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Flex Ltd.

FLEX | NASDAQ
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$111.27
+$2.76 (+2.54%)
Sep 21, 2026, 11:50 AM ET · Market open
Fiscal Year
Period Ending
FY 2026
Mar 30, 2026
FY 2025
Mar 30, 2025
FY 2024
Mar 30, 2024
FY 2023
Mar 30, 2023
FY 2022
Mar 30, 2022
FY 2021
Mar 30, 2021
Net Income
880M 838M 1.25B 1.03B 936M 613M
Depreciation & Amortization
457M 539M 537M 501M 484M 569M
Stock-Based Compensation
142M 125M 152M 133M 91M 79M
Other Working Capital
-831M -1.01B -709M 1.12B 772M 386M
Other Non-Cash Items
334M 145M 123M 90M 73M 10M
Deferred Income Tax
1M 23M -480M -192M -44M -12M
Change in Working Capital
-129M -165M -251M -615M -516M -1.12B
Operating Cash Flow
1.69B 1.51B 1.33B 950M 1.02B 144M
Capital Expenditures
-633M -438M -530M -635M -443M -351M
Cash Acquisitions
-32M -405M 12M 4M -539M -3M
Purchase of Investments
n/a n/a n/a n/a n/a n/a
Sales Maturities Of Investments
n/a n/a n/a n/a n/a n/a
Other Investing Acitivies
-7M 5M 26M 27M 31M 152M
Investing Cash Flow
-672M -838M -492M -604M -951M -202M
Debt Repayment
34M 441M -407M -306M 475M 923M
Common Stock Repurchased
-944M -1.26B -1.3B -337M -686M -183M
Dividend Paid
n/a n/a n/a n/a n/a n/a
Other Financial Acitivies
-14M -5M 49M -49M 3M 3M
Financial Cash Flow
-924M -821M -1.66B 2M 280M 743M
Net Cash Flow
100M -185M -820M 330M 327M 714M
Free Cash Flow
1.05B 1.07B 796M 315M 581M -207M
Adj. Free Cash Flow
910M 942M 644M 182M 490M -286M
Maintenance CapEx
-399.37M -438M -530M -237.96M -391.57M -351M
Growth CapEx
-233.63M n/a n/a -397.04M -51.43M n/a
Owner Earnings
1.29B 1.07B 796M 712.04M 632.43M -207M

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