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SNDK - Sandisk Corp

55


$747.25

$27.08 (3.760%)
3/18/26, 5:07 PM
Stock Unlock LogoScore

3.15/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
View as %
Sandisk Corp logo

Sandisk Corp

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
1,968%
Since 2025
380%
$14.50M
$14.50M
$5.00M
2025-06-27
$24.00M
2026-01-02
$24.00M
2026-01-02
Investments In Property, Plant & Equipment
--
11.36%
-$44.50M
-$44.50M
-$50.00M
2025-10-03
-$39.00M
2026-01-02
-$39.00M
2026-01-02
Debt Repayments
--
--
$155.00M
-$300.00M
-$750.00M
2026-01-02
$1.97B
2025-03-28
-$750.00M
2026-01-02
Cash From Operating Activities
12K%
3,819%
$406.75M
$291.00M
$26.00M
2025-03-28
$1.02B
2026-01-02
$1.02B
2026-01-02
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2026-01-022025-10-032025-06-272025-03-282024-12-27
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2024-09-27
Cash From Operating Activities
1,019,000
488,000
94,000
26,000
42,069,000
5073401
Net Income
803,000
112,000
-23,000
-1,933,000
42,069,000
7470651
Stock Based Compensation
58,000
53,000
49,000
44,000
42,069,000
6645837
Depreciation & Amortization
38,000
36,000
36,000
37,000
42,069,000
5900707
Deferred Income Taxes
-13,000
3,000
-19,000
-16,000
42,069,000
6637554
Change In Working Capital
63,000
250,000
56,000
51,000
42,069,000
5215443
Cash Interest Paid
14,000
48,000
37,000
3,000
42,069,000
4818910
Cash Taxes Paid
53,000
39,000
40,000
10,000
--
--
Other Non Cash Items
128,000
87,000
44,000
1,887,000
42,069,000
569643
Cash From Investing Activities
-165,000
-15,000
-17,000
404,000
42,069,000
5035477
Investments In Property, Plant & Equipment
-39,000
-50,000
-45,000
-44,000
42,069,000
1800576
Other Investing Activities
-126,000
35,000
28,000
448,000
42,069,000
3634530
Cash From Financing Activities
-758,000
-515,000
-102,000
276,000
42,069,000
888011
Debt Repayments
-750,000
-500,000
-100,000
1,970,000
42,069,000
3400427
Net Common Stock Issued
24,000
--
5,000
--
--
--
Net Change In Cash
97,000
-39,000
-26,000
703,000
42,069,000
2048852
Free Cash Flow
980,000
438,000
49,000
-18,000
42,069,000
8957952
Cash From Operating Activities
1,019,000
488,000
94,000
26,000
42,069,000
2613981
Investments In Property, Plant & Equipment
-39,000
-50,000
-45,000
-44,000
42,069,000
7328101
FCF excluding SBC
922,000
385,000
0
-62,000
42,069,000
7016066
SBC as % of FCF
5.92%
12.10%
100.00%
0.00%
42K%
3751755