US Stock MarketDetailed Quotes

SANM Sanmina

Watchlist
  • 61.660
  • +0.690+1.13%
Close Apr 24 16:00 ET
  • 61.660
  • 0.0000.00%
Post 16:02 ET
3.44BMarket Cap13.35P/E (TTM)

Sanmina Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 30, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jul 1, 2023
(Q2)Apr 1, 2023
(Q1)Dec 31, 2022
(FY)Oct 1, 2022
(Q4)Oct 1, 2022
(Q3)Jul 2, 2022
(Q2)Apr 2, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-14.11%631.59M
25.99%667.57M
25.99%667.57M
33.10%656.59M
28.28%718.2M
--735.31M
-18.49%529.86M
-18.49%529.86M
-20.92%493.31M
--559.89M
-Cash and cash equivalents
-14.11%631.59M
25.99%667.57M
25.99%667.57M
33.10%656.59M
28.28%718.2M
--735.31M
-18.49%529.86M
-18.49%529.86M
-20.92%493.31M
--559.89M
Receivables
-14.59%1.55B
3.83%1.68B
3.83%1.68B
3.04%1.74B
0.43%1.7B
--1.81B
5.83%1.61B
5.83%1.61B
12.60%1.69B
--1.69B
-Accounts receivable
-15.80%1.1B
8.07%1.23B
8.07%1.23B
4.19%1.28B
-4.86%1.21B
--1.31B
-4.57%1.14B
-4.57%1.14B
6.47%1.23B
--1.27B
-Other receivables
-11.43%444.54M
-6.30%445.76M
-6.30%445.76M
-0.04%459.15M
16.54%486.29M
--501.89M
43.21%475.72M
43.21%475.72M
33.10%459.31M
--417.29M
Inventory
-19.46%1.39B
-12.28%1.48B
-12.28%1.48B
-6.41%1.49B
7.97%1.55B
--1.73B
61.65%1.68B
61.65%1.68B
78.25%1.59B
--1.44B
Other current assets
-25.01%60.5M
-6.12%58.25M
-6.12%58.25M
6.73%68.12M
12.30%69.09M
--80.68M
15.00%62.04M
15.00%62.04M
26.53%63.83M
--61.53M
Total current assets
-16.63%3.63B
-0.28%3.88B
-0.28%3.88B
3.05%3.95B
7.68%4.03B
--4.35B
18.93%3.89B
18.93%3.89B
25.12%3.84B
--3.75B
Non current assets
Net PPE
7.40%634.91M
10.03%632.84M
10.03%632.84M
15.77%631.74M
17.44%617M
--591.16M
7.91%575.17M
7.91%575.17M
-0.79%545.67M
--525.36M
-Gross PPE
----
6.78%2.5B
6.78%2.5B
----
----
----
4.11%2.34B
4.11%2.34B
----
----
-Accumulated depreciation
----
-5.73%-1.87B
-5.73%-1.87B
----
----
----
-2.93%-1.76B
-2.93%-1.76B
----
----
Non current deferred assets
-8.53%173.46M
-15.25%177.6M
-15.25%177.6M
-11.76%187.43M
-11.04%196.19M
--189.64M
-13.50%209.55M
-13.50%209.55M
-11.89%212.41M
--220.53M
Other non current assets
3.76%178.35M
14.84%183.97M
14.84%183.97M
24.12%185.69M
15.58%181.31M
--171.89M
2.06%160.19M
2.06%160.19M
2.72%149.61M
--156.87M
Total non current assets
3.57%986.72M
5.24%994.4M
5.24%994.4M
10.71%1B
10.16%994.5M
--952.68M
1.36%944.92M
1.36%944.92M
-3.10%907.69M
--902.76M
Total assets
-13.01%4.62B
0.79%4.87B
0.79%4.87B
4.52%4.96B
8.16%5.03B
--5.31B
15.03%4.84B
15.03%4.84B
18.52%4.74B
--4.65B
Liabilities
Current liabilities
Payables
-33.52%1.42B
-21.00%1.61B
-21.00%1.61B
-12.77%1.72B
0.62%1.83B
--2.14B
38.66%2.04B
38.66%2.04B
52.51%1.98B
--1.82B
-accounts payable
-33.52%1.42B
-21.00%1.61B
-21.00%1.61B
-12.77%1.72B
0.62%1.83B
--2.14B
38.66%2.04B
38.66%2.04B
52.51%1.98B
--1.82B
Current accrued expenses
-10.68%382.39M
-4.35%394.55M
-4.35%394.55M
-4.60%416.33M
-5.25%408.79M
--428.09M
39.90%412.49M
39.90%412.49M
60.09%436.4M
--431.44M
Current debt and capital lease obligation
0.00%17.5M
48.26%25.95M
48.26%25.95M
-6.67%17.5M
-6.67%17.5M
--17.5M
-6.67%17.5M
-6.67%17.5M
0.00%18.75M
--18.75M
-Current debt
0.00%17.5M
48.26%25.95M
48.26%25.95M
-6.67%17.5M
-6.67%17.5M
--17.5M
-6.67%17.5M
-6.67%17.5M
0.00%18.75M
--18.75M
Current liabilities
-29.51%1.82B
-17.73%2.03B
-17.73%2.03B
-11.26%2.16B
-0.56%2.25B
--2.59B
38.39%2.47B
38.39%2.47B
