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VFC VF Corp

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  • 18.120
  • +0.330+1.85%
Trading Aug 28 11:11 ET
7.05BMarket Cap-6019P/E (TTM)

VF Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-20.97%637.42M
-17.21%674.61M
-17.21%674.61M
72.93%988.01M
-9.75%498.91M
52.74%806.53M
-36.13%814.89M
-36.13%814.89M
-57.17%571.35M
-59.36%552.81M
-Cash and cash equivalents
-20.97%637.42M
-17.21%674.61M
-17.21%674.61M
72.93%988.01M
-9.75%498.91M
52.74%806.53M
-36.13%814.89M
-36.13%814.89M
-57.17%571.35M
-59.36%552.81M
Receivables
-13.07%1.06B
-20.89%1.27B
-20.89%1.27B
-16.03%1.31B
3.01%1.89B
-2.84%1.21B
9.70%1.61B
9.70%1.61B
4.62%1.56B
2.64%1.83B
-Accounts receivable
-13.07%1.06B
-20.89%1.27B
-20.89%1.27B
-16.03%1.31B
3.01%1.89B
-2.84%1.21B
9.70%1.61B
9.70%1.61B
4.62%1.56B
2.64%1.83B
Inventory
-24.27%2.11B
-22.96%1.77B
-22.96%1.77B
-17.12%2.15B
-9.78%2.48B
19.03%2.79B
61.62%2.29B
61.62%2.29B
101.36%2.59B
87.74%2.75B
Other current assets
34.44%545.54M
17.77%512.01M
17.77%512.01M
-5.86%485.56M
-32.15%373.8M
-17.62%405.78M
2.14%434.74M
2.14%434.74M
6.62%515.76M
54.03%550.94M
Total current assets
-16.58%4.35B
-17.97%4.23B
-17.97%4.23B
-5.87%4.94B
-7.82%5.24B
13.05%5.21B
12.31%5.15B
12.31%5.15B
13.98%5.24B
14.45%5.69B
Non current assets
Net PPE
-7.23%2.13B
-6.93%2.15B
-6.93%2.15B
0.09%2.23B
1.04%2.22B
2.58%2.29B
1.13%2.31B
1.13%2.31B
-5.38%2.23B
-7.95%2.2B
-Gross PPE
-7.23%2.13B
-2.98%3.29B
-2.98%3.29B
0.09%2.23B
1.04%2.22B
2.58%2.29B
0.40%3.39B
0.40%3.39B
-5.38%2.23B
-7.95%2.2B
-Accumulated depreciation
----
-5.53%-1.13B
-5.53%-1.13B
----
----
----
1.13%-1.08B
1.13%-1.08B
----
----
Goodwill and other intangible assets
-14.78%3.93B
-11.67%4.39B
-11.67%4.39B
-11.61%4.36B
-5.88%4.59B
-13.65%4.61B
-12.97%4.97B
-12.97%4.97B
-8.98%4.93B
-10.22%4.88B
-Goodwill
-31.05%1.36B
-26.18%1.46B
-26.18%1.46B
-19.55%1.72B
-6.73%1.96B
-16.36%1.97B
-17.35%1.98B
-17.35%1.98B
-11.08%2.14B
-12.96%2.1B
-Other intangible assets
-2.62%2.57B
-2.08%2.93B
-2.08%2.93B
-5.51%2.64B
-5.23%2.63B
-11.50%2.64B
-9.81%2.99B
-9.81%2.99B
-7.31%2.79B
-8.03%2.78B
Investments and advances
----
-14.58%126.39M
-14.58%126.39M
----
----
----
-17.88%147.97M
-17.88%147.97M
----
----
Non current accounts receivable
----
-95.72%42.99M
-95.72%42.99M
----
----
----
796.64%1B
796.64%1B
----
----
Financial assets
----
147.24%3.85M
147.24%3.85M
----
----
----
-78.20%1.56M
-78.20%1.56M
----
----
Non current deferred assets
----
309.79%389.78M
309.79%389.78M
----
----
----
-8.63%95.12M
-8.63%95.12M
----
----
Non current prepaid assets
----
-13.54%36.96M
-13.54%36.96M
----
----
----
-7.57%42.75M
-7.57%42.75M
----
----
Defined pension benefit
----
-4.79%175.11M
-4.79%175.11M
----
----
----
