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Sanmina Corp SANM Cash Flow Statement

FY'25FY'24FY'23FY'22
$266.26M+12.0%$237.75M-27.4%$327.51M+36.2%$240.38M-3.7%
$119.47M-2.4%$122.42M+3.5%$118.24M+8.7%$108.78M-0.8%
$63.4M+10.4%$57.41M+13.9%$50.4M+27.3%$39.61M+13.2%
$620.66M+82.4%$340.22M+44.7%$235.17M-28.9%$330.85M-2.2%
$147.36M+32.5%$111.23M-41.9%$191.37M+38.0%$138.64M+89.1%
$0
-$112.53M+1.6%-$114.4M+40.6%-$192.46M-45.6%-$132.21M-44.8%
$562.7M-73.3%$2.11B$0
$562.7M-73.3%$2.11B-29.3%$2.98B+59.1%$1.87B+9,894%
-$173.84M+35.5%-$269.71M-$318.85M-312%
$340.36M
$473.3M+107%$228.99M+423%$43.8M-77.2%$192.22M-27.5%

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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.