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Sanmina Corp SANM Cash Flow Statement

Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
$97.82M+38.7%$51.76M-27.0%$51.97M-22.8%$72.89M+33.2%$70.52M+27.5%
$47.09M+66.9%$39.53M+24.1%$29.65M-6.3%$29.76M0.0%$28.21M-6.8%
$24.07M+52.4%$23.62M+54.5%$16.23M+4.8%$16.08M+9.5%$15.79M+7.8%
$49.63M+6,288%-$3.23M-161%-$18.8M-220%$2.46M-63.1%-$802K-143%
$4.71M$0
-$416.58M-1,507%-$39.77M-314%$20.59M-88.7%$0$29.6M
-$26.71M-122%-$179.41M-1,039%$397.94M$39.73M$120.81M+1,793%
$130.95M+418%-$84.23M-54.1%$126.63M$68.22M+2,497%-$41.15M
$122.74M+1,410%$23.83M+283%-$9.37M-176%
-$269.82M-$18.08M+51.1%$75.9M+698%
$941K+188%$2.12M+302%-$422K+62.0%-$4.7M-189%-$1.07M-151%
$398.76M+154%$178.73M+180%$199.08M+284%$200.78M+123%$156.86M+117%
$56.72M+84.7%$86.84M+408%$62.47M+172%$37.09M+52.0%$30.71M+3.7%
$1.13M$1.36B$0
$340K-89.7%$60K-90.0%
$8.71M$49.31M
-$94K+74.2%-$68K-150%-$4.49M-176%-$364K+39.3%
-$57.75M-$1.43B-8,226%-$62.64M-142%-$32.66M-39.8%$0+100%
$2.2B$50M-71.7%$512.7M-1.8%$0-100%
$2.53M-99.0%$50M-71.7%$112M-78.5%$144M-78.1%
$155.35M$0-100%$0-100%$0-100%
$22.36M-23.7%$33.72M+304%$4.47M+2,344%$892K+431%$29.31M
$28.7M$0
$1.76B+6,190%-$8.22M+86.4%-$18.76M+68.2%-$118.03M-440%
-$225K-119%-$187K+86.1%$289K-88.8%$1.64M+312%$1.17M
$158.97M+259%$500.59M+2,926%$128.5M+503%$151M$44.32M
$30.42M+639%$13.35M+197%$3.9M-5.1%$4.07M-40.6%$4.12M-45.9%
$40.01M+146%$23.02M+22.7%$31.15M+86.7%$32.38M+128%$16.29M-11.6%
$0$49M$0
$4.71M$0
$42.24M$4.96M+94.2%$14.24M+146%$27.08M+178%$0-100%
-$19.22M-109%-$67.43M-380%$353.33M+397%$81.16M+8,751%$204.34M+1,127%
$122.74M+1,410%$23.83M+283%-$9.37M-176%
-$94K+74.2%-$68K-150%-$4.49M-176%-$364K+39.3%
$28.7M$0
$119.25K$119.25K$119.25K
$301.88M+6,800%$4.38M$4.38M0.0%$4.38M0.0%
$159.45M+89.1%$79.79M+395%$0-100%$13.49M-75.5%$84.34M
$30.06M$32.9M+46.6%$19.54M$12.51M$0-100%
$155.35M$0
$40.01M+146%$23.02M+22.7%$31.15M+86.7%$32.38M+128%$16.29M-11.6%
$342.04M+171%$91.89M+96.1%$136.61M+373%$163.69M+150%$126.15M+195%
$342.04M+171%$91.89M+96.1%$136.61M+373%$163.69M+150%$126.15M+195%

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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.