Sanmina Corporation

NASDAQ:SANM

69.68 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 667.57529.857650.026480.526454.741419.528406.661398.288412.253466.607402.875409.618640.288592.812899.151869.801933.424491.8291,068.0531,116.1491,043.851,064.534567.649992.842136.175.341.429.6107.314.70.63.81.2
Kortetermijnbeleggingen 60000000001.1331.8470000028.17857.28112.51839.13899.14820.742265.308318.577.380.885.400000
Liquide middelen en kortetermijnbeleggingen 667.57529.857650.026480.526454.741419.528406.661398.288412.253466.607402.875409.618640.288592.812899.151869.801933.424491.8291,125.3341,128.6671,082.9881,163.6741,388.3911,258.15454.6152.6122.2115107.314.70.63.81.2
Nettovorderingen 1,676.5281,642.5681,541.1751,439.9171,524.6791,177.2191,110.334973.68936.952979.475944.8161,001.5431,014.1211,018.612668.474969.5581,218.3751,526.3731,477.4011,668.9731,576.3921,394.515502.952644.236191.196.951.330.423.816.911.29.88.9
Voorraad 1,477.2231,691.0811,036.511861.281900.5571,374.0041,051.669946.239918.728893.178781.56826.539891.325844.347761.391813.3591,059.8561,318.41,015.0351,064.518977.7991,123.016503.822572.102206.36949.532.119.510.39.75.87.9
Overige vlottende activa 58.24962.04453.95237.71840.95243.67647.58657.445129.982111.71475.33788.59983.51253.04768.90243.163203.802154.401129.387400.488531.3433.591188.1110.7770.123.80.1-0.111.913.91.92.12.2
Totaal vlottende activa 3,879.573,925.553,281.6642,819.4422,920.9293,014.4272,616.252,375.6522,397.9152,450.9742,204.5882,326.2992,629.2462,590.0092,476.0462,796.283,415.4573,491.0033,747.1574,262.6464,168.5194,159.0382,583.2932,585.265885.2342.3234.3185.3162.555.823.421.520.2
Niet-vlottende activa:
Materiële vaste activa, netto 632.836575.17532.985559.242630.647642.913640.275617.524590.844563.016540.151569.365588.097570.258543.497599.908609.394620.132662.101782.642902.8681,084.454632.59655.942206.8107.961.234.918.88.58.2910.5
Goodwill 0000028.51659.126000000000510.6691,613.231,689.1982,254.9792,223.4222,101.7209.2045.700000000
Immateriële activa 0000031.2189.2180000011.00700022.21829.8021,725.1052,254.9792,223.4222,148.827294.397318.51245.716.1684.1013.814.515.2
Goodwill en immateriële activa -6000031.21868.3440000011.007000532.8871,643.0321,725.1052,254.9792,223.4222,148.827294.397318.51245.716.1684.1013.814.515.2
Langetermijnbeleggingen 60000-31.218-68.34400022.51239.95400000-39.107-42.767-303.96515.6147498.5052.900000000
Belastingvorderingen 177.597198.588235.117273.47279.803344.124476.554514.314422.670000000039.10742.767303.965421.47817.2610-52.900000000
Overige niet-vlottende activa 183.965160.192156.953120.50274.13483.669114.284117.73281.835299.099228.597232.168125.123141.529104.354117.785112.217108.263107.412246.369-281.64534.538-29.44979.751641.31.52.32.70.20.20.81.3
Totaal niet-vlottende activa 994.398933.95925.055953.214984.5841,070.7061,231.1131,249.571,095.349862.115791.26841.487724.227711.787647.851717.6931,254.4982,371.4272,494.6183,283.993,281.7373,359.0191,057.0381,054.205316.5125.368.745.225.68.722.224.327
Totaal activa 4,873.9684,859.54,206.7193,772.6563,905.5134,085.1333,847.3633,625.2223,493.2643,313.0892,995.8483,167.7863,353.4733,301.7963,123.8973,513.9734,669.9555,862.436,241.7757,546.6367,450.2567,518.0573,640.3313,639.471,201.7467.6303230.5188.164.545.645.847.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,612.8332,029.5341,464.6931,210.0491,336.9141,547.3991,280.1061,121.1351,035.3231,139.845956.488937.737984.014923.038780.876891.3971,450.7051,494.6031,559.1721,630.8331,506.9981,279.451332.471488.806154.868.842.624.421.910.69.27.25.7
Kortlopende schulden 25.94517.518.7518.7538.354593.32188.41628.416113.416157.39422.30159.99560.265175.700100.1351.439609.7463.489265.89915.811.7281.62.90.100.10043.1
