FL
FLEX
Latest · Mar 31, 2026
Quarter ended Mar 31, 2026 · FY2026 Q4

Flex Ltd. stock research

Flex (FLEX) Free Cash Flow — Quarter Ended Mar 31, 2026

Revenue increased while operating cash flow slightly declined, leading to a lower free cash flow and margin. Capital expenditure rose substantially compared to both prior periods.

Free cash flow takeaway

A quick read on the company's cash generation and what it means for investors.

Revenue increased while operating cash flow slightly declined, leading to a lower free cash flow and margin. Capital expenditure rose substantially compared to both prior periods.

  • Free cash flow conversion weakened as operating cash flow did not keep pace with revenue growth and capital expenditure rose, resulting in a narrower free cash flow margin.
  • Compared to the prior quarter, revenue improved but free cash flow and margin both declined; versus the same quarter last year, revenue was higher while free cash flow and margin were lower.

FCF snapshot

Quarterly and TTM cash-flow metrics with the minimum valuation context.

TTM free cash flow

$1.1B

Trailing twelve-month free cash flow.

Quarter free cash flow

$211.0M

Free cash flow in the selected fiscal quarter.

Operating cash flow

$413.0M

Cash generated by operations before capital spending.

CapEx

$202.0M

Capital spending and related asset purchases.

FCF margin

2.8%

The share of revenue converted into free cash flow.

TTM FCF yield

2.3%

TTM FCF divided by market capitalization.

Cash flow trend

A short quarterly history shows whether FCF is scaling with revenue or only spiking for one period.

PeriodRevenueOperating CFCapExFCFFCF margin
2025-06-27$6.6B$399.0M$133.0M$266.0M4.0%
2025-09-26$6.8B$453.0M$150.0M$303.0M4.5%
2025-12-31$7.1B$420.0M$148.0M$272.0M3.9%
2026-03-31$7.5B$413.0M$202.0M$211.0M2.8%

Cash conversion quality

Checks that separate high-quality free cash flow from accounting noise or working-capital timing.

FCF / net income84.4%Shows whether accounting earnings convert into cash.
CapEx / revenue2.7%Lower capital intensity usually supports FCF margin.
Net cash-$1.4BCash and equivalents minus total debt.

Recent events shaping cash flow

Near-term business events that help explain the free cash flow result.

Watch

Capital Expenditure Increase

Capital expenditure rose markedly from both the prior quarter and the year-ago period, outpacing the growth in operating cash flow and compressing free cash flow.

Higher capital spending was the primary observable factor driving the decline in free cash flow and margin.

What the cash flow says

How to interpret the company's free cash flow beyond the headline number.

Free cash flow conversion weakened as operating cash flow did not keep pace with revenue growth and capital expenditure rose, resulting in a narrower free cash flow margin.

Compared to the prior quarter, revenue improved but free cash flow and margin both declined; versus the same quarter last year, revenue was higher while free cash flow and margin were lower.

Monitor capital expenditure trends and the announced plan to spin off the Cloud and Power Infrastructure segment.

Valuation context

A cash-flow page should show how much investors are paying for the cash stream, without turning into a full DCF.

Market capitalization$46.7BUsed as the denominator for FCF yield.
TTM FCF yield2.3%TTM free cash flow divided by market capitalization.
EV / TTM FCF45.7xA quick valuation bridge, not a full DCF.

Peer context

Free cash flow quality is easier to read against related public companies.

FL
FLEX

Flex Ltd.

FCF margin

2.8%

FCF yield

2.3%