V.F. Corporation

NYSE:VFC

11.88 (USD) • At close April 30, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst -968.882118.5841,216.269354.906679.4491,259.792252.7931,074.1061,231.5931,047.5051,210.1191,086.138890.393573.512458.458602.847591.621533.516506.702474.702397.933-154.543137.83260.334366.2388.3350.9299.5157.3274.5246.4237161.381.1176
Afschrijvingen & Amortisatie 319.204262.324266.935269.081267.619255.72971.532281.577272.075274.883253.273237.956198.735173.396170.452166.171141.227128.846121.434140.717104.463109.674155.602159.606167.4161.4156.3160.5167.7158.5125.8108.39197.991
Uitgestelde Inkomstenbelasting -395.1-53.554-157.489-39.812-74.499-47.9830.303-71.6257.088-78.064-12.37-20.797-10.867-92.06854.67423.654-3.748-24.463-12.13316.17230.96170.849-14.75-8.03300000000000
Aandelen Gebaseerde Vergoedingen 67.33260.35491.35870.82368.20584.28525.4467.76273.42104.31387.11892.81476.73963.53836.03831.5920000000000000000000
Verandering in Werkkapitaal 168.177-2,233.007-918.62120.64-985.4768.832-608.281-146.309-292.63525.017-34.059-34.761-165.1390.396228.146-150.59-4.225-200.64-109.763.445-6.86749.291164.056-110.9739.9-118.2-78.3179.3-52.541.2-65.5-206.922.291.8-125.4
Vorderingen 324.629-147.331-202.52670.471-5.947-310.89838.68647.102-124.2480.854-155.053-111.571-154.487-12.95475.44952.679-49.673-113.363-11.106-20.30147.5026.95390.1363.678-12.4-48.8-1025.3-2-45.5-24.1-95-18.316.2-49.1
Voorraden 508.584-890.173-380.851314.315-140.744-58.7-156.292-37.21-175.098-130.54-47.2487.62-7.509-114.334209.439-38.275-24.113-33.193-80.42851.4561.59643.253170.554-70.40843.7-52.4-55.7110.8-31.972.1-41.8-160.5-55.377.2-85.6
Crediteuren -106.048377.433105.35720.106-73.67468.082-187.553-9.55314.22569.80775.073-74.294-32.898140.47-69.56-67.2140000000000000000000
Overig Werkkapitaal -558.988-1,572.936-440.6-284.252-765.105370.348-303.122-146.648-7.51484.89693.16163.48429.76477.21412.818-97.7869.561-54.084-18.16632.296-115.965-0.915-96.634-44.243-21.4-17-12.643.2-18.614.60.448.695.8-1.69.3
Overige Niet-Contante Posten 1,823.851,189.504365.835537.587919.22343.56814.99275.057-87.925388.4121.96-86.3591.501192.50825.7174.72795.70153.49455.04331.915.797570.313157.818133.447-120.11.225.872.251.25.2-12.9-15.312.713.631.2
Kasstroom uit Operationele Activiteiten 1,014.581-655.795864.2881,313.225874.5271,664.223-243.2231,480.5681,203.6161,762.0661,506.0411,2751,081.3711,001.282973.485678.401820.576490.753561.346726.936542.287645.584600.556434.381423.4432.7454.7711.5323.7479.4293.8123.1287.2284.4172.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -210.985-261.251-328.32-274.2-333.836-269.002-73.663-220.066-317.784-302.02-325.142-282.83-20.102-125.25-95.594-134.808-120.23-136.134-120.47-81.41-86.619-64.503-81.603-125.224-306.7-489-170.3-163-167.2-627.7-227.1-341.1-171.6-123.8-125.3
Netto Overnames 00620.688-2,009.1510109.8810115.98300070.769-2,207.065-38.29-212.339-92.84-699.554-34.634-205.171-655.089-578.038-1.342-5.057-308.06200000000000
Aankoop van Beleggingen 000-8000000000000000000000000000000000
Verkoop/verval van Beleggingen 00598.8062000000000000000000000000000000000
Overige Investeringsactiviteiten 38.72773.19812.561-12.26731.789-61.51117.673-8.331-5.038-27.235-25.131-8.23-232.866-16.94-8.94311.86213.7224.02111.0984.2965.13821.265-7.456-9.953-13.1-16.9-13.536.94.21.1107.88.610.519.7-22.5
Kasstroom uit Investeringsactiviteiten -172.258-188.053903.735-2,895.618-302.047-220.632-55.99-112.414-322.822-329.255-350.273-220.291-2,460.033-180.48-316.876-215.786-806.062-166.747-314.543-732.203-659.519-44.58-94.116-443.239-319.8-505.9-183.8-126.1-163-626.6-119.3-332.5-161.1-104.1-147.8
Financieringsactiviteiten:
Schuldaflossingen -653.0531,233.318-179.7961,776.6621,004.138-870.441794.424517.472428.2870.001-395.84-271.7861,146.536-212.804-14.261-71.368460.872-94.053-187.788-22.55245.847-318.15-176.152246.086143.5213.67.5-309.62.9159.2-271.715621-65.2409.5
Uitgifte van Gewone Aandelen 0036.65454.438155.39199.29644.01748.91830.87134.86948.02962.77134.012137.73262.5964.97269.539119.67599.974106.61332.63139.75344.6321.31725.345.76567.800232.10002.6
Terugkoop van Gewone Aandelen -2.846-2.794-350.0040-1,000.007-150.676-250.282-1,000.468-732.623-727.795-282.024-307.282-7.42-411.838-111.974-149.729-350-118.582-229.0030-61.4-124.623-146.592-105.723-149.1-147.4-391.7-61.5-86.3-27.90-69.60-30-395.2
Uitgekeerde Dividenden -303.14-702.846-773.205-756.784-748.663-767.061-181.373-635.994-565.275-478.933-402.136-333.229-285.722-264.281-261.682-255.235-246.634-216.529-124.116-117.731-111.258-108.773-106.864-104.92-104.3-101.7-100.1-97-92-88.2-82.80-62.7-61.1-57.3
Overige Financieringsactiviteiten -0.576-63.772-2.496-21.438898.874-2.1230-6.807-1.475048.1447.012-75.1618.3595.98421.59915.57124.06417.44-0.73-0.51-8.297.1934.4931.32.11.91.53912.313.247.115.91.8-35.1
Kasstroom uit Financieringsactiviteiten -959.615463.906-1,268.8471,052.878309.732-1,591.005406.786-1,076.879-840.215-1,171.858-983.831-802.515912.245-742.832-319.343-389.761-50.652-285.425-423.493-34.398105.31-520.083-377.78341.253-83.312.3-417.4-398.8-136.455.4-109.2133.5-25.8-154.5-75.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -22.069-80.822-73.299-30.603-27.47614.81112.22-6.645-66.68-65.4617.0054.03915.406-17.2812.439-12.87314.7778.086-12.2610.38730.3413.498-0.658-2.298-3.70000000000
Netto Kasstroomverandering -139.361-460.764425.877-560.118854.736-132.603119.793284.63-26.101195.492178.942256.233-451.01160.69349.70559.981-21.36146.667-188.95-29.27818.41894.419127.99930.09716.7-124.1-270.6-84.1-59.7-151.6-86.3-162.3-62-36.2-86.7
Kaspositie aan het Einde van de Periode 676.957816.3181,277.082851.2051,411.323556.587689.191,231.026946.396971.895776.403597.461341.228792.239731.549381.844321.863343.224296.557485.507514.785496.367332.049118.89179.90000000000