Ralph Lauren Corporation
0KTS.L
$325.22 2.83%
Exchange: LSE | Sector: Consumer Cyclical | Industry: Apparel Retail
Q4 2025
Published: May 22, 2025

Earnings Highlights

  • Revenue of $1.70B up 8.3% year-over-year
  • EPS of $2.03 increased by 46.8% from previous year
  • Gross margin of 68.7%
  • Net income of 129.00M
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Ralph Lauren Corporation (0KTS.L) QQ4 2025 Results Analysis: Margin Resilience in a Seasonally Challenging Quarter

Executive Summary

Ralph Lauren reported a solid set of fundamentals in QQ4 2025 with revenue of $1.6973 billion, up 8.25% year-over-year but down 20.82% sequentially from the prior quarter. The quarter delivered a robust gross margin of 68.66% and an operating margin of 9.13%, translating to an operating income of $155.0 million and net income of $129.0 million (EPS of $2.07, diluted $2.03). Despite the quarter-to-quarter revenue pullback, the company produced meaningful earnings growth vs. a year ago and maintained disciplined expense management, contributing to EBITDA of $230.7 million and free cash flow of $42.3 million. Cash generation remained healthy, with cash and cash equivalents of roughly $1.922 billion and total liquidity supported by a net debt position of about $0.725 billion (debt of $2.6475 billion against cash/liquids of ~$2.083 billion). The balance sheet remains solid, with a current ratio of 1.78 and a debt-to-capitalization of ~0.506x, providing flexibility to fund DTC investments and selective openings or refurbishments while navigating seasonality in luxury apparel. Near-term performance reflects seasonality and a difficult QoQ comparison base, rather than a fundamental deterioration in brand momentum. Management commentary (when available) typically emphasized brand strength, omni-channel initiatives, and discipline on cost structure. Absent explicit full-year guidance in the data provided, the outlook hinges on continued demand for premium apparel, sustained margin discipline, and a measured expansion of direct-to-consumer and digital channels. Investors should monitor quarterly regional revenue progression, gross margin stability, inventory levels (days of inventory outstanding), and any updated guidance from management on 2026 priorities and expectations.

Key Performance Indicators

Revenue

1.70B
QoQ: -20.82% | YoY:8.25%

Gross Profit

1.17B
68.66% margin
QoQ: -20.52% | YoY:11.65%

Operating Income

155.00M
QoQ: -60.23% | YoY:43.78%

Net Income

129.00M
QoQ: -56.62% | YoY:42.23%

EPS

2.07
QoQ: -56.51% | YoY:46.81%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $1,697,300,000; YoY +8.25%, QoQ -20.82% | Gross Profit: $1,165,300,000; Gross Margin ~68.66% | Operating Income: $155,000,000; Margin ~9.13% | Net Income: $129,000,000; Net Margin ~7.60% | EPS: $2.07 GAAP, Diluted $2.03; EBITDA: $230,700,000; EBITDA Margin ~13.59% | Operating Cash Flow: $122,200,000; Free Cash Flow: $42,300,000 | Capex: $79,900,000 | Cash and Equivalents: ~$1.9225B; Total Debt: $2.6475B; Net Debt: ~$0.725B | Current Ratio: 1.776; Quick Ratio: 1.331; Debt/Equity: ~1.023;...

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