F
FLEX LTD.
FLEXCIK 0000866374NasdaqLarge AcceleratedPrinted Circuit BoardsU0FY ends Mar 31
Period
FY 2026
Revenue
$27.91B
Net Income
$880.00M
Total Assets
$22.06B
Equity
$5.14B
Shares Out
366.38M
Op. Cash Flow
$1.69B
Business
FLEX LTD. is an advanced, end-to-end manufacturing partner that helps customers design, build, deliver and manage innovative products across diverse industries. It offers design and engineering, supply chain, manufacturing, post-production and post-sale services, plus a portfolio of proprietary power and cooling products. The company operates two reportable segments — Flex Agility Solutions (communications, enterprise/cloud, lifestyle, consumer devices) and Flex Reliability Solutions (industrial, automotive, health solutions). Flex serves global markets through approximately 100 locations in about 30 countries, providing regional manufacturing, logistics and digital supply chain channels.
Summary from filing dated 2025-05-21
Financials
Consolidated Statement of Income
Year Ended · In millions, except per-share amounts
| Concept | Trend | Mar 31, 2026 2026-03-31 | Mar 31, 2025 2025-03-31 | Mar 31, 2024 2024-03-31 |
|---|---|---|---|---|
| Net sales | 27,914 | 25,813 | 26,415 | |
| Cost of sales | 25,288 | 23,584 | 24,395 | |
| Restructuring charges | 59 | 70 | 155 | |
| Gross profit | 2,567 | 2,159 | 1,865 | |
| Selling, general and administrative expenses | 1,052 | 904 | 922 | |
| Restructuring and impairment charges | 79 | 16 | 20 | |
| Intangible amortization | 68 | 70 | 70 | |
| Operating income | 1,368 | 1,169 | 853 | |
| Interest expense | 215 | 218 | 207 | |
| Interest income | 51 | 61 | 56 | |
| Other charges (income), net | −30 | 14 | −44 | |
| Equity in earnings (losses) of unconsolidated affiliates | −31 | −3 | 8 | |
| Income from continuing operations before income taxes | 1,143 | 1,023 | 666 | |
| Provision for (benefit from) income taxes | 263 | 185 | −206 | |
| Net income from continuing operations | 880 | 838 | 872 | |
| Net income from discontinued operations, net of tax | 0 | 0 | 373 | |
| Net income | 880 | 838 | 1,245 | |
| Net income attributable to noncontrolling interest | 0 | 0 | 239 | |
| Net income attributable to Flex Ltd. | 880 | 838 | 1,006 | |
| Earnings per share - basic | — | — | — | |
| Basic earnings per share from continuing operations (in dollars per share) | 2.37 | 2.14 | 2 | |
| Basic earnings per share from discontinued operations (in dollars per share) | 0 | 0 | 0.31 | |
| Basic earnings per share attributable to the shareholders of Flex Ltd (in dollars per share) | 2.37 | 2.14 | 2.31 | |
| Earnings per share - diluted | — | — | — | |
| Diluted earnings per share from continuing operations (in dollars per share) | 2.33 | 2.11 | 1.98 | |
| Diluted earnings per share from discontinued operations (in dollars per share) | 0 | 0 | 0.3 | |
| Diluted earnings per share attributable to the shareholders of Flex Ltd (in dollars per share) | 2.33 | 2.11 | 2.28 | |
| Weighted-average shares used in computing per share amounts: | — | — | — | |
| Basic (in shares) | 371 | 391 | 435 | |
| Diluted (in shares) | 378 | 398 | 441 |
Consolidated Balance Sheet
As of · In millions, except per-share amounts
| Concept | Trend | Mar 31, 2026 2026-03-31 | Mar 31, 2025 2025-03-31 |
|---|---|---|---|
| ASSETS | — | — | |
| Current assets: | — | — | |
| Cash and cash equivalents | 2,389 | 2,289 | |
| Accounts receivable, net of allowance for doubtful accounts | 4,679 | 3,671 | |
| Contract assets | 1,063 | 616 | |
| Inventories | 5,845 | 5,071 | |
| Other current assets | 2,356 | 1,194 | |
| Total current assets | 16,332 | 12,841 | |
| Property and equipment, net | 2,505 | 2,330 | |
| Operating lease right-of-use assets, net | 659 | 562 | |
| Goodwill | 1,369 | 1,341 | |
| Other intangible assets, net | 283 | 343 | |
