SANMINA CORPSANM

Market cap
$3.8B
P/E ratio
12.1x
Sep 29,
2012
Sep 28,
2013
Sep 27,
2014
Oct 3,
2015
Oct 1,
2016
Sep 30,
2017
Sep 29,
2018
Sep 28,
2019
Oct 3,
2020
Oct 2,
2021
Oct 1,
2022
Sep 30,
2023
Net Income (Loss)18079197377188139-96142140269256328
Depreciation and amortization999698101112119119117114110109118
Net income before noncontrolling interest-----------328
Stock-based compensation expense181819212738333126354050
Depreciation and amortization999698101112119119117114110109118
Deferred income taxes-156-8-69-242-17381745514343229
Stock-based compensation expense181819212738333126354050
Goodwill impairment--------8-2-
Deferred income taxes-156-8-69-242-17381745514343229
Loss (Gain) on sale of intellectual property-----------7-
Gain on liquidation of foreign entity---------8--
Other, net-0-113422-0-112
Depreciation and amortization999698101112119119117114110109118
Net income before noncontrolling interest-----------328
Stock-based compensation expense181819212738333126354050
Depreciation and amortization999698101112119119117114110109118
Deferred income taxes-156-8-69-242-17381745514343229
Stock-based compensation expense181819212738333126354050
Goodwill impairment--------8-2-
Deferred income taxes-156-8-69-242-17381745514343229
Loss (Gain) on sale of intellectual property-----------7-
Gain on liquidation of foreign entity---------8--
Other, net-0-113422-0-112
Accounts receivable-13-5736-403713669-55-84147-4689
Contract assets-------210-48155-30
Inventories-63-448114-6104324-121-40167663-210
Prepaid expenses and other assets-9-1215-11-0-12-8-10-1863218
Accounts payable-4822174-11795131268-183-107236554-414
Accrued liabilities15212-215111154-35-48134-10
Accounts receivable-13-5736-403713669-55-84147-4689
Contract assets-------210-48155-30
Inventories-63-448114-6104324-121-40167663-210
Prepaid expenses and other assets-9-1215-11-0-12-8-10-1863218
Accounts payable-4822174-11795131268-183-107236554-414
Accrued liabilities15212-215111154-35-48134-10
Cash provided by operating activities215----251156383301338331235
Cash provided by operating activities215----251156383301338331235
Purchases of property, plant and equipment7976701191201121191356673139191
Proceeds from sales of property, plant and equipment53363154582181
Purchases of investments--------30323
Sale of investments--------30---
Cash paid for business acquisition, net of cash acquired5-801459----21--
Cash paid for business acquisition, net of cash acquired5-801459----21--
Proceeds from sale of intellectual property---------5--
Proceeds from sale of intellectual property---------5--
Cash used in investing activities-78-----108-116-128-64-91-132-192
Cash used in investing activities-78-----108-116-128-64-91-132-192
Proceeds from Lines of Credit4841,0555682,6932,9629334,0413,8841,9094001,8742,981
Repayments of revolving credit facility borrowings4841,0555682,5833,0478733,9114,0991,9094001,8742,981
Repayments of long-term debt----4433378391933318
Proceeds from issuance of long-term debt40-370----375--350-
Debt issuance costs3------3--3-
Net proceeds from stock issuances312171918274148323
Holdback paid in connection with previous business combination-----------9
Repurchases of common stock02761231421771581317964331-
Proceeds from (Repayments of) Bank Overdrafts-----------8
Proceeds from notes receivable---------31-
Net proceeds from stock issuances312171918274148323
Cash provided by (used in) financing activities-367-----135-28-220-210-77-31495
Repurchases of common stock-----------107
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Continuing Operations-----------50
Proceeds from sale of noncontrolling interest-----------216
Proceeds from notes receivable---------31-
Cash provided by (used in) financing activities-367-----135-28-220-210-77-31495
Increase (decrease) in cash and cash equivalents-------3526170-120138
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Continuing Operations-----------50
Increase (decrease) in cash and cash equivalents-------3526170-120138
Interest, net of capitalized interest684231192118263020151832
Income Taxes Paid, Net131829452920353231334857
Capital Expenditures Incurred but Not yet Paid-----50502712213922
Interest, net of capitalized interest684231192118263020151832
Income Taxes Paid, Net131829452920353231334857
Capital Expenditures Incurred but Not yet Paid-----50502712213922