Quarterly report [Sections 13 or 15(d)]

REPORTABLE SEGMENT INFORMATION (Tables)

v3.26.1
REPORTABLE SEGMENT INFORMATION (Tables)
3 Months Ended
Jun. 27, 2026
Segment Reporting [Abstract]  
Schedule of Financial Information for Reportable Segments
Financial information for VF’s segments is as follows:
Three Months Ended June 2026
(In thousands) Outdoor Active Total
Reportable segment revenues $ 856,979  $ 667,303  $ 1,524,282 
“All Other” revenues
145,097 
Total revenues 1,669,379 
Less:
Cost of goods sold 405,872  278,616 
Marketing expenses 83,980  56,090 
Other SG&A expenses 409,309  285,264 
Other segment items (a)
564  76 
Segment profit (loss) (41,618) 47,409  5,791 
Corporate and other expenses (72,628)
Interest expense, net (24,611)
“All Other” loss
(15,444)
Loss before income taxes $ (106,892)
(a)For each reportable segment, 'Other segment items' include certain foreign currency and hedging gains and losses and other miscellaneous non-operating income and expenses, which are reported in the other income (expense), net line item in the Consolidated Statement of Operations.
Three Months Ended June 2025
(In thousands) Outdoor Active Total
Reportable segment revenues $ 812,466  $ 699,687  $ 1,512,153 
“All Other” revenues
248,513 
Total revenues 1,760,666 
Less:
Cost of goods sold 386,077  298,769 
Marketing expenses 71,591  53,117 
Other SG&A expenses 398,553  291,280 
Other segment items (a)
1,485  317 
Segment profit (loss) (42,270) 56,838  14,568 
Corporate and other expenses (104,560)
Interest expense, net (41,120)
“All Other” profit
4,519 
Loss before income taxes $ (126,593)
(a)For each reportable segment, 'Other segment items' include certain foreign currency and hedging gains and losses and other miscellaneous non-operating income and expenses, which are reported in the other income (expense), net line item in the Consolidated Statement of Operations.
Schedule of Reconciliation of Assets from Segment to Consolidated
(In thousands) June 2026 March 2026 June 2025
Segment assets:
Outdoor $ 1,874,318  $ 1,634,714  $ 1,791,623 
Active 877,531  800,316  983,790 
All Other 318,555  306,730  522,127 
Corporate and other 44,345  57,471  10,161 
Total segment assets 3,114,749  2,799,231  3,307,701 
Cash and cash equivalents 670,063  823,943  642,386 
Property, plant and equipment, net 674,539  674,508  720,785 
Goodwill and intangible assets, net 2,049,485  2,055,247  2,344,578 
Operating lease right-of-use assets 1,307,325  1,320,733  1,319,142 
Other assets 1,648,221  1,616,515  1,815,905 
Consolidated assets $ 9,464,382  $ 9,290,177  $ 10,150,497 
Schedule of Reconciliation of Capital Expenditures and Depreciation and Amortization Expense
Three Months Ended June
(In thousands) 2026 2025
Depreciation and amortization:
Outdoor $ 27,231  $ 25,974 
Active 12,628  13,378 
All Other 2,509  4,942 
Corporate and other 15,418  20,068 
$ 57,786  $ 64,362