Sanmina Corporation

NASDAQ:SANM

83.27 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 222.536327.513256.121268.998139.713141.515-95.533138.833187.838377.261197.16579.351180.23468.917122.435-136.222-486.349-1,134.657-141.557-1,006.002-11.398-137.157-2,696.75340.446197.29393.768.240.928.117-3.15.9-1.5-0.7
Afschrijvingen & Amortisatie 122.418118.237108.783109.656114.218116.949118.82118.751111.91100.56797.67796.02199.477104.57189.57389.92896.82117.194138.597178.324190.904222.6249.572180.793157.25645.527.312.98.14.75.14.14.34.3
Uitgestelde Inkomstenbelasting 028.75331.73333.72413.56754.668173.59137.892-16.829-242.274-69.036-8.355-155.791-2.1633.4920.834-1.478-3.6337.949367.239-57.373-46.54127.682-73.725-48.337000000000
Aandelen Gebaseerde Vergoedingen 050.40239.60834.97626.23530.84432.82537.9226.90720.65318.78917.52417.99918.89615.16715.9940012.3129.25700000000000000
Verandering in Werkkapitaal -106.59-291.505-115.499-84.378-1.34836.77-105.666-86.62378.703-81.59155.016137.56252.1133.013-299.163218.755-942.076-1,421.386-1,991.944-151.43215.224350.786485.277-22.908-333.654-62.8-13.3-7.7-101.2-4.6-0.93.9-0.4
Vorderingen 0-89.46246.48-146.51683.62354.947-69.076-136.072-36.91340.207-35.76956.8412.8966.061-332.179319.75400-71.64407.7050-150.286114.74700000000000
Voorraden 0210.218-663.379-167.18639.564121.383-324.168-104.4685.614-13.726-81.23844.33463.365-46.803-60.12980.325197.792260.085-283.88557.889-61.107214.048777.186142.534-221.036-98.1-3.8-11.9-9-4.3-0.6-3.92.1-0.4
Crediteuren 0-414.49554.492236.27-106.64-182.521268.421130.64895.193-116.899174.33622.307-48.41271.24893.801-119.110063.006-72.5320144.972-161.14700000000000
Overig Werkkapitaal -106.592.229-53.092-6.946-17.89542.96119.15723.26914.8098.827-2.31314.08124.2612.507-0.656-62.214-1,139.868-1,681.471-1,699.425-544.49476.331142.052-245.509-165.442-112.61835.3-9.54.2-15.5-431.80.4
Overige Niet-Contante Posten 101.8521.76810.108-24.6348.172.21932.3874.1881.5870.287.771-4.21421.38411.674-9.8387.9411,366.1092,948.0721,640.3391,018.60856.487161.7672,757.541276.921114.82438.712.30.60.314.40.61.11.6
Kasstroom uit Operationele Activiteiten 340.216235.168330.854338.342300.555382.965156.424250.961390.116174.896307.382317.889215.413234.908-78.334197.2339.265485.934-334.304415.994193.844551.455823.319401.52787.382115.183.248.426.823.211.89.77.84.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -109.196-189.958-130.214-72.212-64.409-134.674-118.881-111.833-120.4-119.097-69.507-75.95-78.631-107.574-81.416-65.931-121.478-88.358-139.195-74.549-87.198-70.747-92.991-187.531-198.667-65.3-29-30.2-21.8-9.9-11.2-3.1-2.1-3.3
Netto Overnames 0217.2088.425-21.408307.5324.7223.935-58.878-13.887-79.5080-5.023-14.656-14.908-29.71284.8317.783-44.651-95.235-78.475-223.748-319.941-71.667-172.194-75.1-5.70-5.30.60000
Aankoop van Beleggingen -5.2-2.5-2-2.705-30-0.499-2.0190000000.0590-0.2-0.726-4.31-19.578-80.804-70.496-91.482-488.652-2,120.678-313.523-472-103-123.4-169.7-13.7-4.1000
Verkoop/verval van Beleggingen 0-214.708-14.85030-7.53200001.10400.7990.0591.182018.1937.7974.79640.42682.853151.6871,202.9031,530.493366.672194.2106.612891.2180000
Overige Investeringsactiviteiten 0-2.56.4255-307.5324.7223.9354.7430.5616.02133.084.82824.00730.8473.92730.56450.23142.46140.11227.66727.13.9733.957-2.8610.12.6-17.6-0.1-9.10000
Kasstroom uit Investeringsactiviteiten -114.396-192.458-132.214-91.325-64.409-127.641-116.178-107.898-174.538-102.423-141.89-42.87-78.027-98.105-64.295-91.91611.383-16.864-86.167-170.05-125.649-207.19305.292-845.426-320.573-418.1-28.5-43.2-105.7-14.1-15.3-3.1-2.1-3.3
Financieringsactiviteiten:
Schuldaflossingen -21.57-9.055-2,206.814-418.352-1,948.048-4,477.741-3,914.016-916.186-3,069.846-2,717.115-1,076.246-1,555.081-971.73-657.423-219.867-31.492000000000000000000
Uitgifte van Gewone Aandelen 03.4122.3792.9937.79313.5394.40727.12918.22118.72416.85911.6112.5954.6033.821000.00312.84816.76735.6813.58517.54557.211605.64832.69.77.13.1221.920.900
Terugkoop van Gewone Aandelen -248.137-103.681-328.722-61.066-179.025-12.614-157.625-176.944-142.246-122.762-76.237-1.525-0.305-0.021-0.759-29.163000000-116.344-24.9290000000000
Uitgekeerde Dividenden 0000000000000000000000000000000000
Overige Financieringsactiviteiten 0207.2412,218.858795.7141,9098,515.9238,079.4991,863.2782,962.455,390.552,060.8142,525.7121,200.154563.887119.192-19.14-120-43.775-156.907-256.014-25.175-384.132-534.951-9.961477.407318.5-31.4-0.4-1.981.5-4.4-30.7-3.1-2.3
Kasstroom uit Financieringsactiviteiten -269.70794.505-314.299-77.318-210.28-220.218-28.335-135.493-231.421-126.761-103.027-279.259-366.813-88.954-162.613-79.795-120-43.772-144.059-239.24710.505-370.547-633.7522.3211,083.055351.1-21.76.71.283.517.5-9.8-3.1-2.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00.498-4.51-0.199-0.0810.1070.9560.8031.878-0.0661.267-2.503-1.243-0.373-1.0973.8315.72916.297-11.694-8.091-6.4015.5982.024-9.015-5.7760000-9.13.5-6.6-5.7-1.5
Netto Kasstroomverandering -41.71-392.144-120.169169.525.78535.21312.8678.373-13.965-54.35463.732-6.743-230.6747.476-306.33929.35-63.623441.595-576.224-1.39472.299-20.684496.885-430.593844.08848.13311.9-77.783.517.5-9.8-3.1-2.3
Kaspositie aan het Einde van de Periode 625.86137.713529.857650.026480.526454.741419.528406.661398.288412.253466.607402.875409.618640.288592.812899.151869.801933.424491.8291,068.0531,116.1491,043.851,064.534567.649992.842136.175.341.529.698.218.1-6-1.9-0.3