Belastingschulden 000000000000000000000000000000000
Uitgestelde opbrengsten 0198.5880000000000000000000312.184-15.734122.1212700000000
Overige kortlopende verplichtingen 394.554208.039279.544293.79307.754261.175247.521251.712231.818236.898227.935221.815221.671263.305239.334330.544346.377379.511513.607545.48525.566196.455159.889.843443.117.615.611.67.15.83.32.4
Totaal kortlopende verplichtingen 2,033.3322,453.6611,762.9871,522.5891,683.0222,401.8951,616.0431,401.2631,380.5571,534.1371,206.7241,219.5471,265.8851,251.3431,195.911,221.9411,797.0821,974.2492,074.2182,786.0592,036.0532,053.989492.337712.495217.4114.860.34033.617.71514.511.2
Langlopende verplichtingen:
Langetermijnschulden 312.327329.237311.572329.249346.97114.346391.447434.059423.949386.681562.512837.3641,182.3081,240.6661,262.0141,481.9851,588.0721,507.2181,644.6661,311.3771,925.631,975.3311,218.6081,143.942355.35.886.386.386.304.431.234.5
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000000000000000090.29417.18460.9980000000000
Overige niet-vlottende verplichtingen 209.684215.333253.532290.902232.947196.048192.189180.097168.287145.516135.048147.094134.759148.186122.833114.089111.654110.4143.87394.48975.02556.83827.40881.5512.72.90.50.510.10.100
Totaal niet-vlottende verplichtingen 522.011544.57565.104620.151579.918210.394583.636614.156592.236532.197697.56984.4581,317.0671,388.8521,384.8471,596.0741,699.7261,617.6181,788.5391,405.8662,090.9492,049.3531,307.0141,225.4933588.786.886.887.30.14.531.234.5
Totaal passiva 2,555.3432,998.2312,328.0912,142.742,262.942,612.2892,199.6792,015.4191,972.7932,066.3341,904.2842,204.0052,582.9522,640.1952,580.7572,818.0153,496.8083,591.8673,862.7574,191.9254,127.0024,103.3421,799.3511,937.988575.4123.5147.1126.8120.917.819.545.745.7
Eigen vermogen:
Preferente aandelen 0000000000000.00400000000000000000000
Gewone aandelen 0.5680.5740.6430.650.6970.6780.7170.730.7810.8220.8420.8170.8070.7975.5015.5015.4885.5195.4575.425.3045.2543.2241.5220.60.50.20.200000
Ingehouden winsten -2,930.008-3,198.245-3,454.366-3,723.364-3,863.077-4,032.722-3,980.458-4,119.291-4,307.129-4,684.39-4,881.555-4,960.906-5,141.14-5,210.057-5,308.422-5,172.2-4,685.851-3,544.06-3,219.931-2,213.929-2,202.531-2,065.374631.379570.576335.4148.682.94213.9-3.10-5.1-3.6
Overige gereserveerde algehele resultaten 70.87956.32540.6934.88642.25973.94476.79465.38166.57182.91684.30163.47970.73854.21752.3555.77761.0642.60836.88632.6916.335-10.305-13.696-10.379-10.40.1-24.3-18.2-16.5-12.9-9.2-6.2
Overige totale aandeelhoudersvermogen 5,177.1865,002.6155,291.6615,317.7445,462.6945,430.9445,550.6315,662.9835,760.2485,847.4075,887.9765,860.3915,840.1125,816.6445,793.7115,806.885,792.455,766.4965,556.6065,530.535,504.1465,485.141,220.0731,139.763291.3194.672.785.871.566.33914.411.3
Totaal eigen vermogen van aandeelhouders 2,318.6251,861.2691,878.6281,629.9161,642.5731,472.8441,647.6841,609.8031,520.4711,246.7551,091.564963.781770.521661.601543.14695.9581,173.1472,270.5632,379.0183,354.7113,323.2543,414.7151,840.981,701.482626.3344.1155.9103.767.246.726.10.11.5
Totaal eigen vermogen 2,468.31,861.2691,878.6281,629.9161,642.5731,472.8441,647.6841,609.8031,520.4711,246.7551,091.564963.781770.521661.601543.14695.9581,173.1472,270.5632,379.0183,354.7113,323.2543,414.7151,840.981,701.482626.3344.1155.9103.767.246.726.10.11.5
Totaal passiva en aandeelhoudersvermogen 4,873.9684,859.54,206.7193,772.6563,905.5134,085.1333,847.3633,625.2223,493.2643,313.0892,995.8483,167.7863,353.4733,301.7963,123.8973,513.9734,669.9555,862.436,241.7757,546.6367,450.2567,518.0573,640.3313,639.471,201.7467.6303230.5188.164.545.645.847.2