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93.08
0.03%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading сonditions
Spread 0.31
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.026179 %
Charges from full value of position ($-4.97)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.026179%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.003957 %
Charges from full value of position ($0.75)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
0.003957%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency USD
Margin 5%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Plexus Corp ESG Risk Ratings

High Medium Low Negligible

‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 93.11
Open* 91.97
1-Year Change* -4.35%
Day's Range* 91.97 - 93.75
52 wk Range 83.84-115.36
Average Volume (10 days) 98.39K
Average Volume (3 months) 2.44M
Market Cap 2.66B
P/E Ratio 19.59
Shares Outstanding 27.50M
Revenue 4.21B
EPS 4.94
Dividend (Yield %) N/A
Beta 1.06
Next Earnings Date Jan 24, 2024

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Apr 19, 2024 93.08 1.14 1.24% 91.94 93.88 91.94
Apr 18, 2024 93.11 1.18 1.28% 91.93 94.94 91.93
Apr 17, 2024 93.60 -1.27 -1.34% 94.87 95.57 93.27
Apr 16, 2024 94.85 1.18 1.26% 93.67 95.39 93.21
Apr 15, 2024 94.68 0.74 0.79% 93.94 96.20 93.93
Apr 12, 2024 95.40 -0.63 -0.66% 96.03 96.14 94.78
Apr 11, 2024 96.93 3.63 3.89% 93.30 97.84 93.30
Apr 10, 2024 95.43 0.47 0.49% 94.96 95.96 94.40
Apr 9, 2024 98.04 1.77 1.84% 96.27 98.09 95.86
Apr 8, 2024 96.21 -0.06 -0.06% 96.27 96.85 96.00
Apr 5, 2024 95.71 0.17 0.18% 95.54 96.11 95.27
Apr 4, 2024 95.37 2.39 2.57% 92.98 97.60 92.98
Apr 3, 2024 96.40 1.69 1.78% 94.71 97.19 94.71
Apr 2, 2024 95.56 1.31 1.39% 94.25 95.73 93.66
Apr 1, 2024 95.22 1.06 1.13% 94.16 95.43 93.65
Mar 28, 2024 94.72 2.43 2.63% 92.29 94.77 92.29
Mar 27, 2024 93.28 2.39 2.63% 90.89 93.60 90.56
Mar 26, 2024 90.85 -0.66 -0.72% 91.51 92.34 90.67
Mar 25, 2024 91.36 -0.55 -0.60% 91.91 92.59 90.91
Mar 22, 2024 91.77 0.55 0.60% 91.22 92.58 91.21

Plexus Events

Time (UTC) Country Event
Wednesday, April 24, 2024

Time (UTC)

20:00

Country

US

Event

Q2 2024 Plexus Corp Earnings Release
Q2 2024 Plexus Corp Earnings Release

Forecast

-

Previous

-
Thursday, April 25, 2024

Time (UTC)

12:30

Country

US

Event

Q2 2024 Plexus Corp Earnings Call
Q2 2024 Plexus Corp Earnings Call

Forecast

-

Previous

-
Wednesday, July 24, 2024

Time (UTC)