53.19%2.43B
--2.27B
Non current liabilities
Long term debt and capital lease obligation
-5.20%308.11M
-5.14%312.33M
-5.14%312.33M
6.10%316.55M
5.95%320.78M
--325.01M
5.67%329.24M
5.67%329.24M
-5.58%298.35M
--302.75M
-Long term debt
-5.20%308.11M
-5.14%312.33M
-5.14%312.33M
6.10%316.55M
5.95%320.78M
--325.01M
5.67%329.24M
5.67%329.24M
-5.58%298.35M
--302.75M
Other non current liabilities
-4.14%214.14M
-2.62%209.68M
-2.62%209.68M
3.83%217.75M
-2.37%235.7M
--223.38M
-15.07%215.33M
-15.07%215.33M
-19.38%209.72M
--241.42M
Total non current liabilities
-4.77%522.24M
-4.14%522.01M
-4.14%522.01M
5.16%534.3M
2.26%556.48M
--548.38M
-3.63%544.57M
-3.63%544.57M
-11.81%508.06M
--544.17M
Total liabilities
-25.18%2.34B
-15.27%2.56B
-15.27%2.56B
-8.42%2.69B
-0.01%2.81B
--3.13B
28.29%3.02B
28.29%3.02B
35.88%2.94B
--2.81B
Shareholders'equity
Share capital
--6.53B
-1.05%568K
-1.05%568K
----
----
----
-10.73%574K
-10.73%574K
----
----
-common stock
--6.53B
-1.05%568K
-1.05%568K
----
----
----
-10.73%574K
-10.73%574K
----
----
-Preferred stock
----
--0
--0
----
----
----
--0
--0
----
----
Retained earnings
---2.87B
9.57%-2.93B
9.57%-2.93B
----
----
----
6.91%-3.24B
6.91%-3.24B
----
----
Paid-in capital
----
2.07%6.51B
2.07%6.51B
----
----
----
0.66%6.38B
0.66%6.38B
----
----
Less: Treasury stock
--1.6B
7.77%1.49B
7.77%1.49B
----
----
----
31.60%1.38B
31.60%1.38B
----
----
Gains losses not affecting retained earnings
--67.54M
25.84%70.88M
25.84%70.88M
----
----
----
38.42%56.33M
38.42%56.33M
----
----
Total stockholders'equity
-2.49%2.12B
19.20%2.17B
19.20%2.17B
25.60%2.27B
20.67%2.22B
--2.17B
-1.79%1.82B
-1.79%1.82B
-1.91%1.8B
--1.84B
Noncontrolling interests
--152.97M
--149.68M
--149.68M
----
----
----
--0
--0
----
----
Total equity
4.55%2.27B
27.43%2.32B
27.43%2.32B
25.60%2.27B
20.67%2.22B
--2.17B
-1.79%1.82B
-1.79%1.82B
-1.91%1.8B
--1.84B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Dec 30, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jul 1, 2023(Q2)Apr 1, 2023(Q1)Dec 31, 2022(FY)Oct 1, 2022(Q4)Oct 1, 2022(Q3)Jul 2, 2022(Q2)Apr 2, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -14.11%631.59M25.99%667.57M25.99%667.57M33.10%656.59M28.28%718.2M--735.31M-18.49%529.86M-18.49%529.86M-20.92%493.31M--559.89M
-Cash and cash equivalents -14.11%631.59M25.99%667.57M25.99%667.57M33.10%656.59M28.28%718.2M--735.31M-18.49%529.86M-18.49%529.86M-20.92%493.31M--559.89M
Receivables -14.59%1.55B3.83%1.68B3.83%1.68B3.04%1.74B0.43%1.7B--1.81B5.83%1.61B5.83%1.61B12.60%1.69B--1.69B
-Accounts receivable -15.80%1.1B8.07%1.23B8.07%1.23B4.19%1.28B-4.86%1.21B--1.31B-4.57%1.14B-4.57%1.14B6.47%1.23B--1.27B
-Other receivables -11.43%444.54M-6.30%445.76M-6.30%445.76M-0.04%459.15M16.54%486.29M--501.89M43.21%475.72M43.21%475.72M33.10%459.31M--417.29M
Inventory -19.46%1.39B-12.28%1.48B-12.28%1.48B-6.41%1.49B7.97%1.55B--1.73B61.65%1.68B61.65%1.68B78.25%1.59B--1.44B
Other current assets -25.01%60.5M-6.12%58.25M-6.12%58.25M6.73%68.12M12.30%69.09M--80.68M15.00%62.04M15.00%62.04M26.53%63.83M--61.53M
Total current assets -16.63%3.63B-0.28%3.88B-0.28%3.88B3.05%3.95B7.68%4.03B--4.35B18.93%3.89B18.93%3.89B25.12%3.84B--3.75B
Non current assets
Net PPE 7.40%634.91M10.03%632.84M10.03%632.84M15.77%631.74M17.44%617M--591.16M7.91%575.17M7.91%575.17M-0.79%545.67M--525.36M
