Flex Corporate Strategy slide image

Flex Corporate Strategy

Financial guidance for FY2023 Total Flex $27.8B revenue EPS Walk 4.8% adj. operating margins' À $1.88 $2.16 adj. earnings per share² J $550M+ adj. free cash flow³ Growth Share Count Supply Chain Inefficiencies Productivity Tax/Interest and Other $2.16 FY22E 1. Adjusted operating margin does not include the impact of approximately 0.4% for stock-based compensation and 0.3% for intangible amortization when compared to GAAP operating margin. 2. Adjusted earnings per share excludes approximately $0.27 for stock-based compensation expense and $0.15 for net intangible amortization which are included in GAAP earnings per share. 3. Adjusted free cash flow excludes approximately $550M capex from GAAP cash flow from operating activities 59 FY23E flex.
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