-13.98%183.93M
-13.98%183.93M
----
----
Other non current assets
-41.11%1.13B
-13.86%66.83M
-13.86%66.83M
-42.82%1.09B
6.56%1.08B
88.34%1.92B
-14.71%77.58M
-14.71%77.58M
64.20%1.91B
-7.11%1.02B
Total non current assets
-18.55%7.19B
-16.43%7.39B
-16.43%7.39B
-15.31%7.68B
-2.43%7.9B
2.68%8.83B
0.96%8.84B
0.96%8.84B
1.50%9.07B
-9.23%8.1B
Total assets
-17.82%11.54B
-16.99%11.61B
-16.99%11.61B
-11.85%12.62B
-4.66%13.14B
6.30%14.04B
4.86%13.99B
4.86%13.99B
5.74%14.31B
-0.76%13.78B
Liabilities
Current liabilities
Payables
-9.71%1.16B
-23.30%1.08B
-23.30%1.08B
7.56%974.84M
-2.89%992.91M
25.38%1.28B
22.57%1.4B
22.57%1.4B
61.93%906.34M
91.33%1.02B
-accounts payable
-9.71%1.16B
-12.73%817.13M
-12.73%817.13M
7.56%974.84M
-2.89%992.91M
25.38%1.28B
66.31%936.32M
66.31%936.32M
61.93%906.34M
91.33%1.02B
-Total tax payable
----
-44.54%258.51M
-44.54%258.51M
----
----
----
-19.80%466.09M
-19.80%466.09M
----
----
Current accrued expenses
-19.97%1.24B
-3.25%553.42M
-3.25%553.42M
-14.12%1.57B
-15.07%1.53B
-4.09%1.55B
-8.62%572.03M
-8.62%572.03M
-11.16%1.83B
-2.18%1.8B
Current debt and capital lease obligation
103.93%2.01B
24.14%1.57B
24.14%1.57B
-19.83%1.45B
-59.43%1.02B
19.17%987.26M
6.51%1.27B
6.51%1.27B
198.60%1.81B
149.69%2.52B
-Current debt
103.93%2.01B
35.14%1.26B
35.14%1.26B
-19.83%1.45B
-59.43%1.02B
19.17%987.26M
11.87%935.8M
11.87%935.8M
198.60%1.81B
149.69%2.52B
-Current capital lease obligation
----
-6.86%309.44M
-6.86%309.44M
----
----
----
-6.14%332.22M
-6.14%332.22M
----
----
Current deferred liabilities
----
-4.02%77.89M
-4.02%77.89M
----
----
----
-5.38%81.15M
-5.38%81.15M
----
----
Other current liabilities
----
-40.70%35.58M
-40.70%35.58M
----
----
----
147.23%60M
147.23%60M
----
----
Current liabilities
15.53%4.41B
-2.50%3.46B
-2.50%3.46B
-12.07%4B
-33.69%3.54B
10.17%3.82B
6.95%3.55B
6.95%3.55B
41.02%4.55B
57.96%5.35B
Non current liabilities
Long term debt and capital lease obligation
-25.74%5.11B
-14.87%5.86B
-14.87%5.86B
3.57%5.89B
49.02%6.78B
25.64%6.88B
22.73%6.88B
22.73%6.88B
-0.93%5.69B
-21.98%4.55B
-Long term debt
-31.14%3.94B
-17.66%4.7B
-17.66%4.7B
2.98%4.76B
60.42%5.66B
28.06%5.72B
24.58%5.71B
24.58%5.71B
-0.62%4.62B
-24.70%3.53B
-Long term capital lease obligation
1.00%1.17B
-1.29%1.16B
-1.29%1.16B
6.08%1.13B
9.70%1.12B
14.86%1.16B
14.47%1.17B
14.47%1.17B
-2.22%1.07B
-10.85%1.02B
Non current deferred liabilities
----
-50.70%91.18M
-50.70%91.18M
----
----
----
-30.14%184.97M
-30.14%184.97M
----
----
Non current accrued expenses
----
17.66%48.37M
17.66%48.37M
----
----
----
-1.52%41.11M
-1.52%41.11M
----
----
Employee benefits
----
7.97%78.63M
7.97%78.63M
----
----
----
-34.49%72.83M
-34.49%72.83M
----
----
Derivative product liabilities
----
-63.22%4.66M
-63.22%4.66M
