Flex Ltd.

NASDAQ:FLEX

39.12 (USD) • At close December 27, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 1,2451,03393661387.57993.399428.534319.564444.081600.801365.594277.051488.765596.21918.594-6,086.147-639.37508.638141.162339.871-352.378-83.453-153.748-446.019120.91551.5319.9137.463-17.46.22.51.3
Afschrijvingen & Amortisatie 537501484569748.05764.952555.364609.66515.367540.49464.543566.357521.923471.668707.53693.597712.84421.74390.828375.825664.57420.171483.631524.06982.68750.40730.94813.93810.46.13.43.7
Uitgestelde Inkomstenbelasting -480-192-44-126.476-13.85643.187-20.041-64.346-59.261-36.261-32.647-1.022-51.198-108.272-19.899633.85-26.49247.953-84.07-97.171-92.798-182.677-179.744-5.561-0.5760.999-0.7910.1000
Aandelen Gebaseerde Vergoedingen 15213391797176.03281.34677.3377.5850.2740.43934.52948.45455.23756.47456.914032.3252.6622.1551.7721.0855.084000000000
Verandering in Werkkapitaal -251-584-396-1,039-2,368.905-3,742.761-78.726220.685176.997-317.638400.869315.905-250.619-221.45643.941733.416331.709-381.85359.01886.758-41.998330.44550.673-835.237-313.002-42.397-26.12913.601-30.2-17.20.2-4.6
Vorderingen 339-388624-1,656-2,126.355-3,628.129-296.91-164.239317.946316.773-592.346519.14-30.24926.519-121.1941,025.4340-199.498172.638110.907-381.948496.193-581.225000000000
Voorraden 1,105-974-2,655-96-66.462-360.152-354.31985.04784.7972.66-758.846596.131301.053-664.738141.7541,128.936205.584-628.024-220.988-105.126-56.108184.71639.954-559.842-454.556-44.346-32.258-2.533-19.2-3.2-5.8-4.9
Crediteuren -986-341969103-14.55468.07623.148268.686-365.051-176.9411,117.449-671.424-750.169609.868413.053-1,212.1080411.083278.82819.636535.749-477.998465.732000000000
Overig Werkkapitaal -7091,119666610-161.534177.45-50.64531.191139.312-530.13634.612-127.942228.746-193.105-389.672-208.846126.12534.586-171.4661.341-139.691127.53526.212-275.395141.5541.9496.12916.134-11-1460.3
Overige Niet-Contante Posten 12359-47-66-78.022-148.79-276.107-57.289-13.234-20.628-18.724-45.765-3.2336.87480.6495,938.89814.585-277.982-92.2673.72612.90332.339155.945467.20647.5696.41512.55512.4560.11.50.3-0.3
Kasstroom uit Operationele Activiteiten 1,3269501,024144-1,533.276-2,971.024753.5981,149.9091,136.445794.0341,216.461,115.43804.268857.344798.9161,316.7791,042.833276.376549.356724.265187.698607.784858.908-469.725-67.39265.37938.28646.667-0.7-3.46.40.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -530-635-443-351-461.745-725.606-561.997-525.111-510.634-347.413-609.643-488.993-437.191-470.702-176.463-462.079-327.547-569.424-251.174-289.68-181.461-208.311-330.392-711.227-250.458-147.865-98.617-26.984-15.8-15.9-5-1.9
Netto Overnames 122-539-32.012254.351-271.326-152.353-910.787-66.854-233.432-161.512-90.859-16.341-75.901-214.496-629.182-356.422-130.655-469.003-119.983-501.602-314.498-158.882-256.66-46.2-6.2500000
Aankoop van Beleggingen 00000000000000-260.1880000000-26.35200-17.546-3.621000-2.6-0.4
Verkoop/verval van Beleggingen 00000000000000260.18826.4500000046.91006.0991.62200000
Overige Investeringsactiviteiten 2629311522,738.7633,724.152-75.662-24.72325.045172.05159.143-46.69446.68673.802260.1885.26921.358534.351-47.0920.406-102.323-103.133-458.928-246.53-65.0760.9512.198-85.007-13.2-2.62.30
Kasstroom uit Investeringsactiviteiten -492-604-951-2022,279.033,252.897-908.985-702.187-1,396.376-242.216-783.932-697.199-481.364-413.2417.824-644.856-935.371-391.495-428.919-738.277-403.767-813.046-1,083.26-1,116.639-572.194-204.561-104.668-111.991-29-18.5-5.3-2.3
Financieringsactiviteiten:
Schuldaflossingen -407-306475923-246139-54.977171.011694.481-24.614-15.767-141.646-35.417-264.595-719.298-400.575926.231-122.118-94.294-6.565333.64-131.429-80.139-62.308181.53298.97929.7382.03810.6-16.3-13.11.7
Uitgifte van Gewone Aandelen 06940000000000023.2990035.91121.15349.986336.10161.11327.885561.4821,500.1551,195.694236.34498.0981.36224.55.538.60
Terugkoop van Gewone Aandelen -1,298-337-686-183-260-189-180.05-349.532-420.317-415.945-475.314-322.04-509.8-400.40-260.074000000000-24.33500-1.2000
Uitgekeerde Dividenden 0-2200000000000000000000-0.19-0.19-23.5140000000
Overige Financieringsactiviteiten 496674913-220.29647.242-63.586-24.522-75.45880.289124.10823.05523.2996.02613.848000-13.20100-112100-281.07106.47-4.403-2.3000
Kasstroom uit Financieringsactiviteiten -1,6562280743-508-29.704-187.785-242.107249.642-516.017-410.792-339.578-522.162-641.696-713.272-646.801962.142-100.965-44.308316.335394.753-103.544369.3431,504.9511,069.581224.829133.49682.37731.6-2.525.51.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2-18-2629-11.233-27.968-15.07917.49-10.549-1.121-15.095-9.895-30.88418.50812.20276.816-64.181-12.25-2.528-48.34112.572-12.298-31.455-34.048-5.923-2.053-1.8830.046-0.121.9-1.12.2
Netto Kasstroomverandering -820330327714226.061224.201-358.251223.105-20.83834.686.64168.758-230.142-179.085105.67101.9381,005.423-228.33473.601253.982191.256-321.104113.536-115.461424.07283.59465.23117.0991.8-2.525.51.7
Kaspositie aan het Einde van de Periode 2,4743,2942,9642,6371,922.6861,696.6251,472.4241,830.6751,607.571,628.4081,593.7281,587.0871,518.3291,748.4711,927.5561,821.8861,719.948714.525942.859869.258615.276424.02745.124631.588618.581172.98489.3923.6456.626.7284.7