Tapestry, Inc. (TPR) Financial Statements & Historical Data

Tapestry, Inc. (TPR) — Price $116.95 — Consumer Cyclical — Luxury Goods — NYSE

Latest reported results:

Detailed financial statements for Tapestry, Inc. (TPR): income statement, balance sheet and cash-flow summary. Track margins, debt, liquidity and profitability trends year over year: ten fiscal years free and up to 20 with Premium.

Tapestry, Inc. is a prominent global fashion house specializing in premium accessories and distinct lifestyle brands. It operates internationally, serving customers across the United States, Japan, Greater China, and other markets worldwide. The company's diverse portfolio is structured around three well-known brands: Coach, Kate Spade, and Stuart Weitzman. Tapestry offers an extensive product range catering to women, men, and even includes items for children and home goods.

Analysis Summary

Tapestry, Inc. reported revenue of $8.00B in the most recent fiscal year, growing at a 5-year CAGR of 6.9%. Net income reached $1.53B, with a 12.9% 5-year CAGR.

Trailing-twelve-month margins: gross margin 77.8%, operating margin 23.9%, net margin 19.1%. Free cash flow grew at 8.5% CAGR over 5 years.

At the current price of $116.95, TPR trades at a P/E of 16.25 and an ROE of 220.73%. Market capitalisation stands at $23.6B, placing it among large-cap names.

Balance sheet quality for TPR: current ratio of 1.8, net debt of $2.80B. A debt-to-equity below 1.0 typically signals conservative capital structure, while a current ratio above 1.5 indicates comfortable short-term liquidity.

Cash flow quality is strong: free cash flow of $1.81B represents 119% conversion of reported net income. High conversion (above 90%) suggests earnings translate cleanly into cash; lower conversion may indicate working capital tightness or accounting timing differences.

Income Statement (10y)

Year2017201820192020202120222023202420252026
Revenue$4.49B$5.88B$6.03B$4.96B$5.75B$6.68B$6.66B$6.67B$7.01B$8.00B
Cost of Revenue$1.41B$2.03B$1.97B$1.72B$1.66B$2.03B$1.95B$1.78B$1.72B$1.78B
Gross Profit$3.08B$3.85B$4.05B$3.24B$4.08B$4.65B$4.71B$4.89B$5.29B$6.23B
Research & Development0000000000
Selling, General & Admin$2.29B$3.18B$3.23B$3.31B$3.11B$3.47B$3.54B$3.75B$4.02B$4.31B
Operating Expenses$2.29B$3.18B$3.23B$3.79B$3.11B$3.47B$3.54B$3.75B$4.87B$4.31B
Operating Income$787.4M$672.0M$819.7M-$550.8M$968.0M$1.18B$1.17B$1.14B$415.0M$1.91B
EBITDA$1.00B$931.1M$1.08B-$315.8M$1.19B$1.31B$1.39B$1.37B$526.4M$2.13B
Interest Expense$28.4M$74.0M$47.9M$60.1M$71.4M$58.7M$27.6M$125.0M$85.4M$55.2M
Pre-tax Income$759.0M$596.8M$766.2M-$624.2M$897.3M$1.05B$1.14B$1.01B$216.1M$1.86B
Income Tax$168.0M$199.3M$122.8M$27.9M$63.1M$190.7M$207.1M$195.9M$32.9M$332.9M
Net Income$591.0M$397.5M$643.4M-$652.1M$834.2M$856.3M$936.0M$816.0M$183.2M$1.53B
EPS$2.11$1.39$2.22$-2.34$3.00$3.24$3.96$3.56$0.85$7.49
EPS (Diluted)$2.09$1.38$2.21$-2.34$2.95$3.17$3.88$3.50$0.82$7.27
Shares Outstanding (Diluted)$282.8M$288.6M$290.8M$278.6M$283.0M$270.1M$241.3M$233.2M$222.5M$210.2M

Income Statement (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Revenue$1.70B$2.50B$1.92B$1.88B
Gross Profit$1.30B$1.89B$1.48B$1.56B
Operating Income$328.2M$716.4M$427.5M$442.3M
EBITDA$368.7M$780.3M$483.0M$501.0M
Net Income$274.8M$561.3M$343.8M$347.8M
EPS$1.32$2.75$1.70$1.72
EPS (Diluted)$1.28$2.68$1.65$1.66