10:59

Country

US

Event

Q3 2024 Plexus Corp Earnings Release
Q3 2024 Plexus Corp Earnings Release

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Total revenue 4210.31 3811.37 3368.86 3390.39 3164.43
Revenue 4210.31 3811.37 3368.86 3390.39 3164.43
Cost of Revenue, Total 3815.75 3464.14 3045.57 3077.69 2872.6
Gross Profit 394.554 347.229 323.296 312.706 291.838
Total Operating Expense 4014.49 3633.18 3192.6 3237.02 3022.38
Selling/General/Admin. Expenses, Total 175.64 167.023 143.761 153.331 148.105
Unusual Expense (Income) 23.094 2.021 3.267 6.003 1.678
Operating Income 195.82 178.185 176.268 153.372 142.055
Interest Income (Expense), Net Non-Operating -28.404 -15.253 -12.881 -14.284 -10.904
Other, Net -6.403 -4.629 -2.976 -3.691 -5.196
Net Income Before Taxes 161.013 158.303 160.411 135.397 125.955
Net Income After Taxes 139.094 138.243 138.912 116.379 115.616
Net Income Before Extra. Items 139.094 138.243 138.912 116.379 115.616
Net Income 139.094 138.243 138.912 117.479 108.616
Income Available to Common Excl. Extra. Items 139.094 138.243 138.912 116.379 115.616
Income Available to Common Incl. Extra. Items 139.094 138.243 138.912 117.479 108.616
Diluted Net Income 139.094 138.243 138.912 117.479 108.616
Diluted Weighted Average Shares 28.114 28.439 29.167 29.916 31.074
Diluted EPS Excluding Extraordinary Items 4.9475 4.86104 4.76264 3.89019 3.72067
Diluted Normalized EPS 5.65712 4.93913 4.86437 3.75659 3.77023
Total Extraordinary Items 1.1 -7
Sep 2023 Jul 2023 Apr 2023 Dec 2022 Oct 2022
Total revenue 1023.95 1021.61 1070.82 1093.93 1123.85
Revenue 1023.95 1021.61 1070.82 1093.93 1123.85
Cost of Revenue, Total 927.231 927.964 967.83 992.726 1016.74
Gross Profit 96.716 93.646 102.993 101.199 107.105
Total Operating Expense 970.614 993.406 1013.88 1036.58 1061.53
Selling/General/Admin. Expenses, Total 43.383 42.348 46.051 43.858 44.791
Unusual Expense (Income) 0 23.094 0 0
Operating Income 53.333 28.204 56.942 57.341 62.314
Interest Income (Expense), Net Non-Operating -7.283 -7.633 -7.528 -5.96 -5.09
Other, Net 0.347 -3.194 -1.612 -1.944 -0.282
Net Income Before Taxes 46.397 17.377 47.802 49.437 56.942
Net Income After Taxes 40.261 15.799 40.844 42.19 50.457
Net Income Before Extra. Items 40.261 15.799 40.844 42.19 50.457
Net Income 40.261 15.799 40.844 42.19 50.457
Income Available to Common Excl. Extra. Items 40.261 15.799 40.844 42.19 50.457
Income Available to Common Incl. Extra. Items 40.261 15.799 40.844 42.19 50.457
Diluted Net Income 40.261 15.799 40.844 42.19 50.457
Diluted Weighted Average Shares 27.972 27.992 28.184 28.305 28.4
Diluted EPS Excluding Extraordinary Items 1.43933 0.56441 1.44919 1.49055 1.77665
Dividends per Share - Common Stock Primary Issue 0 0 0
Diluted Normalized EPS 1.43933 1.31451 1.44919 1.49055 1.7837
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Total Current Assets 2672.22 2816.12 1930.89 1779.16 1538.29
Cash and Short Term Investments 256.233 274.805 270.172 385.807 223.761
Cash
Cash & Equivalents 256.233 274.805 270.172 385.807 223.761
Total Receivables, Net 803.839 876.236 634.967 596.032 579.125
Accounts Receivable - Trade, Net 803.839 876.236 634.967 596.032 579.125
Total Inventory 1562.04 1602.78 972.312 763.461 700.938
Prepaid Expenses 49.693 61.633 53.094 31.772 30.906
Other Current Assets, Total 0.421 0.665 0.341 2.087 3.561
Total Assets 3321.17 3393.23 2461.89 2289.85 2000.88
Property/Plant/Equipment, Total - Net 561.399 509.839 467.181 453.54 384.224
Property/Plant/Equipment, Total - Gross 1144.47 1066.08 1024.87 971.858 856.533
Accumulated Depreciation, Total -583.072 -556.242 -557.686 -518.318 -472.309
Other Long Term Assets, Total 87.55 67.264 63.826 51.449 71.468
Total Current Liabilities 1812.67 2006.19 1128.7 1003.52 865.503
Accounts Payable 646.61 805.583 634.969 516.297 444.944
Accrued Expenses 165.501 446.149 222.436 180.419 179.164
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 240.205 273.971 66.313 146.829 100.702
Other Current Liabilities, Total 760.351 480.486 204.985 159.972 140.693
Total Liabilities 2106.79 2297.49 1433.66 1312.37 1135.31
Total Long Term Debt 190.853 187.776 187.033 187.975 187.278
Long Term Debt 151.582 148.519 150.114 150.942 187.278
Other Liabilities, Total 98.92 97.202 112.248 114.443 77.221
Total Equity 1214.38 1095.73 1028.23 977.48 865.576
Preferred Stock - Non Redeemable, Net 0 0 0 0
Common Stock 0.543 0.541 0.538 0.535 0.529
Additional Paid-In Capital 661.27 652.467 639.778 621.564 597.401
