M+17.2%$84.11M+27.6%$65.91M-3.1%
$734.23M+41.7%$518.34M+9.5%$473.3M+29.5%$365.56M+36.7%$267.47M+45.3%
$734.23M+41.7%$518.34M+9.5%$473.3M+29.5%$365.56M+36.7%$267.47M+45.3%

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Questions, answered.

How much cash does Sanmina Corp generate?
Sanmina Corp (SANM) generated $977.3M in operating cash flow over the trailing twelve months.
What is Sanmina Corp's free cash flow?
After $243.1M of capital expenditures, Sanmina Corp's free cash flow was $734.2M over the trailing twelve months, up 174.5% year over year.
Where does Sanmina Corp's cash flow data come from?
Every line is extracted from Sanmina Corp'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.