Balance Sheet (10y)

Year2017201820192020202120222023202420252026
Cash & Equivalents$2.67B$1.25B$969.2M$1.43B$2.01B$789.8M$726.1M$6.14B$1.10B$974.7M
Short-term Investments$410.7M0$264.6M$8.1M$8.1M$163.4M$15.4M$1.06B$19.6M$177.3M
Receivables$309.5M$314.1M$353.9M$239.3M$454.8M$469.5M$442.6M$464.4M$516.6M$506.4M
Inventory$469.7M$673.8M$778.3M$736.9M$734.8M$994.2M$919.5M$824.8M$860.7M$826.2M
Total Current Assets$3.95B$2.43B$2.56B$2.55B$3.38B$2.57B$2.36B$8.80B$2.91B$2.88B
Property, Plant & Equipment$691.4M$885.4M$938.8M$2.53B$2.17B$1.83B$1.94B$1.83B$1.82B$1.92B
Goodwill$480.5M$1.48B$1.52B$1.30B$1.30B$1.24B$1.23B$1.20B$983.3M$957.7M
Intangible Assets$340.8M$1.73B$1.71B$1.38B$1.37B$1.37B$1.36B$1.35B$719.6M$716.5M
Total Assets$5.83B$6.68B$6.88B$7.92B$8.38B$7.27B$7.12B$13.40B$6.58B$6.69B
Accounts Payable$194.6M$264.3M$243.6M$130.8M$445.2M$520.7M$416.9M$452.2M$456.1M$582.3M
Short-term Debt000$711.5M0$31.2M$25.0M$303.4M$16.7M0
Total Current Liabilities$753.8M$938.2M$918.0M$1.74B$1.43B$1.47B$1.29B$1.71B$1.56B$1.65B
Long-term Debt$1.58B$1.59B$1.60B$1.59B$1.59B$1.66B$1.64B$6.94B$2.38B$2.38B
Total Liabilities$2.83B$3.43B$3.36B$5.65B$5.12B$4.98B$4.84B$10.50B$5.72B$6.00B
Retained Earnings$107.7M$119.0M$291.6M-$992.7M-$158.5M-$1.17B-$1.22B-$722.2M-$2.56B-$3.21B
Total Equity$3.00B$3.24B$3.51B$2.28B$3.26B$2.29B$2.28B$2.90B$857.8M$692.1M
Total Debt$1.58B$1.60B$1.60B$4.49B$3.44B$3.26B$3.29B$8.76B$3.90B$3.95B
Net Debt-$1.50B$350.6M$368.9M$3.05B$1.42B$2.31B$2.55B$1.56B$2.78B$2.80B
Working Capital$3.20B$1.49B$1.64B$811.0M$1.95B$1.10B$1.08B$7.09B$1.35B$1.24B

Balance Sheet (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Cash & Equivalents$719.5M$1.05B$1.05B$974.7M
Total Assets$6.36B$6.53B$6.47B$6.69B
Total Liabilities$5.96B$5.98B$5.78B$6.00B
Total Equity$399.5M$551.2M$682.4M$692.1M
Total Debt$4.20B$5.18B$3.92B$3.95B

Cash Flow (10y)

Year2017201820192020202120222023202420252026
Net Income$591.0M$397.5M$643.4M-$652.1M$834.2M$856.3M$936.0M$816.0M$183.2M$1.53B
Depreciation & Amortization$212.8M$260.3M$268.2M$248.3M$218.7M$206.0M$224.2M$229.0M$224.9M$160.8M
Stock-based Compensation$73.6M$81.3M$84.8M$53.1M$64.1M$72.2M$78.8M$85.9M$87.3M$104.5M
Change in Working Capital-$96.5M$169.2M-$273.3M-$80.3M$230.3M-$377.5M-$258.9M$167.9M-$39.3M-$12.0M
Operating Cash Flow$853.8M$996.7M$791.7M$407.0M$1.32B$853.2M$975.2M$1.26B$1.22B$1.98B
Capital Expenditure-$283.1M-$267.4M-$274.2M-$205.4M-$116.0M-$93.9M-$184.2M-$108.9M-$122.7M-$166.0M
Acquisitions$126.0M-$2.38B-$43.5M-$249.7M-$1.1M-$380.7M-$154.7M000
Stock Repurchased00-$100.0M-$300.0M0-$1.60B-$703.5M0-$2.02B-$1.55B
Dividends Paid-$378.0M-$384.1M-$390.7M-$380.3M0-$264.4M-$283.3M-$321.4M-$299.3M-$326.1M
Free Cash Flow$570.7M$729.3M$517.5M$201.6M$1.21B$759.3M$791.0M$1.15B$1.09B$1.81B