-Gross PPE ----6.78%2.5B6.78%2.5B------------4.11%2.34B4.11%2.34B--------
-Accumulated depreciation -----5.73%-1.87B-5.73%-1.87B-------------2.93%-1.76B-2.93%-1.76B--------
Non current deferred assets -8.53%173.46M-15.25%177.6M-15.25%177.6M-11.76%187.43M-11.04%196.19M--189.64M-13.50%209.55M-13.50%209.55M-11.89%212.41M--220.53M
Other non current assets 3.76%178.35M14.84%183.97M14.84%183.97M24.12%185.69M15.58%181.31M--171.89M2.06%160.19M2.06%160.19M2.72%149.61M--156.87M
Total non current assets 3.57%986.72M5.24%994.4M5.24%994.4M10.71%1B10.16%994.5M--952.68M1.36%944.92M1.36%944.92M-3.10%907.69M--902.76M
Total assets -13.01%4.62B0.79%4.87B0.79%4.87B4.52%4.96B8.16%5.03B--5.31B15.03%4.84B15.03%4.84B18.52%4.74B--4.65B
Liabilities
Current liabilities
Payables -33.52%1.42B-21.00%1.61B-21.00%1.61B-12.77%1.72B0.62%1.83B--2.14B38.66%2.04B38.66%2.04B52.51%1.98B--1.82B
-accounts payable -33.52%1.42B-21.00%1.61B-21.00%1.61B-12.77%1.72B0.62%1.83B--2.14B38.66%2.04B38.66%2.04B52.51%1.98B--1.82B
Current accrued expenses -10.68%382.39M-4.35%394.55M-4.35%394.55M-4.60%416.33M-5.25%408.79M--428.09M39.90%412.49M39.90%412.49M60.09%436.4M--431.44M
Current debt and capital lease obligation 0.00%17.5M48.26%25.95M48.26%25.95M-6.67%17.5M-6.67%17.5M--17.5M-6.67%17.5M-6.67%17.5M0.00%18.75M--18.75M
-Current debt 0.00%17.5M48.26%25.95M48.26%25.95M-6.67%17.5M-6.67%17.5M--17.5M-6.67%17.5M-6.67%17.5M0.00%18.75M--18.75M
Current liabilities -29.51%1.82B-17.73%2.03B-17.73%2.03B-11.26%2.16B-0.56%2.25B--2.59B38.39%2.47B38.39%2.47B53.19%2.43B--2.27B
Non current liabilities
Long term debt and capital lease obligation -5.20%308.11M-5.14%312.33M-5.14%312.33M6.10%316.55M5.95%320.78M--325.01M5.67%329.24M5.67%329.24M-5.58%298.35M--302.75M
-Long term debt -5.20%308.11M-5.14%312.33M-5.14%312.33M6.10%316.55M5.95%320.78M--325.01M5.67%329.24M5.67%329.24M-5.58%298.35M--302.75M
Other non current liabilities -4.14%214.14M-2.62%209.68M-2.62%209.68M3.83%217.75M-2.37%235.7M--223.38M-15.07%215.33M-15.07%215.33M-19.38%209.72M--241.42M
Total non current liabilities -4.77%522.24M-4.14%522.01M-4.14%522.01M5.16%534.3M2.26%556.48M--548.38M-3.63%544.57M-3.63%544.57M-11.81%508.06M--544.17M
Total liabilities -25.18%2.34B-15.27%2.56B-15.27%2.56B-8.42%2.69B-0.01%2.81B--3.13B28.29%3.02B28.29%3.02B35.88%2.94B--2.81B
Shareholders'equity
Share capital --6.53B-1.05%568K-1.05%568K-------------10.73%574K-10.73%574K--------
-common stock --6.53B-1.05%568K-1.05%568K-------------10.73%574K-10.73%574K--------
-Preferred stock ------0--0--------------0--0--------
Retained earnings ---2.87B9.57%-2.93B9.57%-2.93B------------6.91%-3.24B6.91%-3.24B--------
Paid-in capital ----2.07%6.51B2.07%6.51B------------0.66%6.38B0.66%6.38B--------
Less: Treasury stock --1.6B7.77%1.49B7.77%1.49B------------31.60%1.38B31.60%1.38B--------
Gains losses not affecting retained earnings --67.54M25.84%70.88M25.84%70.88M------------38.42%56.33M38.42%56.33M--------
Total stockholders'equity -2.49%2.12B19.20%2.17B19.20%2.17B25.60%2.27B20.67%2.22B--2.17B-1.79%1.82B-1.79%1.82B-1.91%1.8B--1.84B
Noncontrolling interests --152.97M--149.68M--149.68M--------------0--0--------
Total equity 4.55%2.27B27.43%2.32B27.43%2.32B25.60%2.27B20.67%2.22B--2.17B-1.79%1.82B-1.79%1.82B-1.91%1.8B--1.84B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------

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