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V.F. Corp (VFC)

V.F. Corp (VFC)
16.47 x 100 16.87 x 400
Post-market by (Cboe BZX)
16.47 -0.53 (-3.12%) 03/25/25 [NYSE]
16.47 x 100 16.87 x 400
Post-market 16.50 +0.03 (+0.18%) 18:44 ET
Financial Summary for Tue, Mar 25th, 2025
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V.F. Corporation designs, manufactures and markets branded apparel and related products in the United States and internationally. Its product line consists of denim and casual tops, bottoms, backpacks, book bags, luggage, outdoor gear, skateboard-inspired footwear and apparel, surf-inspired footwear and apparel, women's lingerie, occupational apparel, licensed sports apparel, athletic apparel and fashion sportswear. The company markets its products through specialty stores, department stores, national chains and mass merchants along with licensees and distributors. The company reports operating results under three segments: Active, Outdoor and Work.

Fiscal Year End Date: 03/31

(Values in U.S. Thousands) Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021 Mar, 2020
Sales 10,454,670 11,612,470 11,841,840 9,238,830 10,488,560
Sales Growth -9.97% -1.94% +28.17% -11.92% -24.26%
Net Income -968,880 118,580 1,386,940 407,870 679,450
Net Income Growth -917.07% -91.45% +240.04% -39.97% -46.07%
(Values in U.S. Thousands) Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021 Mar, 2020
Total Assets 11,612,960 13,990,490 13,342,210 13,754,030 11,133,250
Total Assets Growth -16.99% +4.86% -2.99% +23.54% +7.50%
Total Liabilities 9,954,600 11,079,780 9,811,850 10,697,870 7,775,920
Total Liabilities Growth -10.16% +12.92% -8.28% +37.58% +28.35%
(Values in U.S. Thousands) Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021 Mar, 2020
Operating Cash Flow 1,014,580 -655,800 864,290 1,313,230 874,530
Operating Cash Flow Growth +254.71% -175.88% -34.19% +50.16% -47.45%
Net Cash Flow -139,360 -460,760 425,880 -560,120 854,740
Change in Net Cash Flow +69.75% -208.19% +176.03% -165.53% +744.60%
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