Cash Flow (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Operating Cash Flow$112.6M$1.08B$262.6M$522.2M
Capital Expenditure-$32.4M-$4.4M-$76.0M-$53.2M
Free Cash Flow$80.2M$1.08B$186.6M$469.0M
Dividends Paid-$83.3M-$81.3M-$81.0M-$80.5M
Stock-based Compensation$22.4M$29.0M$27.6M$25.5M

Growth & Margins (10y)

Year2017201820192020202120222023202420252026
Revenue Growth (YoY)+31.0%+2.5%-17.7%+15.8%+16.3%-0.4%+0.2%+5.1%+14.2%
Net Income Growth (YoY)-32.7%+61.9%-201.4%+227.9%+2.6%+9.3%-12.8%-77.5%+733.9%
EPS Growth (YoY)-34.1%+59.7%-205.4%+228.2%+8.0%+22.2%-10.1%-76.1%+781.2%
Shares Change (YoY)+2.1%+0.8%-4.2%+1.6%-4.6%-10.7%-3.4%-4.6%-5.5%
FCF Growth (YoY)+27.8%-29.0%-61.0%+499.1%-37.1%+4.2%+45.0%-4.6%+65.7%
Gross Margin68.6%65.5%67.3%65.3%71.0%69.6%70.8%73.3%75.4%77.8%
Operating Margin17.5%11.4%13.6%-11.1%16.8%17.6%17.6%17.1%5.9%23.9%
EBITDA Margin22.3%15.8%18.0%-6.4%20.7%19.6%20.9%20.5%7.5%26.6%
Net Margin13.2%6.8%10.7%-13.1%14.5%12.8%14.1%12.2%2.6%19.1%
FCF Margin12.7%12.4%8.6%4.1%21.0%11.4%11.9%17.2%15.6%22.6%
Effective Tax Rate22.1%33.4%16.0%-4.5%7.0%18.2%18.1%19.4%15.2%17.9%

Per-Share Data (10y)

Year2017201820192020202120222023202420252026
FCF Per Share$2.02$2.53$1.78$0.72$4.27$2.81$3.28$4.92$4.92$8.62
Dividends Per Share$1.34$1.33$1.34$1.37$0.00$0.98$1.17$1.38$1.35$1.55
Shares Outstanding (Basic)$280.6M$285.4M$289.4M$278.6M$277.9M$264.3M$236.4M$229.2M$216.8M$204.0M

What to look at in Consumer Cyclical companies

Profitability

Return on Equity220.73%
Return on Invested Capital29.36%
Return on Assets22.83%
Gross Margin77.82%
Operating Margin23.92%
Net Margin19.09%

Financial Health

Debt / Equity5.71
Current Ratio1.75
Piotroski F-Score8
Altman Z-Score4.67

Key Ratios (10y)

Year2017201820192020202120222023202420252026
P/E22.4433.6014.10-5.6814.499.4210.8111.79102.4819.49
P/B4.434.112.581.633.713.534.443.3222.0243.03
P/S2.962.271.500.752.101.211.521.442.693.72
Gross Margin68.6%65.5%67.3%65.3%71.0%69.6%70.8%73.3%75.4%77.8%
Operating Margin17.5%11.4%13.6%-11.1%16.8%17.6%17.6%17.1%5.9%23.9%
Net Margin13.2%6.8%10.7%-13.1%14.5%12.8%14.1%12.2%2.6%19.1%

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