Ralph Lauren Corporation
0KTS.L
$325.22 2.83%
Exchange: LSE | Sector: Consumer Cyclical | Industry: Apparel Retail
Q1 2026
Published: Aug 7, 2025

Earnings Highlights

  • Revenue of $1.72B up 13.7% year-over-year
  • EPS of $3.53 increased by 35.3% from previous year
  • Gross margin of 68.8%
  • Net income of 220.40M
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Ralph Lauren Corporation (0KTS.L) QQ1 2026 Results – Robust Revenue Growth, Margin Resilience, and Prudent Capital Allocation

Executive Summary

Ralph Lauren reported a solid start to its QQ1 2026 with revenue of $1.719 billion, up 13.7% year over year. The quarter delivered a robust gross margin of 68.8% and an operating margin of 16.8%, supported by a favorable mix and pricing power within its premium apparel portfolio. EBITDA reached $347.7 million, equating to an EBITDA margin of approximately 20.2%, while net income was $220.4 million and diluted earnings per share were $3.526 on 62.5 million weighted shares, or $3.613 basic EPS. The results reflect meaningful top-line momentum and a favorable cost structure, underscoring the strength of the Ralph Lauren brand and its direct-to-consumer (DTC) presence in a resilient luxury market. The company generated $176.1 million of operating cash flow in the quarter, but free cash flow was negative by about $11.2 million, largely due to capital expenditures and a deliberate capital allocation program. Liquidity remains solid with $2.090 billion of cash and cash equivalents at period end and total debt of $3.239 billion, resulting in a net debt position of about $1.148 billion. Management has pursued an active capital allocation strategy, evidenced by substantial share repurchases (~$323.3 million) and a meaningful debt repayment (~$492.2 million) during the period, complemented by a modest dividend payout (~$50.7 million). Overall, the QQ1 2026 results point to a disciplined growth trajectory: solid top-line expansion, healthy profitability, and a balanced approach to liquidity and capital deployment. The near-term outlook will hinge on consumer demand, DTC execution, mix effects, and any currency headwinds, but the balance sheet and cash-generation profile provide ample flexibility to sustain investments in brand, e-commerce, and footprint optimization.

Key Performance Indicators

Revenue

1.72B
QoQ: 1.28% | YoY:13.68%

Gross Profit

1.18B
68.76% margin
QoQ: 1.44% | YoY:10.91%

Operating Income

288.20M
QoQ: 85.94% | YoY:38.23%

Net Income

220.40M
QoQ: 70.85% | YoY:30.72%

EPS

3.61
QoQ: 74.55% | YoY:35.32%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $1,719.1 million; YoY growth: 13.68%; QoQ growth: 1.28% Gross Profit: $1,182.1 million; Gross Margin: 68.76% (1,182.1 / 1,719.1) Operating Income: $288.2 million; Operating Margin: 16.76% EBITDA: $347.7 million; EBITDA Margin: 20.23% Net Income: $220.4 million; Net Margin: 12.82% EPS: $3.613 (basic); EPS Diluted: $3.526; Weighted Avg Shs Out: 61.0 million (diluted 62.5 million) Cash Flow: Operating cash flow $176.1 million; Capex $187.3 million; Free cash flow (FCF) −$11.2 million...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 1,719.10 3.53 +13.7% View
Q4 2025 1,697.30 2.03 +8.3% View
Q3 2025 2,143.50 4.66 +36.7% View
Q2 2025 1,726.00 2.31 -10.8% View
Q1 2025 1,512.20 2.61 -21.8% View