Recent Annual Filings for FLEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $18,381,000,000 $25,813,000,000 $24,790,000,000 $809,000,000 $1,505,000,000 $-821,000,000 $-185,000,000
2024 $18,257,000,000 $26,415,000,000 $25,749,000,000 $1,244,000,000 $1,326,000,000 $-1,656,000,000 $-820,000,000
2023 $21,395,000,000 $30,346,000,000 $29,372,000,000 $1,021,000,000 $950,000,000 $2,000,000 $330,000,000
2022 $19,325,000,000 $26,041,000,000 $24,996,000,000 $877,000,000 $1,024,000,000 $280,000,000 $327,000,000
2021 $15,836,000,000 $24,124,000,000 $23,410,000,000 $709,000,000 $144,000,000 $743,000,000 $714,000,000
2020 $13,689,617,000 $24,209,870,000 $24,051,385,000 $24,075,000 $-1,533,276,000 $-508,460,000 $226,061,000
2019 $13,499,367,000 $26,210,511,000 $26,028,385,000 $28,081,000 $-2,971,024,000 $-29,704,000 $224,201,000
2018 $13,715,855,000 $25,441,131,000 $24,920,238,000 $470,832,000 $753,598,000 $-187,785,000 $-358,251,000