VF Corporation (0R30.L)

Consumer Cyclical | Apparel Retail
Income Statement (Quarterly) 2025-09-27 2025-06-28 2025-03-29 2024-12-28
Revenue 2,802,706,000 1,760,666,000 2,143,771,000 2,833,912,000
Cost of Revenue 1,340,262,000 807,439,000 999,823,000 1,238,738,000
Gross Profit 1,462,444,000 953,227,000 1,143,948,000 1,595,174,000
Operating Expenses
R&D Expenses 0 0 0 0
SG&A Expenses 1,149,824,000 1,022,164,000 1,140,034,000 1,299,033,000
Operating Expenses 1,149,824,000 1,039,836,000 1,216,835,000 1,369,397,000
Operating Income 312,620,000 -86,609,000 -72,887,000 225,777,000
Interest Expense 49,617,000 43,638,000 40,086,000 43,342,000
Income Before Tax 268,281,000 -126,593,000 -116,610,000 196,669,000
Income Tax Expense 78,516,000 -10,185,000 33,657,000 27,560,000
Net Income 189,765,000 -116,408,000 -150,788,000 167,780,000
Per Share
EPS 0.48 -0.30 -0.39 0.43
EPS Diluted 0.00 0.00 0.00 0.00
Income Statement (Annual) 2025-03-29 2024-03-31 2024-03-30 2023-04-01
Revenue 9,504,691,000 10,459,671,000 9,915,678,000 11,612,475,000
Cost of Revenue 4,418,979,000 5,028,648,000 4,798,868,000 5,515,796,000
Gross Profit 5,085,712,000 5,431,023,000 5,116,810,000 6,096,679,000
Operating Expenses
R&D Expenses 0 0 0 0
SG&A Expenses 4,614,981,000 4,860,935,000 4,642,122,000 4,797,695,000
Operating Expenses 4,781,939,000 4,860,935,000 5,260,745,000 4,797,695,000
Operating Income 303,773,000 570,088,000 -143,935,000 998,737,000
Interest Expense 174,136,000 223,408,000 185,925,000 174,390,000
Income Before Tax 145,161,000 -233,685,000 -284,921,000 43,287,000
Income Tax Expense 75,837,000 735,197,000 733,556,000 -75,297,000
Net Income -189,716,000 -968,882,000 -968,882,000 118,584,000
Per Share
EPS -0.49 -2.49 -2.49 0.31
EPS Diluted 0.00 0.00 0.00 0.00
Balance Sheet (Quarterly) 2025-03-31 2025-03-29 2024-03-31 2024-03-30
Assets
Cash and Cash Equivalents 429,382,000 429,382,000 674,605,000 674,605,000
Short Term Investments 0 0 2,335,000 2,335,000
Net Receivables 1,321,663,000 1,321,663,000 1,276,358,000 1,276,358,000
Inventory 1,627,025,000 1,627,025,000 1,766,366,000 1,766,366,000
Total Current Assets 3,786,098,000 3,786,098,000 4,226,947,000 4,226,947,000
Property Plant Equipment 1,983,198,000 1,983,198,000 2,154,247,000 2,154,247,000
Goodwill and Intangibles 2,568,379,000 2,568,379,000 4,389,859,000 4,389,859,000
Total Assets 9,377,536,000 9,377,536,000 11,612,963,000 11,612,963,000
Liabilities
Account Payables 789,570,000 789,570,000 817,128,000 817,128,000
Short Term Debt 861,236,000 861,236,000 1,573,122,000 1,573,122,000
Total Current Liabilities 2,697,853,000 2,697,853,000 3,456,979,000 3,456,979,000
Long Term Debt 4,504,832,000 4,504,832,000 5,859,142,000 5,859,142,000
Total Liabilities 7,890,177,000 7,890,177,000 9,954,598,000 9,954,598,000
Shareholders Equity
Retained Earnings -1,173,011,000 -1,173,011,000 -974,584,000 -974,584,000
Total Shareholders Equity 1,487,359,000 1,487,359,000 1,658,365,000 1,658,365,000
Balance Sheet (Annual) 2025-03-31 2025-03-29 2024-03-31 2024-03-30 2023-04-01
Assets
Cash and Cash Equivalents 429,382,000 429,382,000 674,605,000 674,605,000 814,887,000
Short Term Investments 0 0 2,335,000 2,335,000 0
Net Receivables 1,321,663,000 1,321,663,000 1,276,358,000 1,276,358,000 1,610,295,000
