SANMINA CORP (SANM)

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CIK 0000897723 · Nasdaq · Printed Circuit Boards

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Oct 3

In fiscal 2025, SANMINA CORP reported revenue of $8.13B, up 7.4% from the prior year. The company was profitable, with a net margin of 3.0% and a gross margin of 8.8%.

Key ratios (FY2025)

8.8%
Gross margin
4.4%
Operating margin
3.0%
Net margin
9.7%
Return on equity
+7.4%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$8.13B$7.57B$8.94B$7.92B$6.74B
Cost of Revenue$7.41B$6.93B$8.19B$7.30B$6.21B$6.43B$7.64B$6.65B$6.35B$5.97B
Gross Profit$716.36M$640.43M$743.21M$622.21M$526.44M$517.16M$591.94M$463.78M$519.91M$514.28M
Operating Income$354.57M$335.49M$455.66M$349.48M$255.94M$219.14M$286.12M$119.44M$226.47M$224.78M
Net Income$245.89M$222.54M$309.97M$240.38M$249.55M$133.17M$141.51M-$95.53M$138.83M$187.84M
EPS (Diluted)$4.46$3.91$5.18$3.81$3.72$1.88$1.97$-1.37$1.78$2.38
Total Assets$5.86B$4.82B$4.87B$4.84B$4.20B$3.77B$3.91B$4.09B$3.85B$3.63B
Shareholders' Equity$2.54B$2.36B$2.32B$1.82B$1.85B$1.62B
Cash & Equivalents$926.27M$625.86M$667.57M$529.86M$650.03M$480.53M$454.74M$419.53M$406.66M$398.29M
Operating Cash Flow$620.66M$340.22M$235.17M$330.85M$338.34M$300.56M$382.96M$156.42M$250.96M$390.12M
Capital Expenditures$147.36M$111.23M$191.37M$138.64M$73.30M$65.98M$134.67M$118.88M$111.83M$120.40M
Shares Outstanding55.18M56.97M59.81M63.12M67.08M70.79M71.68M69.83M78.13M78.79M