Tapestry, Inc. Investing Cash Flow increased by 16.4% to -$36.30M in Q1 2026 compared to the prior quarter. Year-over-year, this metric declined by 16.3%, from -$31.20M to -$36.30M. Over 2 years (FY 2021 to FY 2025), Investing Cash Flow shows an upward trend with a 222.8% CAGR.
A negative value typically signals investment in future growth, while a positive value may indicate divestment or the maturity of a large investment portfolio.
This metric is the net total of all cash inflows and outflows related to investing activities, including capital expendi...
Most mature healthcare companies maintain a negative net investing cash flow due to ongoing R&D and infrastructure investment.
net_cash_from_investing| Q2 '21 | Q3 '21 | Q4 '21 | Q1 '22 | Q3 '22 | Q4 '22 | Q1 '23 | Q3 '23 | Q4 '23 | Q1 '24 | Q2 '24 | Q3 '24 | Q4 '24 | Q1 '25 | Q2 '25 | Q3 '25 | Q4 '25 | Q1 '26 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Value | -$47.40M | -$428.40M | -$27.30M | $118.20M | $146.80M | -$66.20M | -$40.00M | -$22.80M | -$632.20M | $168.90M | -$555.80M | $190.10M | $789.30M | -$31.20M | $0.00 | $69.30M | -$43.40M | -$36.30M |
| QoQ Change | — | -803.8% | +93.6% | +533.0% | +24.2% | -145.1% | +39.6% | +43.0% | <-999% | +126.7% | -429.1% | +134.2% | +315.2% | -104.0% | +100.0% | — | -162.6% | +16.4% |
| YoY Change | — | — | — | — | +134.3% | -142.5% | -133.8% | -115.5% | -855.0% | +522.3% | — | +933.8% | +224.8% | -118.5% | +100.0% | -63.5% | -105.5% | -16.3% |