Inventory 1,627,025,000 1,627,025,000 1,766,366,000 1,766,366,000 2,292,790,000
Total Current Assets 3,786,098,000 3,786,098,000 4,226,947,000 4,226,947,000 5,152,709,000
Property Plant Equipment 1,983,198,000 1,983,198,000 2,154,247,000 2,154,247,000 2,314,622,000
Goodwill and Intangibles 2,568,379,000 2,568,379,000 4,389,859,000 4,389,859,000 4,621,234,000
Total Assets 9,377,536,000 9,377,536,000 11,612,963,000 11,612,963,000 13,990,488,000
Liabilities
Account Payables 789,570,000 789,570,000 817,128,000 817,128,000 936,319,000
Short Term Debt 861,236,000 861,236,000 1,573,122,000 1,573,122,000 1,268,018,000
Total Current Liabilities 2,697,853,000 2,697,853,000 3,456,979,000 3,456,979,000 3,545,766,000
Long Term Debt 4,504,832,000 4,504,832,000 5,859,142,000 5,859,142,000 6,899,242,000
Total Liabilities 7,890,177,000 7,890,177,000 9,954,598,000 9,954,598,000 11,079,775,000
Shareholders Equity
Retained Earnings -1,173,011,000 -1,173,011,000 -974,584,000 -974,584,000 57,086,000
Total Shareholders Equity 1,487,359,000 1,487,359,000 1,658,365,000 1,658,365,000 2,910,713,000
Cash Flow Statement (Quarterly) 2025-03-29 2024-03-31 2024-03-30 2023-04-01
Operating Activities
Net Income 69,324,000 -968,882,000 -968,882,000 118,584,000
Depreciation & Amortization 259,616,000 319,204,000 319,204,000 262,324,000
Stock Based Compensation 73,247,000 0 67,332,000 60,354,000
Change in Working Capital -320,766,000 168,177,000 168,177,000 -2,233,007,000
Operating Cash Flow 465,236,000 1,014,005,000 1,014,581,000 -655,795,000
Investing Activities
Capital Expenditure -126,023,000 -210,985,000 -210,985,000 -261,251,000
Investments -126,023,000 -210,985,000 -210,985,000 -261,251,000
Investing Cash Flow 1,428,091,000 -172,258,000 -172,258,000 -188,053,000
Financing Activities
Debt Repayment -2,003,132,000 -653,053,000 -653,053,000 1,233,318,000
Common Stock Issued/Repurchased -2,730,000 -5,692,000 -2,846,000 -2,794,000
Dividends Paid -140,165,000 -303,140,000 -303,140,000 -702,846,000
Financing Cash Flow -2,146,027,000 -959,039,000 -959,615,000 463,906,000
Summary
Free Cash Flow 339,213,000 803,020,000 803,596,000 -917,046,000
Net Change in Cash -245,482,000 -138,061,000 -139,361,000 -460,764,000
Cash Flow Statement (Annual) 2025-03-29 2024-03-31 2024-03-30 2023-04-01
Operating Activities
Net Income 69,324,000 -968,882,000 -968,882,000 118,584,000
Depreciation & Amortization 259,616,000 319,204,000 319,204,000 262,324,000
Stock Based Compensation 73,247,000 0 67,332,000 60,354,000
Change in Working Capital -320,766,000 168,177,000 168,177,000 -2,233,007,000
Operating Cash Flow 465,236,000 1,014,005,000 1,014,581,000 -655,795,000
Investing Activities
Capital Expenditure -126,023,000 -210,985,000 -210,985,000 -261,251,000
Investments -126,023,000 -210,985,000 -210,985,000 -261,251,000
Investing Cash Flow 1,428,091,000 -172,258,000 -172,258,000 -188,053,000
Financing Activities
Debt Repayment -2,003,132,000 -653,053,000 -653,053,000 1,233,318,000
Common Stock Issued/Repurchased -2,730,000 -5,692,000 -2,846,000 -2,794,000
Dividends Paid -140,165,000 -303,140,000 -303,140,000 -702,846,000
Financing Cash Flow -2,146,027,000 -959,039,000 -959,615,000 463,906,000
Summary
Free Cash Flow 339,213,000 803,020,000 803,596,000 -917,046,000
Net Change in Cash -245,482,000 -138,061,000 -139,361,000 -460,764,000