Sanmina Financial Ratios for Analysis 2009-2024 | SANM

Fifteen years of historical annual and quarterly financial ratios and margins for Sanmina (SANM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.911.571.831.851.741.261.621.701.681.601.831.912.082.072.07
0.120.150.140.170.170.010.190.210.220.240.340.460.610.650.71
0.150.190.180.210.230.410.290.290.350.440.540.931.611.972.77
8.327.867.817.447.196.527.577.947.597.867.217.157.737.646.23
5.104.413.803.153.471.683.303.473.193.212.662.263.213.24-0.09
5.104.413.803.153.471.683.303.473.193.212.662.263.213.24-0.09
6.425.795.434.924.903.785.035.204.764.784.293.894.794.661.63
4.623.824.182.772.981.373.113.162.762.601.750.821.512.20-2.17
3.473.043.701.921.72-1.342.022.905.923.171.342.961.041.94-2.66
1.831.641.601.842.111.741.791.791.821.881.981.921.971.911.66
5.554.335.967.478.494.846.046.316.416.417.026.846.836.916.38
7.266.955.656.667.306.046.196.666.806.356.266.086.516.207.75
50.2852.4964.6554.7950.0260.4359.0054.8353.6557.5258.2859.9956.0658.8447.13
14.1313.2113.478.178.62-6.498.4311.6724.8115.817.2718.708.9418.51-26.55
14.1313.2113.478.178.62-6.498.4311.6724.8115.817.2718.708.9418.51-26.55
6.724.975.943.533.62-2.343.615.1810.805.952.655.692.053.71-4.41
12.4511.1911.536.807.11-6.426.819.1919.4012.074.8010.013.536.44-7.74
40.8031.7028.8125.0823.5621.7322.9922.0419.4815.1812.9711.819.548.306.61
3.935.245.044.255.342.243.214.952.043.543.722.582.82-0.952.39
0.763.183.973.343.570.611.833.481.012.813.221.701.82-1.561.64

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.032.001.991.911.831.791.671.571.581.651.741.831.932.011.931.851.581.581.831.741.641.311.271.261.261.561.601.621.711.741.681.701.641.601.741.681.751.801.741.601.681.821.781.831.751.751.861.912.022.172.212.082.062.242.192.072.032.232.222.072.112.57
0.110.120.120.120.120.130.130.150.140.140.140.140.150.160.160.170.170.170.170.170.18-0.010.010.010.210.210.190.180.190.190.210.220.230.220.220.250.250.250.240.320.340.340.340.350.360.430.460.540.570.600.610.610.630.640.650.670.680.680.710.690.70
0.140.140.140.150.150.150.160.190.180.170.170.180.180.200.200.210.610.630.230.230.310.410.470.410.420.440.370.290.230.230.260.290.340.380.340.350.340.370.380.440.620.580.590.540.650.730.910.931.201.341.591.611.621.781.851.972.072.092.162.772.562.37
8.348.448.588.458.308.248.297.748.027.658.056.498.248.428.057.697.956.757.337.497.297.206.836.456.546.856.277.067.647.927.687.647.598.498.067.447.837.557.567.817.918.067.657.667.677.036.487.306.797.277.267.897.867.457.707.807.647.697.426.976.275.74
4.474.144.674.844.865.205.454.654.533.984.452.554.483.814.303.943.871.533.113.333.323.673.540.522.602.910.792.453.893.463.413.303.273.793.523.223.073.253.203.653.323.072.732.972.403.212.102.042.282.062.643.153.162.843.673.453.802.962.680.57-0.09-1.10
4.474.144.674.844.865.205.454.654.533.984.452.554.483.814.303.943.871.533.113.333.323.673.540.522.602.910.792.453.893.463.413.303.273.793.523.223.073.253.203.653.323.072.732.972.403.212.102.042.282.062.643.153.162.843.673.453.802.962.680.57-0.09-1.10
--------------------------------------------------------------