----
----
----
266.26%12.66M
266.26%12.66M
----
----
Other non current liabilities
0.63%636.4M
-9.15%59.54M
-9.15%59.54M
-18.42%621M
-24.24%609.09M
-31.30%632.4M
-10.00%65.53M
-10.00%65.53M
-17.22%761.25M
-25.32%803.96M
Total non current liabilities
-23.52%5.74B
-13.76%6.5B
-13.76%6.5B
0.97%6.51B
38.02%7.39B
17.44%7.51B
15.97%7.53B
15.97%7.53B
-3.18%6.45B
-22.50%5.35B
Total liabilities
-10.36%10.15B
-10.16%9.95B
-10.16%9.95B
-4.42%10.51B
2.19%10.93B
14.89%11.33B
12.92%11.08B
12.92%11.08B
11.24%10.99B
3.96%10.7B
Shareholders'equity
Share capital
0.09%97.3M
0.04%97.21M
0.04%97.21M
0.04%97.21M
0.08%97.22M
0.09%97.21M
0.09%97.17M
0.09%97.17M
-0.06%97.17M
-1.07%97.14M
-common stock
0.09%97.3M
0.04%97.21M
0.04%97.21M
0.04%97.21M
0.08%97.22M
0.09%97.21M
0.09%97.17M
0.09%97.17M
-0.06%97.17M
-1.07%97.14M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-1,936.34%-1.24B
-1,807.22%-974.58M
-1,807.22%-974.58M
-244.21%-556.29M
-327.46%-513.5M
-132.15%-60.69M
-87.13%57.09M
-87.13%57.09M
-36.63%385.75M
-120.48%-120.13M
Paid-in capital
-4.11%3.58B
-4.66%3.6B
-4.66%3.6B
-3.89%3.62B
-7.96%3.64B
-5.27%3.73B
-3.59%3.78B
-3.59%3.78B
-3.05%3.77B
2.54%3.95B
Gains losses not affecting retained earnings
-0.01%-1.05B
-4.40%-1.06B
-4.40%-1.06B
-13.10%-1.05B
-19.85%-1.01B
-20.42%-1.05B
-10.03%-1.02B
-10.03%-1.02B
0.84%-929.59M
10.27%-844.17M
Total stockholders'equity
-48.91%1.39B
-43.03%1.66B
-43.03%1.66B
-36.46%2.11B
-28.38%2.21B
-18.96%2.72B
-17.55%2.91B
-17.55%2.91B
-9.14%3.32B
-14.25%3.09B
Total equity
-48.91%1.39B
-43.03%1.66B
-43.03%1.66B
-36.46%2.11B
-28.38%2.21B
-18.96%2.72B
-17.55%2.91B
-17.55%2.91B
-9.14%3.32B
-14.25%3.09B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -20.97%637.42M-17.21%674.61M-17.21%674.61M72.93%988.01M-9.75%498.91M52.74%806.53M-36.13%814.89M-36.13%814.89M-57.17%571.35M-59.36%552.81M
-Cash and cash equivalents -20.97%637.42M-17.21%674.61M-17.21%674.61M72.93%988.01M-9.75%498.91M52.74%806.53M-36.13%814.89M-36.13%814.89M-57.17%571.35M-59.36%552.81M
Receivables -13.07%1.06B-20.89%1.27B-20.89%1.27B-16.03%1.31B3.01%1.89B-2.84%1.21B9.70%1.61B9.70%1.61B4.62%1.56B2.64%1.83B
-Accounts receivable -13.07%1.06B-20.89%1.27B-20.89%1.27B-16.03%1.31B3.01%1.89B-2.84%1.21B9.70%1.61B9.70%1.61B4.62%1.56B2.64%1.83B
Inventory -24.27%2.11B-22.96%1.77B-22.96%1.77B-17.12%2.15B-9.78%2.48B19.03%2.79B61.62%2.29B61.62%2.29B101.36%2.59B87.74%2.75B
Other current assets 34.44%545.54M17.77%512.01M17.77%512.01M-5.86%485.56M-32.15%373.8M-17.62%405.78M2.14%434.74M2.14%434.74M6.62%515.76M54.03%550.94M
Total current assets -16.58%4.35B-17.97%4.23B-17.97%4.23B-5.87%4.94B-7.82%5.24B13.05%5.21B12.31%5.15B12.31%5.15B13.98%5.24B14.45%5.69B
Non current assets
