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Sanmina Corp SANM Other International — Long-Lived Assets

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Other financials

Income statement

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Revenue$3.5B+69.7%
Gross profit$363.3M+101%
Operating income$221.2M+131%
Net income$117.1M+70.7%
EPS (diluted)$2.12+68.3%

Balance sheet

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Cash & equivalents$1.9B+125%
Total debt$2.4B+568%
Total equity$2.8B+11.5%
Total assets$9.7B+86.5%

Cash flow

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Operating cash flow$124.5M-38.0%
CapEx$100.9M+172%
Free cash flow$23.6M-85.6%

Valuation

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Market cap$10.67B+70.5%
Enterprise value$11.22B+93.9%
P/E34.6×+10.5×
P/S0.8×+0.1×

Profitability

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Gross margin9%+0.4pp
Operating margin4.2%-0.4pp
Net margin2.4%-0.8pp
FCF margin4.7%+0.1pp

Returns & leverage

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Return on equity11.8%+1.0pp
Debt / equity0.9×+0.7×
Current ratio1.8×-0.1×

Where this comes from

Reported directly by Sanmina Corp in its filing.

Tagged under the XBRL concept us-gaap:NoncurrentAssets.

The source filing: Sanmina Corp’s 10-Q, filed July 27, 2026.

Filed
Jul 27, 2026, 4:06 PM EDT
Fiscal quarter
Q3 FY2026
Calendar quarter
Q3 2026
Accession
0000897723-26-000037
Line itemAs of / June 27,2026As of / September 27,2025
U.S. (country of domicile)$442,772$170,634
Mexico (>10% of total)$333,008$267,430
Other$275,634$244,290
Total$1,051,414$682,354

ITEM 1. Interim Financial Statements (Unaudited)

FAQ

What is Sanmina Corp's other international — long-lived assets?
Sanmina Corp (SANM) reported other international — long-lived assets of $275.63M in Q2 2026.
How has Sanmina Corp's other international — long-lived assets changed year-over-year?
Sanmina Corp's other international — long-lived assets increased by 12.8% year-over-year, from $244.29M to $275.63M.
What does other international — long-lived assets mean?
This metric represents the net book value of property, plant, equipment, and other non-current assets located in geographic regions outside of the company's primary reporting markets. It reflects the capital intensity and physical infrastructure footprint required to support manufacturing or service operations in these specific international territories. Monitoring this helps investors assess the geographic concentration of capital investment and potential exposure to regional economic or political risks.

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