PVH Corp
0KEQ.L
$83.59 0.47%
Exchange: LSE | Sector: Consumer Cyclical | Industry: Apparel Retail
Q2 2024
Published: Jul 31, 2024

Earnings Highlights

  • Revenue of $2.07B down 16.7% year-over-year
  • EPS of $2.80 decreased by 38.6% from previous year
  • Gross margin of 60.1%
  • Net income of 158.00M
  • "No management transcript data provided." -

PVH Corp (0KEQ.L) QQ2 2024 Results Analysis: Revenue Decline Pressures Margin, Yet Free Cash Flow Forges Forward

Executive Summary

PVH Corp reported QQ2 2024 revenue of $2.0743 billion, down 16.69% year-over-year, with gross profit of $1.2459 billion and a gross margin of 60.06%. Operating income was $162.6 million (operating margin 7.84%), and net income stood at $158.0 million (net margin 7.62%), yielding an earnings per share of $2.83 (diluted $2.80). All three primary profitability metrics trended lower versus the prior-year period: revenue (-16.7%), gross profit (-17.3%), operating income (-54.1%), net income (-41.9%), and EPS (-38.6%) on a YoY basis. Sequentially (QoQ), revenue showed flat growth (0.0%). Despite a softer top line, PVH generated robust operating cash flow of $292.4 million and free cash flow of $255.8 million for the quarter, supporting a resilient liquidity position with cash and cash equivalents of $610 million and net debt of approximately $2.949 billion. The company carried total debt of about $3.56 billion and total equity of roughly $5.19 billion, implying a balanced yet leverage-heavy capital structure. The gross margin remains a meaningful strength (≈60%), underscoring pricing power and product mix resilience, while operating margin compression reflects elevated SG&A and/or category mix pressures in a challenging consumer backdrop. With management guidance unavailable in the provided data, the outlook hinges on ongoing demand normalization, inventory discipline, channel mix (Wholesale vs. Direct-to-Consumer), and cost-control execution. The quarter illustrates PVH’s ability to generate meaningful FCF in a mid-cycle environment, a positive signal for capital allocation and deleveraging over time, but it also highlights the need for top-line stabilization to sustain earnings momentum.

Key Performance Indicators

Revenue

2.07B
QoQ: 0.00% | YoY:-16.69%

Gross Profit

1.25B
60.06% margin
QoQ: 0.00% | YoY:-17.30%

Operating Income

162.60M
QoQ: 0.00% | YoY:-54.13%

Net Income

158.00M
QoQ: 0.00% | YoY:-41.87%

EPS

2.83
QoQ: 0.00% | YoY:-38.61%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $2.0743B (YoY -16.69%, QoQ 0.00%) Gross Profit: $1.2459B (Gross Margin 60.06%, YoY -17.30%) Operating Income: $162.6M (Operating Margin 7.84%, YoY -54.13%) Net Income: $158.0M (Net Margin 7.62%, YoY -41.87%) EPS: $2.83 (Diluted $2.80) (YoY -38.61%, QoQ 0.00%) EBITDA: $232.4M (EBITDA Margin ~11.20%) Operating Cash Flow: $292.4M; Free Cash Flow: $255.8M Cash at End of Period: $610M; Total Debt: $3.56B; Net Debt: $2.95B Current Ratio: 1.24; Quick Ratio: 0.66; Cash Ratio: 0.22 Gross Margin:...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 2,167.20 4.62 +4.5% View
Q1 2025 1,983.60 -0.88 -4.4% View
Q4 2024 2,371.60 2.78 +21.5% View
Q3 2024 2,255.10 2.34 +15.5% View
Q2 2024 2,074.30 2.80 -16.7% View