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SNDK - Sandisk Corp

55


$753.69

$33.52 (4.654%)
At market close

$728.51

-$25.18 (-3.341%)
After Hours 3/18/26, 11:59 PM
Stock Unlock LogoScore

3.15/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
Sandisk Corp logo

Sandisk Corp

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
73.01%
52.28%
8.88%
8.14%
4.96%
2025-10-03
14.29%
2026-01-02
14.29%
2026-01-02
Net Margin
--
43.85%
-19.28%
-21.54%
-22.37%
2025-10-03
-11.66%
2026-01-02
-11.66%
2026-01-02
Gross Margin
9.02%
6.85%
31.35%
31.33%
27.93%
2025-10-03
34.81%
2026-01-02
34.81%
2026-01-02
Free Cash Flow Margin
--
--
7.38%
7.54%
-1.63%
2025-06-27
16.23%
2026-01-02
16.23%
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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Margins
Gross Margin
34.81%
27.93%
30.07%
32.58%
42K%
SGA Margin
6.93%
7.99%
7.79%
7.32%
42K%
Operating Margin
14.29%
4.96%
6.89%
9.38%
42K%
EBITDA Margin
15.94%
6.83%
9.11%
--
--
Net Margin
-11.66%
-22.37%
-22.31%
-20.77%
42K%
Free Cash Flow Margin
16.23%
7.54%
-1.63%
--
--
Operating Cash Flow Margin
18.22%
9.95%
1.14%
--
--
Valuation Metrics
Market Cap
40,735,520
18,876,270
6,883,900
7,100,650
--
Enterprise Value
39,799,520
18,785,270
7,251,900
7,540,650
--
Price to Sales
4.56
2.43
0.94
0.98
--
Price to Gross
13.11
8.69
3.11
3.02
--
Price to Operating Cash Flow
25.04
24.39
81.95
--
--
Price to Operating Income
31.92
48.9
13.58
10.49
--
Price to Earnings
0
0
0
0
--
Price to Free Cash Flow
28.11
32.16
0
--
--
Management
Return On Assets
-8.01%
-13.65%
-12.64%
-11.56%
42K%
Return On Capital Employed
11.25%
3.44%
4.39%
5.84%
42K%
Return On Equity
-10.19%
-18.55%
-17.81%
-16.35%
42K%
Return On Invested Capital
11.89%
2.88%
3.60%
4.61%
42K%
Stock Based Compensation
SBC as a % of FCF
14.08%
33.05%
0.00%
--
--
SBC as a % of OCF
12.54%
25.06%
216.67%
--
--
SBC as a % of Revenue
2.28%
2.49%
2.47%
--
--
FCF Excl. SBC Yield
3.06%
2.08%
-4.39%
--
--
Per Share
Free Cash Flow Per Share
9.29
3.94
-0.83
--
--
Operating Cash Flow Per Share
10.43
5.19
0.58
--
--
Revenue Per Share
57.24
52.21
50.72
49.75
42,069
Financial Health
Debt to EBITDA Ratio
0.42
2.54
2.76
--
--
Interest Coverage Ratio
10.46
3.82
8.05
21.84
42,069
Net Debt
-936,000
-91,000
368,000
440,000
42,069,000
Total Debt
603,000
1,351,000
1,849,000
1,947,000
42,069,000