Plexus
NasdaqGS:PLXS
$ 199,17
$-1,00 (-0,50%)
199,17 $
$-1,00 (-0,50%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$7,43
Earnings Per Share
$150,65
Revenue Per Share
10,08%
Gross Margin %
$5,34 B
Market Cap
$0,05 B
Long-Term Debt
Earnings Per Share
$7,43
Revenue Per Share
$150,65
Gross Margin %
10,08%
Market Cap
$5,34 B
Long-Term Debt
$0,05 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $7,43 $5,72 $5,70 $4,92 $4,86 $4,08 $3,43 $3,23 $3,24 $2,66 $2,78 $2,82 $2,34 $2,39 $2,30 $2,19 $1,32 $1,96 $1,44 $1,78
Earnings Earnings $198,90M $157,13M $156,58M $135,94M $136,08M $117,59M $100,09M $101,65M $108,83M $89,14M $92,91M $94,84M $79,09M $83,84M $79,63M $88,65M $52,22M $77,09M $66,90M $82,33M
RPS Revenue Per Share $150,65 $144,19 $153,27 $137,94 $120,32 $117,64 $108,45 $91,31 $75,26 $76,28 $79,42 $70,72 $65,92 $65,76 $64,45 $49,74 $40,87 $46,82 $33,28 $31,58
Revenue Revenue $4,03B $3,96B $4,21B $3,81B $3,37B $3,39B $3,16B $2,87B $2,53B $2,56B $2,65B $2,38B $2,23B $2,31B $2,23B $2,01B $1,62B $1,84B $1,55B $1,46B
OCF Operating Cash Flow $249,20M $436,50M $165,80M $-26,24M $142,60M $210,37M $115,30M $66,80M $171,73M $127,74M $76,57M $89,80M $207,65M $157,82M $161,68M $1,96M $170,27M $64,18M $38,51M $83,08M
FCF Free Cash Flow $154,00M $341,30M $61,80M $-127,85M $85,50M $160,28M $24,70M $4,00M $133,20M $0,00M $41,50M $23,20M $99,53M $94,00M $87,63M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 5,13% 4,75% 5,20% 4,73% 5,32% 4,70% 4,55% 4,09% 5,14% 4,50% 4,44% 4,70% 4,33% 4,52% 4,53% 4,79% 3,81% 5,70% 5,26% 5,50%
GM % Gross Margin % 10,08% 9,56% 9,37% 9,11% 9,60% 9,22% 9,22% 8,96% 10,12% 9,01% 9,03% 9,48% 9,57% 9,53% 9,62% 10,12% 9,57% 11,17% 10,58% 10,87%
FCFS Free Cash Flow Per Share $5,69 $12,46 $2,24 $-4,59 $2,99 $5,49 $0,82 $0,12 $3,96 $2,89 $1,23 $0,69 $2,90 $2,69 $2,30 $-1,82 $2,86 $0,23 $-0,20 $1,07
LT Debt Long-Term Debt $50,92M $51,24M $151,58M $148,52M $150,11M $150,94M $142,79M $148,76M $26,17M $184,00M $258,29M $262,05M $257,77M $260,21M $272,04M $117,89M $140,42M $156,87M $25,08M N/A
Sha. Stocks 26,77M 27,47M 27,47M 27,63M 28M 28,82M 29,18M 31,47M 33,59M 33,51M 33,42M 33,63M 33,8M 35,08M 34,62M 40,48M 39,56M 39,33M 46,46M 46,25M
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