V.F Financial Ratios for Analysis 2009-2024 | VFC

Fifteen years of historical annual and quarterly financial ratios and margins for V.F (VFC).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024202320222021202020192018201720162015201420132012201120102009
1.221.451.382.171.661.76-1.602.402.142.502.481.991.912.552.40
0.740.660.560.650.440.33-0.370.290.210.200.190.220.290.200.20
3.602.281.541.871.140.65-0.790.470.340.260.240.360.470.250.31
52.0152.5054.5152.6955.2854.65-54.1549.3049.0448.5548.0646.5345.7846.7044.25
-0.332.8213.786.588.8511.59-10.5213.2014.9615.1414.4213.4713.1610.6610.20
-0.332.8213.786.588.8511.59-10.5213.2014.9615.1414.4213.4713.1610.6610.20
11.3614.7119.5014.3418.2214.08-13.3616.4818.7420.7816.6415.6515.2615.5314.25
-2.240.3712.864.946.9310.11-9.3911.6514.2314.4213.6813.0712.319.749.07
-9.271.0211.714.416.4812.27-7.339.7411.208.8210.609.989.397.426.39
0.900.830.890.670.940.99-0.841.131.141.211.111.131.021.191.12
2.842.413.804.123.633.97-2.263.923.604.124.244.303.533.834.20
8.217.218.077.128.027.48-5.909.608.529.318.398.908.449.969.30
44.4850.6145.2451.2845.5248.80-61.8338.0342.8239.2043.4841.0143.2336.6339.24
-58.424.0734.4511.6118.7420.25-7.2121.8422.6023.5819.9121.1919.6814.8512.02
39.86-6.93-65.26-14.8018196.78--428.7458.2473.8696.75111546-194.9447.6450.35
-8.340.859.122.585.658.40-2.6911.0812.6313.4911.7311.289.568.887.08
-15.231.3814.994.0510.5513.57-4.5415.4617.9318.8516.1316.5714.0111.969.65
4.267.499.097.808.6310.83-9.4011.9312.6213.0113.8011.6310.238.948.64
2.61-1.692.203.352.194.160.003.653.512.794.003.372.852.432.272.18
2.31-1.861.662.871.473.62-3.313.092.203.472.762.292.052.021.99

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.300.991.221.231.481.371.451.151.061.331.381.431.471.492.172.923.203.651.662.121.992.051.761.801.541.45--1.471.602.23-2.211.531.57-1.721.651.73-2.002.022.29-1.992.011.91-1.641.891.77-1.483.002.85-2.492.332.50-2.162.342.39
0.740.740.740.690.720.680.660.580.530.570.560.560.570.590.650.650.660.660.440.320.310.340.330.330.340.37--0.350.370.32-0.330.230.22-0.210.220.22-0.200.200.20-0.200.220.22-0.220.290.29-0.290.180.18-0.190.200.20-0.200.240.24
4.444.293.602.943.022.472.281.941.961.581.541.441.581.751.871.941.931.931.140.480.560.530.650.650.890.93--1.110.900.59-0.630.600.52-0.500.520.51-0.360.360.29-0.340.360.40-0.520.560.56-0.670.230.24-0.250.320.31-0.360.410.40
52.2351.9948.7955.1451.0252.7849.5754.8851.3753.8851.9056.0653.7456.4652.1354.7450.8352.9053.0957.1754.2056.2961.9154.6252.0052.96--50.2249.6450.16-49.1248.9248.73-47.7448.0549.02-48.3448.4149.42-47.5948.5148.11-46.7046.0545.67-45.2745.9547.22-46.4547.1546.73-44.3243.8842.24