Net PPE -7.23%2.13B-6.93%2.15B-6.93%2.15B0.09%2.23B1.04%2.22B2.58%2.29B1.13%2.31B1.13%2.31B-5.38%2.23B-7.95%2.2B
-Gross PPE -7.23%2.13B-2.98%3.29B-2.98%3.29B0.09%2.23B1.04%2.22B2.58%2.29B0.40%3.39B0.40%3.39B-5.38%2.23B-7.95%2.2B
-Accumulated depreciation -----5.53%-1.13B-5.53%-1.13B------------1.13%-1.08B1.13%-1.08B--------
Goodwill and other intangible assets -14.78%3.93B-11.67%4.39B-11.67%4.39B-11.61%4.36B-5.88%4.59B-13.65%4.61B-12.97%4.97B-12.97%4.97B-8.98%4.93B-10.22%4.88B
-Goodwill -31.05%1.36B-26.18%1.46B-26.18%1.46B-19.55%1.72B-6.73%1.96B-16.36%1.97B-17.35%1.98B-17.35%1.98B-11.08%2.14B-12.96%2.1B
-Other intangible assets -2.62%2.57B-2.08%2.93B-2.08%2.93B-5.51%2.64B-5.23%2.63B-11.50%2.64B-9.81%2.99B-9.81%2.99B-7.31%2.79B-8.03%2.78B
Investments and advances -----14.58%126.39M-14.58%126.39M-------------17.88%147.97M-17.88%147.97M--------
Non current accounts receivable -----95.72%42.99M-95.72%42.99M------------796.64%1B796.64%1B--------
Financial assets ----147.24%3.85M147.24%3.85M-------------78.20%1.56M-78.20%1.56M--------
Non current deferred assets ----309.79%389.78M309.79%389.78M-------------8.63%95.12M-8.63%95.12M--------
Non current prepaid assets -----13.54%36.96M-13.54%36.96M-------------7.57%42.75M-7.57%42.75M--------
Defined pension benefit -----4.79%175.11M-4.79%175.11M-------------13.98%183.93M-13.98%183.93M--------
Other non current assets -41.11%1.13B-13.86%66.83M-13.86%66.83M-42.82%1.09B6.56%1.08B88.34%1.92B-14.71%77.58M-14.71%77.58M64.20%1.91B-7.11%1.02B
Total non current assets -18.55%7.19B-16.43%7.39B-16.43%7.39B-15.31%7.68B-2.43%7.9B2.68%8.83B0.96%8.84B0.96%8.84B1.50%9.07B-9.23%8.1B
Total assets -17.82%11.54B-16.99%11.61B-16.99%11.61B-11.85%12.62B-4.66%13.14B6.30%14.04B4.86%13.99B4.86%13.99B5.74%14.31B-0.76%13.78B
Liabilities
Current liabilities
Payables -9.71%1.16B-23.30%1.08B-23.30%1.08B7.56%974.84M-2.89%992.91M25.38%1.28B22.57%1.4B22.57%1.4B61.93%906.34M91.33%1.02B
-accounts payable -9.71%1.16B-12.73%817.13M-12.73%817.13M7.56%974.84M-2.89%992.91M25.38%1.28B66.31%936.32M66.31%936.32M61.93%906.34M91.33%1.02B
-Total tax payable -----44.54%258.51M-44.54%258.51M-------------19.80%466.09M-19.80%466.09M--------
Current accrued expenses -19.97%1.24B-3.25%553.42M-3.25%553.42M-14.12%1.57B-15.07%1.53B-4.09%1.55B-8.62%572.03M-8.62%572.03M-11.16%1.83B-2.18%1.8B
Current debt and capital lease obligation 103.93%2.01B24.14%1.57B24.14%1.57B-19.83%1.45B-59.43%1.02B19.17%987.26M6.51%1.27B6.51%1.27B198.60%1.81B149.69%2.52B
-Current debt 103.93%2.01B35.14%1.26B35.14%1.26B-19.83%1.45B-59.43%1.02B19.17%987.26M11.87%935.8M11.87%935.8M198.60%1.81B149.69%2.52B
-Current capital lease obligation -----6.86%309.44M-6.86%309.44M-------------6.14%332.22M-6.14%332.22M--------
Current deferred liabilities -----4.02%77.89M-4.02%77.89M-------------5.38%81.15M-5.38%81.15M--------
