Tapestry, Inc. (BIT:1TPR)
 97.43
 0.00 (0.00%)
  Last updated: Oct 31, 2025, 9:00 AM CET
Tapestry Cash Flow Statement
Financials in millions USD. Fiscal year is July - June.
 Millions USD. Fiscal year is Jul - Jun.
Fiscal Year  | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | 2016 - 2020 | 
|---|---|---|---|---|---|---|
Period Ending  | Jun '25 Jun 28, 2025 | Jun '24 Jun 29, 2024 | Jul '23 Jul 1, 2023 | Jul '22 Jul 2, 2022 | Jul '21 Jul 3, 2021 | 2016 - 2020 | 
Net Income     | 183.2 | 816 | 936 | 856.3 | 834.2 | Upgrade   | 
Depreciation & Amortization     | 162.9 | 174 | 182.2 | 195.3 | 218.7 | Upgrade   | 
Other Amortization     | 62 | 55 | 42 | 10.7 | - | Upgrade   | 
Loss (Gain) From Sale of Assets     | - | - | - | - | -13.2 | Upgrade   | 
Asset Writedown & Restructuring Costs     | 854.8 | - | - | 14.8 | 50.9 | Upgrade   | 
Stock-Based Compensation     | 87.3 | 85.9 | 78.8 | 72.2 | 64.1 | Upgrade   | 
Provision & Write-off of Bad Debts     | 3.6 | 4.3 | 5.7 | 19.9 | 2.8 | Upgrade   | 
Other Operating Activities     | -97.9 | -47.5 | -10.6 | 61.5 | -64.1 | Upgrade   | 
Change in Accounts Receivable     | 8.8 | -37.3 | 44.1 | -96 | -9.6 | Upgrade   | 
Change in Inventory     | -108.2 | 85.8 | 49.9 | -311.7 | 32.2 | Upgrade   | 
Change in Accounts Payable     | -15 | 49.1 | -98.1 | 86.4 | 307.3 | Upgrade   | 
Change in Other Net Operating Assets     | 75.1 | 70.3 | -254.8 | -56.2 | -99.6 | Upgrade   | 
Operating Cash Flow     | 1,217 | 1,256 | 975.2 | 853.2 | 1,324 | Upgrade   | 
Operating Cash Flow Growth     | -3.11% | 28.75% | 14.30% | -35.54% | 225.23% | Upgrade   | 
Capital Expenditures     | -122.7 | -108.9 | -184.2 | -93.9 | -116 | Upgrade   | 
Sale of Property, Plant & Equipment     | - | - | - | - | 23.9 | Upgrade   | 
Investment in Securities     | 1,037 | -1,037 | 148 | -159.7 | 1.1 | Upgrade   | 
Other Investing Activities     | - | 103.7 | 41.9 | - | - | Upgrade   | 
Investing Cash Flow     | 914 | -1,042 | 5.7 | -253.6 | -91 | Upgrade   | 
Short-Term Debt Issued     | 1,017 | - | - | - | - | Upgrade   | 
Long-Term Debt Issued     | 2,248 | 6,090 | - | 998.5 | - | Upgrade   | 
Total Debt Issued     | 3,265 | 6,090 | - | 998.5 | - | Upgrade   | 
Short-Term Debt Repaid     | -1,000 | - | - | - | -700 | Upgrade   | 
Long-Term Debt Repaid     | -7,163 | -468.8 | -31.2 | -900 | -11.5 | Upgrade   | 
Total Debt Repaid     | -8,163 | -468.8 | -31.2 | -900 | -711.5 | Upgrade   | 
Net Debt Issued (Repaid)     | -4,899 | 5,621 | -31.2 | 98.5 | -711.5 | Upgrade   | 
Issuance of Common Stock     | 156.1 | 27.3 | 38.8 | 74.7 | 61.2 | Upgrade   | 
Repurchase of Common Stock     | -2,055 | -32.7 | -759.1 | -1,631 | -7.5 | Upgrade   | 
Common Dividends Paid     | -299.3 | -321.4 | -283.3 | -264.4 | - | Upgrade   | 
Other Financing Activities     | -78.1 | -79.5 | -1.1 | -56.3 | -8.2 | Upgrade   | 
Financing Cash Flow     | -7,175 | 5,214 | -1,036 | -1,778 | -666 | Upgrade   | 
Foreign Exchange Rate Adjustments     | 26.3 | -12.2 | -8.7 | -39.4 | 14.7 | Upgrade   | 
Miscellaneous Cash Flow Adjustments     | -23.7 | - | - | - | - | Upgrade   | 
Net Cash Flow     | -5,042 | 5,416 | -63.7 | -1,218 | 581.4 | Upgrade   | 
Free Cash Flow     | 1,094 | 1,147 | 791 | 759.3 | 1,208 | Upgrade   | 
Free Cash Flow Growth     | -4.61% | 44.97% | 4.17% | -37.13% | 499.06% | Upgrade   | 
Free Cash Flow Margin     | 15.60% | 17.19% | 11.88% | 11.36% | 21.02% | Upgrade   | 
Free Cash Flow Per Share     | 4.92 | 4.92 | 3.28 | 2.81 | 4.27 | Upgrade   | 
Cash Interest Paid     | 394.9 | 262.8 | 82.6 | 67.8 | 69.7 | Upgrade   | 
Cash Income Tax Paid     | 189.5 | 200.1 | 231.9 | 179.7 | 251.8 | Upgrade   | 
Levered Free Cash Flow     | 852.03 | 926.66 | 619.65 | 674.68 | 1,016 | Upgrade   | 
Unlevered Free Cash Flow     | 1,022 | 1,158 | 665.15 | 717.68 | 1,062 | Upgrade   | 
Change in Working Capital     | -39.3 | 167.9 | -258.9 | -377.5 | 230.3 | Upgrade   | 
Source: S&P Global Market Intelligence. Standard template. Financial Sources.