| Other non-current assets | 912 | 964 | |
| Total assets | 22,060 | 18,381 | |
| LIABILITIES AND SHAREHOLDERS' EQUITY | — | — | |
| Current liabilities: | — | — | |
| Bank borrowings and current portion of long-term debt | 0 | 1,209 | |
| Accounts payable | 8,055 | 5,147 | |
| Accrued payroll and benefits | 671 | 560 | |
| Deferred revenue and customer working capital advances | 2,156 | 1,957 | |
| Other current liabilities | 1,134 | 977 | |
| Total current liabilities | 12,016 | 9,850 | |
| Long-term debt, net of current portion | 3,751 | 2,483 | |
| Operating lease liabilities, non-current | 565 | 456 | |
| Other non-current liabilities | 584 | 590 | |
| Total liabilities | 16,916 | 13,379 | |
| Commitments and contingencies (Note 14) | — | — | |
| Shareholders' equity | — | — | |
| Ordinary shares, no par value; 371,241,931 and 383,369,073 issued, and 365,690,291 and 377,817,433 outstanding as of March 31, 2026 and 2025, respectively | 3,347 | 4,142 | |
| Treasury stock, at cost; 5,551,640 shares | 200 | 200 | |
| Accumulated earnings | 2,164 | 1,284 | |
| Accumulated other comprehensive loss | −167 | −224 | |
| Total shareholders' equity | 5,144 | 5,002 | |
| Total liabilities and shareholders' equity | 22,060 | 18,381 |
Consolidated Statement of Cash Flows
Year Ended · In millions, except per-share amounts
| Concept | Trend | Mar 31, 2026 2026-03-31 | Mar 31, 2025 2025-03-31 | Mar 31, 2024 2024-03-31 |
|---|---|---|---|---|
| Cash flows from operating activities: | — | — | — | |
| Net income | 880 | 838 | 1,245 | |
| Adjustments to reconcile net income to net cash provided by operating activities: | — | — | — | |
| Depreciation | 457 | 439 | 431 | |
| Amortization and other impairment charges | 106 | 100 | 106 | |
| Other non-cash income | −80 | −3 | 16 | |
| Non-cash lease expense | 148 | 142 | 139 | |
| Stock-based compensation | 142 | 125 | 152 | |
| Deferred income taxes | 1 | 23 | −480 | |
| Changes in operating assets and liabilities, net of acquisitions: | — | — | — | |
| Accounts receivable | 979 | 601 | −380 | |
| Contract assets | 435 | 365 | 41 | |
| Inventories | 742 | −1,176 | −1,105 | |
| Other current and noncurrent assets | 1,169 | 216 | 297 | |
| Accounts payable | 2,858 | 630 | −986 | |
| Other current and noncurrent liabilities | 338 | −789 | −412 | |
| Net cash provided by operating activities | 1,685 | 1,505 | 1,326 | |
| Cash flows from investing activities: | — | — | — | |
| Purchases of property and equipment | 633 | 438 | 530 | |
| Proceeds from the disposition of property and equipment | 8 | 15 | 25 | |
| Acquisitions of businesses, net of cash acquired | 40 | 405 | 0 | |
| Proceeds from divestiture of businesses, net of cash held in divested businesses | −4 | −21 | 12 | |
| Other investing activities, net | 3 | −11 | −1 | |
| Net cash used in investing activities | −672 | −838 | −492 | |
| Cash flows from financing activities: | — | — | — | |
| Proceeds from bank borrowings and long-term debt | 1,251 | 499 | 2 | |
| Repayments of bank borrowings and long-term debt | 1,217 | 58 | 409 | |
| Payments for repurchases of ordinary shares | 944 | 1,257 | 1,298 | |
| Proceeds from issuances of Nextracker shares | 0 | 0 | 552 | |
| Payment for purchase of Nextracker LLC units from TPG | 0 | 0 | 57 | |
| Capital reduction from Nextracker spin-off | 0 | 0 | 368 | |
| Other financing activities, net | −14 | −5 | −78 | |
| Net cash (used in) provided by financing activities | −924 | −821 | −1,656 | |
| Effect of exchange rates on cash | 11 | −31 | 2 | |
| Net (decrease) increase in cash and cash equivalents | 100 | −185 | −820 | |
| Cash and cash equivalents, end of year | — | — | — | |
| Cash and cash equivalents, end of year | — | — | — |
Filings
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