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Sanmina Corporation SANM
$ 76.8 -0.1%

Annual report 2024
added 11-27-2024

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Sanmina Corporation Balance Sheet 2011-2024 | SANM

Annual Balance Sheet Sanmina Corporation

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

-304 M -333 M -184 M -321 M -151 M -69.4 M 188 M 73.2 M 64.2 M 125 M 77.5 M 182 M 488 M 602 M

Long Term Debt

300 M 312 M 329 M 312 M 329 M 347 M 14.3 M 391 M 434 M 424 M 387 M 562 M 837 M 1.18 B

Long Term Debt Current

22.3 M 22.3 M 16.7 M 17.2 M - - - - - - - - - -

Total Non Current Liabilities

521 M 522 M 545 M 565 M 620 M 580 M 210 M 584 M 614 M 592 M 532 M 698 M 984 M 1.32 B

Total Current Liabilities

1.94 B 2.03 B 2.47 B 1.76 B 1.52 B 1.68 B 2.4 B 1.62 B 1.4 B 1.38 B 1.53 B 1.21 B 1.22 B 1.27 B

Total Liabilities

- - - - - 2.26 B 2.61 B 2.2 B 2.02 B 1.97 B 2.07 B 1.9 B 2.2 B 2.58 B

Deferred Revenue

- - - - - 280 M 344 M - 514 M 423 M - - - -

Retained Earnings

-2.71 B -2.93 B -3.24 B -3.45 B -3.72 B -3.86 B -4.03 B -3.98 B -4.12 B - -4.68 B -4.88 B -4.96 B -5.14 B

Total Assets

4.82 B 4.87 B 4.84 B 4.21 B 3.77 B 3.91 B 4.09 B 3.85 B 3.63 B 3.49 B 3.31 B 3 B 3.17 B 3.35 B

Cash and Cash Equivalents

626 M 668 M 530 M 650 M 481 M 455 M 420 M 407 M 398 M 412 M 467 M 403 M 410 M 640 M

Book Value

4.82 B 4.87 B 4.84 B 4.21 B 3.77 B 1.64 B 1.47 B 1.65 B 1.61 B 1.52 B 1.25 B 1.09 B 964 M 770 M

Total Shareholders Equity

2.36 B 2.32 B 1.82 B 1.85 B 1.63 B 1.64 B 1.47 B 1.65 B 1.61 B 1.52 B 1.25 B 1.09 B 964 M 771 M

All numbers in USD currency

Quarterly Balance Sheet Sanmina Corporation

2024-Q2 2024-Q1 2023-Q4 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

300 M 304 M 308 M 317 M - 325 M 329 M - 303 M 325 M 312 M 316 M 312 M - 329 M 329 M 329 M 343 M 347 M 347 M 347 M 14.4 M 14.3 M 14.3 M 14.3 M 392 M 391 M 391 M 391 M 393 M 434 M 434 M 434 M - 424 M 424 M 424 M 427 M 387 M 387 M 387 M 561 M 563 M 563 M 563 M 735 M 837 M 837 M 837 M 1.18 B 1.18 B 1.18 B 1.18 B

Total Non Current Liabilities

501 M 511 M 522 M 534 M - 548 M 545 M - 544 M 628 M 565 M 576 M 565 M - 620 M 620 M 620 M 620 M 580 M 580 M 580 M 211 M 210 M 210 M 210 M 594 M 584 M 584 M 584 M 570 M 614 M 614 M 614 M - 592 M 592 M 592 M 572 M 532 M 532 M 532 M 697 M 698 M 698 M 698 M 882 M 984 M 984 M 984 M 1.32 B 1.32 B 1.32 B 1.32 B

Total Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Deferred Revenue

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Retained Earnings

- - - - - - - - - - -3.45 B - - - -3.72 B - - - -3.86 B - - - -4.03 B - - - -3.98 B - - - -4.12 B - - - -4.31 B - - - -4.68 B - - - -4.88 B - - - -4.96 B - - - -5.14 B - -

Total Assets

4.66 B 4.69 B 4.62 B 4.96 B - 5.31 B 4.84 B - 4.65 B 3.78 B 4.21 B 4 B 4.21 B - 3.77 B 3.77 B 3.77 B 3.83 B 3.91 B 3.91 B 3.91 B 4.32 B 4.09 B 4.09 B 4.09 B 3.76 B 3.85 B 3.85 B 3.85 B 3.67 B 3.63 B 3.63 B 3.63 B - 3.49 B 3.49 B 3.49 B 3.23 B 3.31 B 3.31 B 3.31 B 3.03 B 3 B 3 B 3 B 3.08 B 3.17 B 3.17 B 3.17 B 3.24 B 3.35 B 3.35 B 3.35 B

Cash and Cash Equivalents

658 M 651 M 632 M 657 M 718 M 735 M 530 M 493 M 560 M 516 M 650 M 624 M 650 M - 481 M 481 M 481 M 431 M 455 M 455 M 431 M 409 M 420 M 420 M 409 M 405 M 407 M 407 M 405 M 405 M 398 M 398 M 405 M - 412 M 412 M 412 M 391 M 467 M 467 M 391 M 407 M 403 M 403 M 407 M 491 M 410 M 410 M 491 M 604 M 640 M 640 M 604 M

Book Value

4.66 B 4.69 B 4.62 B 4.96 B - 5.31 B 4.84 B - 4.65 B 3.78 B 4.21 B 4 B 4.21 B - 3.77 B 3.77 B 3.77 B 3.83 B 3.91 B 3.91 B 3.91 B 4.32 B 4.09 B 4.09 B 4.09 B 3.76 B 3.85 B 3.85 B 3.85 B 3.67 B 3.63 B 3.63 B 3.63 B - 3.49 B 3.49 B 3.49 B 3.23 B 3.31 B 3.31 B 3.31 B 3.03 B 3 B 3 B 3 B 3.08 B 3.17 B 3.17 B 3.17 B 3.24 B 3.35 B 3.35 B 3.35 B

Total Shareholders Equity

2.34 B 2.33 B 2.27 B 2.27 B 2.22 B 2.14 B 1.82 B 1.77 B 1.84 B 1.68 B 1.88 B 1.84 B 1.88 B - 1.63 B 1.63 B 1.63 B 1.68 B 1.64 B 1.64 B 1.68 B 1.53 B 1.47 B 1.47 B 1.53 B 1.5 B 1.65 B 1.65 B 1.5 B 1.66 B 1.61 B 1.61 B 1.61 B - 1.52 B 1.52 B 1.52 B 1.28 B 1.25 B 1.25 B 1.25 B 1.09 B 1.09 B 1.09 B 1.09 B 986 M 964 M 964 M 964 M 785 M 771 M 771 M 771 M

All numbers in USD currency