4.054.064.364.234.494.794.923.483.893.674.312.695.973.904.143.683.600.702.882.882.893.252.900.182.282.490.642.263.643.373.193.102.963.443.132.862.622.842.742.992.432.612.332.561.822.390.240.960.830.371.101.700.821.342.172.002.041.273.58-2.05-2.24-2.89
2.802.863.043.013.473.433.912.623.822.543.202.287.082.772.742.422.710.312.081.042.121.921.730.041.871.47-8.881.472.131.892.616.051.771.881.7719.271.590.971.367.861.291.411.602.581.261.480.0410.400.58-0.100.571.070.560.831.711.861.330.664.02-2.41-3.43-3.17
0.390.390.410.420.450.460.450.460.430.410.390.390.410.450.460.490.370.360.480.480.500.510.510.460.470.440.460.460.450.450.470.460.470.450.450.470.490.490.520.510.490.490.480.500.500.480.490.500.510.480.460.510.500.480.510.510.500.500.490.430.390.39
1.221.211.231.271.361.371.271.221.171.231.301.461.701.981.972.001.721.682.021.942.051.961.931.281.431.391.511.551.511.521.651.631.691.601.571.651.621.651.701.741.681.701.691.781.731.661.791.771.751.571.541.751.741.771.841.841.761.731.761.651.631.60
1.591.611.701.671.721.921.801.951.651.511.351.361.441.511.581.791.591.731.731.681.641.621.631.591.571.541.561.581.651.731.731.711.671.611.651.751.651.661.721.721.651.551.581.591.661.641.671.581.521.581.611.671.611.631.661.661.761.861.972.031.731.68
56.4455.8552.9053.9852.1946.8950.0046.0754.6459.7166.5366.0762.6459.4656.8450.3556.6851.9852.0353.6754.8355.5655.3156.4757.2758.4257.8656.9454.4951.9751.9652.6153.9055.7854.5651.5354.6254.3152.4052.2854.5758.1057.0356.4954.3154.9054.0157.1059.1057.1455.7753.7956.0255.3654.2954.3251.1748.2845.6644.4351.9953.47
-------3.21---2.00---2.76---1.20---0.05---1.57---6.26---20.74---10.63---3.55---17.03---2.35---4.75----6.30--
2.342.572.662.823.613.854.453.214.282.652.992.006.382.712.862.762.710.302.281.202.642.592.480.052.301.68-10.321.572.091.852.706.261.932.031.7820.741.941.161.7710.631.831.892.113.551.802.090.0617.031.11-0.181.092.351.261.794.054.753.451.6710.15-6.30-7.33-6.20
1.171.181.311.341.651.701.801.211.631.051.250.882.931.251.271.191.000.111.000.511.070.970.880.020.870.65-4.120.670.960.851.222.780.830.840.799.030.780.470.704.000.630.690.761.300.630.710.025.180.30-0.050.260.540.280.400.880.950.660.331.95-1.05-1.34-1.23
2.072.102.342.483.173.363.872.723.672.272.571.715.452.292.402.302.260.251.900.992.172.592.450.052.281.33-8.181.271.711.502.184.931.501.571.3916.221.450.871.338.111.241.251.402.351.171.330.049.110.51-0.080.440.930.490.661.461.651.160.543.22-1.84-2.25-1.84
42.8541.9741.3940.8039.6038.1437.0831.7031.2130.2129.6028.8128.2526.6525.8425.0824.4023.7223.7723.5623.3822.9122.4021.7321.7321.3321.0822.9923.0822.7322.3822.0420.7120.3019.7919.4815.6515.4515.4115.1813.7013.4113.2112.9712.4312.2511.9511.819.889.739.689.549.299.088.738.307.847.607.426.617.207.52
5.083.502.163.932.661.700.625.244.032.291.035.043.662.130.934.253.172.170.295.342.680.38-1.112.241.330.460.123.212.581.830.704.953.722.610.772.042.060.73-0.073.542.300.540.443.722.661.911.162.581.130.58-0.162.821.871.25-0.03-0.95-0.53-0.230.162.391.891.03
3.562.371.580.760.100.030.003.182.701.600.773.973.031.750.763.342.391.56-0.093.571.32-0.62-1.620.610.03-0.50-0.561.831.521.170.463.482.681.880.421.011.350.22-0.392.811.820.200.283.222.371.740.931.700.510.11-0.451.821.160.69-0.37-1.56-0.69-0.650.001.641.240.50