Retained Earnings (Accumulated Deficit) 1711.33 1572.23 1433.99 1295.08 1178.68
Treasury Stock - Common -1134.43 -1093.48 -1043.09 -934.639 -893.247
Other Equity, Total -24.33 -36.028 -2.984 -5.059 -17.784
Total Liabilities & Shareholders’ Equity 3321.17 3393.23 2461.89 2289.85 2000.88
Total Common Shares Outstanding 27.466 27.679 28.047 29.002 29.004
Intangibles, Net 5.7 6.9
Deferred Income Tax 4.35 6.327 5.677 6.433 5.305
Capital Lease Obligations 39.271 39.257 36.919 37.033
Sep 2023 Jul 2023 Apr 2023 Dec 2022 Oct 2022
Total Current Assets 2672.22 2799.29 2780.27 2814.3 2816.12
Cash and Short Term Investments 256.233 252.965 269.664 247.88 274.805
Cash & Equivalents 256.233 252.965 269.664 247.88 274.805
Total Receivables, Net 803.839 839.893 794.474 852.978 876.236
Accounts Receivable - Trade, Net 803.839 839.893 794.474 852.978 876.236
Total Inventory 1562.04 1641.67 1649.72 1645.01 1602.78
Prepaid Expenses 49.693 64.166 65.717 68.401 61.633
Other Current Assets, Total 0.421 0.589 0.7 0.031 0.665
Total Assets 3321.17 3418.94 3382.02 3395.29 3393.23
Property/Plant/Equipment, Total - Net 561.399 548.396 532.182 512.394 509.839
Other Long Term Assets, Total 87.55 71.261 69.564 68.597 67.264
Total Current Liabilities 1812.67 1940.98 1917.86 1954.46 2006.19
Accounts Payable 646.61 697.112 729.225 753.755 805.583
Accrued Expenses 165.501 356.912 362.943 360.592 446.149
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 240.205 304.781 294.011 329.076 273.971
Other Current Liabilities, Total 760.351 582.172 531.683 511.037 480.486
Total Liabilities 2106.79 2234.58 2199.64 2245.03 2297.49
Total Long Term Debt 190.853 187.468 188.73 187.272 187.776
Long Term Debt 151.582 148.737 148.717 148.689 148.519
Capital Lease Obligations 39.271 38.731 40.013 38.583 39.257
Deferred Income Tax 4.35 4.444 4.901 5.616 6.327
Other Liabilities, Total 98.92 101.692 88.145 97.685 97.202
Total Equity 1214.38 1184.36 1182.38 1150.26 1095.73
Preferred Stock - Non Redeemable, Net 0 0 0 0 0
Common Stock 0.543 0.543 0.543 0.541 0.541
Additional Paid-In Capital 661.27 655.675 651.667 654.059 652.467
Retained Earnings (Accumulated Deficit) 1711.33 1671.07 1655.27 1614.42 1572.23
Treasury Stock - Common -1134.43 -1130.91 -1117.36 -1104.95 -1093.48
Other Equity, Total -24.33 -12.009 -7.736 -13.812 -36.028
Total Liabilities & Shareholders’ Equity 3321.17 3418.94 3382.02 3395.29 3393.23
Total Common Shares Outstanding 27.466 27.498 27.647 27.612 27.679
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 138.243 138.912 117.479 108.616 13.04
Cash From Operating Activities -26.24 142.577 210.368 115.3 66.831
Cash From Operating Activities 62.689 61.014 56.69 52.206 48.296
Amortization
Deferred Taxes -10.8 -3.388 -3.583 -9.764 20.388
Non-Cash Items 24.308 24.213 31.095 21.539 17.785
Cash Taxes Paid 16.916 39.932 31.458 26.277 18.891
Cash Interest Paid 15.293 14.116 14.885 15.701 12.03
Changes in Working Capital -240.68 -78.174 8.687 -57.297 -32.678
Cash From Investing Activities -101.561 -56.973 -49.851 -89.359 -74.621
Capital Expenditures -101.612 -57.099 -50.088 -90.6 -62.78
Other Investing Cash Flow Items, Total 0.051 0.126 0.237 1.241 -11.841
Cash From Financing Activities 139.295 -203.885 -1.458 -97.219 -265.463
Financing Cash Flow Items -12.067 -9.664 -13.637 -8.636 -6.211
Issuance (Retirement) of Stock, Net -49.912 -104.897 -28.565 -179.495 -123.335
Issuance (Retirement) of Debt, Net 201.274 -89.324 40.744 90.912 -135.917
Foreign Exchange Effects -6.537 0.9 2.581 -0.154 1.685
Net Change in Cash 4.957 -117.381 161.64 -71.432 -271.568
Apr 2023 Dec 2022 Oct 2022 Jul 2022 Apr 2022
Net income/Starting Line 83.034 42.19 138.243 87.786 50.292
Cash From Operating Activities 57.156 -48.794 -26.24 -25.848 -4.653
Cash From Operating Activities 33.434 16.29 62.689 46.842 30.936
Deferred Taxes -10.8 1.574 0.113
Non-Cash Items 11.942 6.185 24.308 19.673 13.257
Changes in Working Capital -71.254 -113.459 -240.68 -181.723 -99.251
Cash From Investing Activities -47.615 -21.582 -101.561 -85.133 -64.258
Capital Expenditures -49.491 -23.085 -101.612 -85.028 -64.181
Other Investing Cash Flow Items, Total 1.876 1.503 0.051 -0.105 -0.077
Cash From Financing Activities -18.424 39.438 139.295 122.148 107.801
Financing Cash Flow Items -12.28 -4.091 -12.067 -12.04 -11.089
Issuance (Retirement) of Stock, Net -23.877 -11.47 -49.912 -46.605 -34.828
Issuance (Retirement) of Debt, Net 17.733 54.999 201.274 180.793 153.718
Foreign Exchange Effects 3.777 3.379 -6.537 -3.85 -0.527
Net Change in Cash -5.106 -27.559 4.957 7.317 38.363

