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V.F. Corporation VFC Balance Sheet Statement

TTM Q4 '26TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25
$823.94M+91.0%$1.48B+7.9%$435.5M-15.4%$648.33M+1.3%$431.48M-36.3%
$1.43B+8.0%$1.42B+5.4%$1.88B+3.4%$1.17B+11.7%$1.32B+4.6%
$1.37B-15.7%$1.66B-7.6%$1.86B-10.9%$2.14B+3.7%$1.63B-4.2%
$116K0.0%$116K+16.0%$111K-4.3%$93K-19.8%
$39.75M+3.8%$39.93M+9.9%$39.79M+7.9%$38.81M-1.8%
$1.62B-7.8%$1.82B-11.3%$2.1B+3.6%$1.59B-4.2%
$386.34M-5.3%$441.06M-14.2%$425.75M-9.9%$425.43M-18.1%$408.03M-17.3%
$2M+13.7%$2.36M-46.4%$6.37M+99.7%$2.45M+2.3%
$11.76M-85.8%$9.41M+15.3%$716K-97.9%$20.78M-2.1%
$4.01B+5.9%$4.98B-0.8%$5.12B-20.7%$4.38B+0.6%$3.79B-10.4%
$674.51M-6.4%$687.5M-4.3%$688.48M-8.9%$720.79M-5.1%$720.88M-8.6%
$1.32B+4.6%$1.36B+7.6%$1.35B+2.6%$1.32B+4.6%$1.26B+0.6%
$587.71M-2.6%$591.75M-6.7%$620.62M-4.8%$620.83M-3.5%$603.39M-6.5%
$1.47B-14.2%$1.47B-13.6%$1.48B-16.8%$1.72B-2.7%$1.71B-3.7%
$1.23B-4.9%$1.77B+3.1%$1.82B+4.7%$1.82B+5.9%$1.29B+6.9%
$9.29B-0.9%$10.43B-1.2%$10.64B-12.9%$10.15B-12.1%$9.38B-19.2%
$826.35M+4.7%$1.01B+0.6%$1.06B-6.5%$1.17B+2.7%$789.57M+0.1%
$1.01B-3.4%$1.6B+10.2%$1.54B+3.7%$1.29B+8.1%$1.05B-20.9%
$10.14M-14.9%$10.52M-17.8%$502.15M+8.4%$392.92M+49.0%$11.92M-95.5%
$10.14M-14.9%$10.52M-17.8%$502.15M+8.4%$392.92M+49.0%$11.92M-95.5%
$71.13M+3.4%$66.71M0.0%$76.16M+12.1%$78.42M+18.6%
$9.64M+8.0%$12.34M+48.9%$17.94M+168%$13.59M+20.0%
$2.18B-19.2%$3.22B-0.3%$3.76B-24.6%$3.44B-22.0%$2.7B-22.0%
$3.52B-11.3%$4.15B-10.6%$4.13B-28.6%$4.15B-27.1%$3.97B-30.5%
$1.12B+3.8%$1.18B+7.2%$1.16B+2.1%$1.14B+3.2%$1.08B-0.7%
$619.38M-9.9%$690.12M+4.7%$702.49M+5.5%$722.49M+14.0%$687.49M+8.1%
$7.44B-5.7%$8.65B-2.6%$9.17B-15.2%$8.86B-12.8%$7.89B-20.7%
$0$0$0$0$0
$97.88M+0.5%$1.2B0.0%$1.2B0.0%$1.2B0.0%$97.42M+0.2%
$3.49B-1.5%$3.5B-1.6%$3.51B-1.5%$3.53B-1.5%$3.54B-1.6%
-$928.83M+20.8%-$808.22M+20.8%-$1.11B+6.6%-$1.3B-4.8%-$1.17B-20.4%
-$807.05M+17.5%-$1B-5.2%-$1.02B+4.3%-$1.04B+1.5%-$977.74M+8.1%
0000
$1.85B+24.4%$1.78B+6.2%$1.48B+5.1%$1.29B-6.9%$1.49B-10.3%
$9.29B-0.9%$10.43B-1.2%$10.64B-12.9%$10.15B-12.1%$9.38B-19.2%
$26.91M-22.4%$27.51M-22.9%$35.8M+25.4%$31.85M+20.8%
$26.91M-22.4%$27.51M-22.9%$35.8M+25.4%$31.85M+20.8%
$1.62B-7.8%$1.82B-11.3%$2.1B+3.6%$1.59B-4.2%
$386.34M-5.3%$441.06M-14.2%$425.75M-9.9%$425.43M-18.1%$408.03M-17.3%
$21.4M-76.7%$21.75M+32.2%$18.66M-54.9%$34.37M+5.6%
$1.23B-4.9%$1.33B+10.5%$1.39B+10.1%$1.39B+16.4%$1.29B+6.9%
$2.07B$2.1B$2.34B$2.31B
$1.43B-13.2%$1.42B$1.66B$1.65B
$1.43B-13.2%$1.42B$1.66B$1.65B
$1.32B+4.6%$1.36B+7.6%$1.35B+2.6%$1.32B+4.6%$1.26B+0.6%
$1.47B-14.2%$1.47B-13.6%$1.48B-16.8%$1.72B-2.7%$1.71B-3.7%
