Sandisk
1719,99 $Variazione rispetto alla chiusura precedente: −3,79%Variazione assoluta: −67,70 $
In sintesi
- Crescita dei ricavi
- +175,30%
- Es. al giu 2026 rispetto a Es. al giu 2025
- Margine netto
- 56,5%
- Es. al giu 2025: -22,3%
Dati finanziari
Importi in milioni di USD; valori per azione in USD; azioni in milioni.
| Voce | T2 2026 | T1 2026 | T4 2025 | T3 2025 | T2 2025 | T1 2025 | T4 2024 | T3 2024 | T2 2024 | T1 2024 | T4 2023 | T3 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Flusso di cassa operativo | 7.126 | 3.038 | 1.019 | 488 | 94,0 | 26,0 | 95,0 | -131 | -130 | -12,0 | 2,0 | -169 |
| Ammortamenti | 37,0 | 38,0 | 38,0 | 36,0 | 36,0 | 37,0 | 36,0 | 54,0 | 54,0 | 56,0 | 57,0 | 57,0 |
| Investimenti in capitale (capex) | -43,0 | -45,0 | -39,0 | -50,0 | -45,0 | -44,0 | -48,0 | -67,0 | -38,0 | -29,0 | -75,0 | -24,0 |
| Flusso di cassa da investimenti | -1.123 | -83,0 | -165 | -15,0 | -17,0 | 404 | 188 | -19,0 | -3,0 | 100 | -9,0 | 122 |
| Flusso di cassa da finanziamenti | -4.976 | -752 | -758 | -515 | -102 | 276 | 130 | 214 | 85,0 | -135 | 229 | -43,0 |
| Riacquisto di azioni proprie | -5.005 | -102 | -32,0 | -15,0 | -7,0 | -6,0 | — | — | — | — | — | — |
| Emissione di debito | — | — | — | — | 0,0 | 1.970 | 550 | — | — | — | — | — |
| Rimborso di debito | 0,0 | -650 | -750 | -500 | -100 | 0,0 | 0,0 | -76,0 | 0,0 | -88,0 | 16,0 | -30,0 |
| Effetto cambi | 0,0 | -7,0 | 1,0 | 3,0 | -1,0 | -3,0 | -2,0 | 1,0 | -1,0 | -1,0 | 1,0 | — |
| Variazione netta della cassa | 1.027 | 2.196 | 97,0 | -39,0 | -26,0 | 703 | 482 | -6,0 | -49,0 | -48,0 | 223 | -90,0 |
| Free cash flow | 7.083 | 2.993 | 980 | 438 | 49,0 | -18,0 | 47,0 | -198 | -168 | -41,0 | -73,0 | -193 |
| Levered free cash flow | 5.538 | 1.107 | 785 | 290 | 76,3 | 98,8 | 699 | -755 | — | — | — | — |