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Plexus Company profile

About Plexus Corp.

Plexus Corp. is a provider of design and development, supply chain solutions, new product introduction, manufacturing and aftermarket Services to companies. The Company and its subsidiaries are engaged in the electronic manufacturing services (EMS) industry. The Company's segments include the Americas (AMER), Europe, Middle East, and Africa (EMEA) and Asia-Pacific (APAC). Its design and development services include user-centered design (UCD), mechanical engineering, electrical engineering, quality and compliance engineering and project management. Its supply chain services include design for supply chain, supply chain risk management, actionable analytics and managing global, complex supply chains. Its new product introduction capabilities include test engineering, rapid prototyping and transition management. Its aftermarket services include depot repair, service parts logistics management, order management, distribution and warehousing, managed logistics and reverse logistics.

Financial summary

BRIEF: For the three months ended 01 January 2022, Plexus Corp. revenues decreased 2% to $817.5M. Net income decreased 35% to $23.4M. Revenues reflect AMER segment decrease of 15% to $277.3M, EMEA segment decrease of 7% to $72.9M. Net income also reflects Selling and administrative expenses increase of 16% to $37.5M (expense), Interest Income decrease of 28% to $271K (income).

Equity composition

Common Stock $.01 Par, 12/11, 200M auth., 48,102,000 issd., less 10,174,000 shs.in Treas. @ $283.5M. Insiders & strategic holders own 1.12%. IPO 2/86, 845,000 shares @ $8.25 by Milwaukee Company. 10/00, 3M shares @ $50 by Robertson Stephens. 9/00, 8/97, 2-for-1 stock splits; 3/92, 3-for-2 stock split. FY'98-'99 fncls. are reclassified.

Industry: Electronic Equipment & Parts (NEC)

One Plexus Way
Plexus Corp
NEENAH
WISCONSIN 54956
US

Income Statement

  • Annual
  • Quarterly

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