$2.07B$2.1B$2.34B$2.31B
$1.32B+4.6%$1.36B+7.6%$1.35B+2.6%$1.32B+4.6%$1.26B+0.6%
$1.77B$1.82B$1.82B$1.7B
$1.23B-4.9%$1.33B+10.5%$1.39B+10.1%$1.39B+16.4%$1.29B+6.9%
$674.51M-6.4%$687.5M-4.3%$688.48M-8.9%$720.79M-5.1%$720.88M-8.6%
$1.32B+4.6%$1.36B+7.6%$1.35B+2.6%$1.32B+4.6%$1.26B+0.6%
$1.23B-4.9%$1.33B+10.5%$1.39B+10.1%$1.39B+16.4%$1.29B+6.9%
$1.01B-3.4%$1.6B+10.2%$1.54B+3.7%$1.29B+8.1%$1.05B-20.9%
$1.01B-3.4%$1.6B+10.2%$1.54B+3.7%$1.29B+8.1%$1.05B-20.9%
$0-100%$588.2M-21.6%$583.94M-66.6%$586.01M-66.5%$540.58M-46.0%
$9.64M+8.0%$12.34M+48.9%$17.94M+168%$13.59M+20.0%
$20.28M-63.1%$36.06M$59.28M$65.59M
$3.52B+2.8%$3.56B-8.4%$3.54B-12.0%$3.56B-9.6%$3.43B-27.1%
$3.9B-9.6%$3.84B$3.68B$3.63B
$4.98B-7.4%$5.34B-7.2%$5.79B-21.5%$5.68B-19.6%$5.38B-27.8%
$0.250.0%$0.250.0%$0.250.0%$0.250.0%
25M0.0%25M0.0%25M0.0%25M0.0%
0000
$3.49B-1.5%$3.5B-1.6%$3.51B-1.5%$3.53B-1.5%$3.54B-1.6%
$97.88M+0.5%$97.77M+0.4%$97.68M+0.4%$97.64M+0.4%$97.42M+0.2%
$0$0$0$0$0
$1.000.0%$1.000.0%$1.000.0%$1.000.0%
$87.58M+226%$94.37M+72.9%$130.03M+371%$30M-25.4%
$77.95M+335%$82.03M+77.2%$112.09M+437%$16.41M-43.2%
$26.91M-22.4%$27.51M-22.9%$35.8M+25.4%$31.85M+20.8%
$0.250.0%$0.250.0%$0.250.0%$0.250.0%
$1.2B0.0%$1.2B0.0%$1.2B0.0%$1.2B0.0%
$391.08M+0.4%$390.71M+0.4%$390.56M+0.4%$389.7M+0.2%
$71.13M+3.4%$66.71M0.0%$76.16M+12.1%$78.42M+18.6%
$3.9B-9.6%$3.84B$3.68B$3.63B
$9.64M+8.0%$12.34M+48.9%$17.94M+168%$13.59M+20.0%
$21.4M-76.7%$21.75M+32.2%$18.66M-54.9%$34.37M+5.6%
$87.58M+226%$94.37M+72.9%$130.03M+371%$30M-25.4%
$77.95M+335%$82.03M+77.2%$112.09M+437%$16.41M-43.2%
$9.64M+8.0%$12.34M+48.9%$17.94M+168%$13.59M+20.0%
$3.52B+2.8%$3.56B-8.4%$3.54B-12.0%$3.56B-9.6%$3.43B-27.1%
$0-100%$588.2M-21.6%$583.94M-66.6%$586.01M-66.5%$540.58M-46.0%
$10.0%$10.0%$10.0%$10.0%
$25M0.0%$25M0.0%$25M0.0%$25M0.0%
$0$0$0$0
$20.28M-63.1%$36.06M$59.28M$65.59M
$0$0$0$0

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Questions, answered.

What are V.F. Corporation's total assets?
V.F. Corporation (VFC) holds $9.3B in total assets, down 0.9% year over year.
How much debt does V.F. Corporation have?
V.F. Corporation carries $5.0B in total debt against $1.8B of shareholders' equity, a debt-to-equity ratio of 2.69.
How much cash does V.F. Corporation have?
V.F. Corporation holds $823.9M in cash and equivalents.
Can V.F. Corporation cover its short-term obligations?
Its current ratio is 1.84 — current assets exceed current liabilities.
Where does V.F. Corporation's balance sheet data come from?
Every line is extracted from V.F. Corporation's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.