Flex Corporate Strategy slide image

Flex Corporate Strategy

We have delivered on our commitments Revenue Growth Margin Expansion Earnings Growth Cash Generation FY20 COMMITMENT Organic growth at or above GDP Mid-single digit adjusted operating margins 10%+ annual adjusted earnings per share growth 80% adjusted free cash flow conversion FY22E RESULTS ~6% growth in FY22', 2 after $1.2B in low-value. portfolio exits in FY20 4.5% adjusted operating margin in FY22' up from 3.3% in FY19 ~20% adjusted earnings per share growth in FY21 and FY22' ~80% adjusted free cash. flow conversion despite massive supply chain disruptions² 1. Based on mid-point of guidance for Fiscal Year 2022. 2. Based on average between FY20 through FY22E. 12 flex.
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