Flex Ltd. operates as a manufacturing services company. The company is headquartered in Austin, Texas and currently employs 148,000 full-time employees. Its capabilities include design and engineering, supply chain, manufacturing, post-production and post-sale services, and proprietary products. Its segments include Flex Agility Solutions (FAS) and Flex Reliability Solutions (FRS). The FAS segment consists of various end markets, such as Communications, Enterprise and Cloud, including data infrastructure, edge infrastructure and communications infrastructure; Lifestyle, including appliances, floorcare, smart living and power tools, and Consumer Devices, including mobile and high velocity consumer devices. The FRS segment consists of end markets, such as Automotive, including compute platforms, power electronics, motion, and interface; Health Solutions, including medical devices, medical equipment and drug delivery, and Industrial, including capital equipment, industrial devices, renewables, embedded and critical power.
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2026
12/31/2025
09/26/2025
06/27/2025
03/31/2025
Revenue
27,914
7,477
7,058
6,804
6,575
6,398
Revenue Growth (YoY)
8%
17%
8%
4%
4%
-76%
Cost of Revenue
25,288
6,747
6,373
6,181
5,987
5,807
Gross Profit
2,626
730
685
623
588
591
Selling, General & Admin
1,052
289
270
260
233
234
Research & Development
--
--
--
--
--
--
Operating Expenses
1,120
305
285
276
254
255
Other Non Operating Income (Expenses)
-30
-11
-25
13
-7
16
Pretax Income
1,143
315
320
262
246
279
Income Tax Expense
263
65
81
63
54
57
Net Income
880
250
239
199
192
222
Net Income Growth
5%
13%
-9%
-7%
38%
-78%
Shares Outstanding (Diluted)
375
375
376
380
381
389
Shares Change (YoY)
-4%
-4%
-5%
-5%
-7%
-12%
EPS (Diluted)
2.32
0.66
0.63
0.52
0.5
0.57
EPS Growth
8%
17%
-5%
-2%
48%
-75%
Free Cash Flow
1,052
211
272
303
266
321
Free Cash Flow Per Share
--
--
--
--
--
--
Gross Margin
9.4%
9.76%
9.7%
9.15%
8.94%
9.23%
Operating Margin
5.39%
5.68%
5.66%
5.09%
5.07%
5.25%
Profit Margin
3.15%
3.34%
3.38%
2.92%
2.92%
3.46%
Free Cash Flow Margin
3.76%
2.82%
3.85%
4.45%
4.04%
5.01%
EBITDA
2,069
441
415
363
355
357
EBITDA Margin
7.41%
5.89%
5.87%
5.33%
5.39%
5.57%
D&A For EBITDA
563
16
15
16
21
21
EBIT
1,506
425
400
347
334
336
EBIT Margin
5.39%
5.68%
5.66%
5.09%
5.07%
5.25%
Effective Tax Rate
23%
20.63%
25.31%
24.04%
21.95%
20.43%
Follow-Up Questions
What are Flex Ltd's key financial statements?
According to the latest financial statement (Form-10K), Flex Ltd has a total asset of $0, Net loss of $0
What are the key financial ratios for FLEX?
Flex Ltd's Current ratio is 0, has a Net margin is 0, sales per share of $0.
How is Flex Ltd's revenue broken down by segment or geography?
Flex Ltd largest revenue segment is Lifestyle, at a revenue of 3,600,000,000 in the most earnings release.For geography, Americas is the primary market for Flex Ltd, at a revenue of 13,820,000,000.
Is Flex Ltd profitable?
no, according to the latest financial statements, Flex Ltd has a net loss of $0