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CONDENSED CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY - USD ($)
$ in Millions
Total
Ordinary Shares
Common Stock Including Additional Paid in Capital
Accumulated Earnings (Deficit)
Unrealized Gain (Loss) on Derivative Instruments and Other
Foreign currency translation adjustments
Total Accumulated Other Comprehensive Gain (Loss)
Beginning balance (in shares) at Mar. 31, 2024   408,000,000          
Beginning balance at Mar. 31, 2024 $ 5,325 $ 5,074   $ 446 $ 4 $ (199) $ (195)
Increase (Decrease) in Shareholders' Equity              
Repurchase of Flex Ltd. ordinary shares at cost (in shares)   (25,000,000)          
Repurchase of Flex Ltd. ordinary shares at cost (757) $ (757)          
Issuance of Flex Ltd. vested shares under restricted share unit awards (in shares)   7,000,000          
Net income 353     353      
Stock-based compensation 60   $ 60        
Total other comprehensive income (loss) 22       (17) 39 22
Ending balance (in shares) at Sep. 27, 2024   390,000,000          
Ending balance at Sep. 27, 2024 5,003 $ 4,377   799 (13) (160) (173)
Beginning balance (in shares) at Jun. 28, 2024   399,000,000          
Beginning balance at Jun. 28, 2024 4,996 $ 4,649   585 (23) (215) (238)
Increase (Decrease) in Shareholders' Equity              
Repurchase of Flex Ltd. ordinary shares at cost (in shares)   (10,000,000)          
Repurchase of Flex Ltd. ordinary shares at cost (300) $ (300)          
Issuance of Flex Ltd. vested shares under restricted share unit awards (in shares)   1,000,000          
Net income 214     214      
Stock-based compensation 28   28        
Total other comprehensive income (loss) 65       10 55 65
Ending balance (in shares) at Sep. 27, 2024   390,000,000          
Ending balance at Sep. 27, 2024 $ 5,003 $ 4,377   799 (13) (160) (173)
Beginning balance (in shares) at Mar. 31, 2025 377,817,433 378,000,000          
Beginning balance at Mar. 31, 2025 $ 5,002 $ 3,942   1,284 (19) (205) (224)
Increase (Decrease) in Shareholders' Equity              
Repurchase of Flex Ltd. ordinary shares at cost (in shares)   (13,000,000)          
Repurchase of Flex Ltd. ordinary shares at cost (544) $ (544)          
Issuance of Flex Ltd. vested shares under restricted share unit awards (in shares)   6,000,000          
Net income 391     391      
Provision for stock warrants 2 $ 2          
Stock-based compensation 71   71        
Total other comprehensive income (loss) $ 113       39 74 113
Ending balance (in shares) at Sep. 26, 2025 370,865,873 371,000,000          
Ending balance at Sep. 26, 2025 $ 5,035 $ 3,471   1,675 20 (131) (111)
Beginning balance (in shares) at Jun. 27, 2025   376,000,000          
Beginning balance at Jun. 27, 2025 5,089 $ 3,729   1,476 20 (136) (116)
Increase (Decrease) in Shareholders' Equity              
Repurchase of Flex Ltd. ordinary shares at cost (in shares)   (6,000,000)          
Repurchase of Flex Ltd. ordinary shares at cost (297) $ (297)          
Issuance of Flex Ltd. vested shares under restricted share unit awards (in shares)   1,000,000          
Net income 199     199      
Provision for stock warrants 2 $ 2          
Stock-based compensation 37   $ 37        
Total other comprehensive income (loss) $ 5         5 5
Ending balance (in shares) at Sep. 26, 2025 370,865,873 371,000,000          
Ending balance at Sep. 26, 2025 $ 5,035 $ 3,471   $ 1,675 $ 20 $ (131) $ (111)