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V.F. Corporation VFC Cash Flow Statement

FY'26FY'25FY'24FY'23
-$189.72M+80.4%-$968.88M
$280.53M+8.1%$259.62M-15.6%$307.53M+22.1%$251.93M-5.6%
$76.95M+5.1%$73.25M+26.7%$57.83M
$507.57M$0
$127.21M$0
$9.48M-38.3%$15.38M+37.7%$11.17M+216%$3.53M+593%
-$323.5M
-$521.28M
-$85.68M-$16.08M
$107.97M
-$1.18B
$354.76M+0.8%$351.97M-7.3%$379.72M+2.7%$369.61M-9.9%
$671.27M$1.11B
$114.71M+33.0%$86.27M-36.5%$135.76M-10.7%$151.99M-38.1%
$600.52M-60.1%$1.51B$0$0
$51.1M+28.6%$39.75M-35.3%$61.48M-34.0%$93.14M+12.4%
$1.45B-$206.83M
$140.74M+0.4%$140.17M-53.8%$303.14M-56.9%$702.85M-9.1%
$582.81M-66.7%$1.75B+92.8%$908.2M+81.3%$501.05M-0.6%
$0$6.8M+172%
-$2.32M+99.1%-$252.02M-$323.97M-200%
-$737.78M+65.6%-$2.15B-124%-$959.62M-307%$463.91M+137%
$7.22M
-$245.48M-76.1%-$139.36M
$0-$1.81M
$125.37M$0$0
$127.21M$0
$350.5M-0.9%$353.66M-5.5%$374.06M
$354.76M+0.8%$351.97M-7.3%$379.72M+2.7%$369.61M-9.9%
$39.09M
$188.08M+12,956%-$1.46M+92.1%-$18.59M
$9.48M-38.3%$15.38M+37.7%$11.17M+216%$3.53M+593%
$0-$16.16M
$114.71M+33.0%$86.27M-36.5%$135.76M-10.7%$151.99M-38.1%
$28.49M-20.7%$35.93M+398%-$12.04M-146%$26.25M+34.9%
$51.1M+28.6%$39.75M-35.3%$61.48M-34.0%$93.14M+12.4%
$600.52M$0
$88.23M+222%$27.41M-72.4%$99.48M+206%
$0$6.8M+172%
-$2.32M+99.1%-$252.02M-$323.97M-200%
-$2.73M+4.1%-$2.85M
$556.57M
$556.57M

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Questions, answered.

How much cash does V.F. Corporation generate?
V.F. Corporation (VFC) generated $671.3M in operating cash flow over the trailing twelve months.
What is V.F. Corporation's free cash flow?
After $114.7M of capital expenditures, V.F. Corporation's free cash flow was $556.6M over the trailing twelve months, down 66.8% year over year.
Where does V.F. Corporation's cash flow 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.