Other current liabilities -----40.70%35.58M-40.70%35.58M------------147.23%60M147.23%60M--------
Current liabilities 15.53%4.41B-2.50%3.46B-2.50%3.46B-12.07%4B-33.69%3.54B10.17%3.82B6.95%3.55B6.95%3.55B41.02%4.55B57.96%5.35B
Non current liabilities
Long term debt and capital lease obligation -25.74%5.11B-14.87%5.86B-14.87%5.86B3.57%5.89B49.02%6.78B25.64%6.88B22.73%6.88B22.73%6.88B-0.93%5.69B-21.98%4.55B
-Long term debt -31.14%3.94B-17.66%4.7B-17.66%4.7B2.98%4.76B60.42%5.66B28.06%5.72B24.58%5.71B24.58%5.71B-0.62%4.62B-24.70%3.53B
-Long term capital lease obligation 1.00%1.17B-1.29%1.16B-1.29%1.16B6.08%1.13B9.70%1.12B14.86%1.16B14.47%1.17B14.47%1.17B-2.22%1.07B-10.85%1.02B
Non current deferred liabilities -----50.70%91.18M-50.70%91.18M-------------30.14%184.97M-30.14%184.97M--------
Non current accrued expenses ----17.66%48.37M17.66%48.37M-------------1.52%41.11M-1.52%41.11M--------
Employee benefits ----7.97%78.63M7.97%78.63M-------------34.49%72.83M-34.49%72.83M--------
Derivative product liabilities -----63.22%4.66M-63.22%4.66M------------266.26%12.66M266.26%12.66M--------
Other non current liabilities 0.63%636.4M-9.15%59.54M-9.15%59.54M-18.42%621M-24.24%609.09M-31.30%632.4M-10.00%65.53M-10.00%65.53M-17.22%761.25M-25.32%803.96M
Total non current liabilities -23.52%5.74B-13.76%6.5B-13.76%6.5B0.97%6.51B38.02%7.39B17.44%7.51B15.97%7.53B15.97%7.53B-3.18%6.45B-22.50%5.35B
Total liabilities -10.36%10.15B-10.16%9.95B-10.16%9.95B-4.42%10.51B2.19%10.93B14.89%11.33B12.92%11.08B12.92%11.08B11.24%10.99B3.96%10.7B
Shareholders'equity
Share capital 0.09%97.3M0.04%97.21M0.04%97.21M0.04%97.21M0.08%97.22M0.09%97.21M0.09%97.17M0.09%97.17M-0.06%97.17M-1.07%97.14M
-common stock 0.09%97.3M0.04%97.21M0.04%97.21M0.04%97.21M0.08%97.22M0.09%97.21M0.09%97.17M0.09%97.17M-0.06%97.17M-1.07%97.14M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -1,936.34%-1.24B-1,807.22%-974.58M-1,807.22%-974.58M-244.21%-556.29M-327.46%-513.5M-132.15%-60.69M-87.13%57.09M-87.13%57.09M-36.63%385.75M-120.48%-120.13M
Paid-in capital -4.11%3.58B-4.66%3.6B-4.66%3.6B-3.89%3.62B-7.96%3.64B-5.27%3.73B-3.59%3.78B-3.59%3.78B-3.05%3.77B2.54%3.95B
Gains losses not affecting retained earnings -0.01%-1.05B-4.40%-1.06B-4.40%-1.06B-13.10%-1.05B-19.85%-1.01B-20.42%-1.05B-10.03%-1.02B-10.03%-1.02B0.84%-929.59M10.27%-844.17M
Total stockholders'equity -48.91%1.39B-43.03%1.66B-43.03%1.66B-36.46%2.11B-28.38%2.21B-18.96%2.72B-17.55%2.91B-17.55%2.91B-9.14%3.32B-14.25%3.09B
Total equity -48.91%1.39B-43.03%1.66B-43.03%1.66B-36.46%2.11B-28.38%2.21B-18.96%2.72B-17.55%2.91B-17.55%2.91B-9.14%3.32B-14.25%3.09B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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