9.93-12.58-13.80-1.0912.00-0.43-5.8714.62-2.952.806.8118.7217.469.244.7413.8612.27-22.93-12.2117.1117.254.680.6716.1416.935.29--16.967.04100.00-18.288.38100.00-18.129.02100.00-17.989.15100.00-17.589.07100.00-17.057.66100.00-15.6410.25100.00-15.8810.63100.00-15.188.06100.00
9.93-12.58-13.80-1.0912.00-0.43-5.8714.62-2.952.806.8118.7217.469.244.7413.8612.27-22.93-12.2117.1117.254.680.6716.1416.935.29--16.967.04--18.288.38--18.129.02--17.989.15--17.589.07--17.057.66--15.6410.25--15.8810.63--15.188.06-
---------------------------------------------------------------
8.36-15.60-16.60-2.2110.52-2.99-7.8812.91-4.35-2.776.0617.6916.628.163.4513.0111.26-29.08-18.5415.8616.684.19-0.6715.3215.103.22--16.245.9910.51-17.577.5211.12-17.508.1913.35-17.358.3013.73-16.948.0712.95-16.378.5511.48-14.709.3213.16-15.029.5011.98-14.216.728.20
1.89-13.57-16.81-1.43-15.43-2.75-7.8414.38-3.84-2.472.8614.2914.5114.783.4711.699.84-26.54-23.0114.7420.412.407.6514.3615.757.50--11.384.848.10-14.982.209.88-13.037.0410.18-13.376.5610.69-13.166.2310.35-12.117.258.42-10.937.0310.25-10.886.959.34-10.415.085.85
0.230.170.210.230.220.150.200.250.220.170.210.270.230.160.190.220.200.090.190.290.280.200.160.310.290.21--0.310.250.28-0.320.240.27-0.340.250.30-0.330.240.28-0.320.230.28-0.310.230.27-0.270.270.29-0.330.250.27-0.300.220.26
0.630.430.750.620.590.350.600.610.540.450.961.241.010.791.161.250.890.360.761.080.920.650.551.050.900.66--0.920.690.78-0.890.710.84-0.940.750.89-1.000.770.93-0.990.750.96-0.950.740.92-0.850.770.87-0.990.760.98-1.000.680.89
1.521.811.972.251.551.721.702.261.681.811.922.421.791.931.992.111.621.151.612.051.691.691.232.061.641.75--1.871.982.06-1.922.072.16-1.922.072.21-2.002.042.12-1.982.092.16-1.952.072.12-1.782.072.20-2.032.172.22-1.901.691.73
59.4049.8145.7039.9557.9952.3852.9039.8953.6049.7346.7737.1450.3046.7045.2342.7555.4378.1855.9943.9253.2553.1673.4243.6754.8351.50--48.1545.3743.70-46.9743.4841.75-46.9343.3940.70-45.1144.1742.41-45.4043.0041.65-46.1043.4442.46-50.6543.4941.00-44.3041.5040.51-47.4153.3751.98
14.40-18.65-25.17-2.01-20.44-2.11-7.3815.30-3.84-1.672.2814.1712.904.702.0210.448.26-9.54-14.399.2313.461.57-0.389.519.961.64--12.032.944.91-9.962.944.94-8.543.38--8.032.79--7.712.67--7.743.44--6.763.03--6.183.06--5.652.06-
-19.8510.1754.671.8963.203.0312.56-31.486.602.81-4.32-29.31-25.28-7.06-2.57400-306.47263-139.3135.4347.748.83-1.8053.7568.61862--70.6824.8725.44-41.2314.2220.85-29.3314.23--43.2922.11--64.2847.10--54,764-38.80---50.578.52--23.1113.67--26.6312.03-
1.66-2.24-3.59-0.34-3.44-0.41-1.543.55-0.86-0.420.603.833.341.140.452.381.88-2.23-4.343.905.550.63-0.163.983.740.60--4.361.172.32-4.651.412.46-4.351.72--4.351.54--4.151.45--3.761.65--2.981.91--3.641.76--3.161.12-
3.73-4.86-6.56-0.62-5.74-0.68-2.496.40-1.79-0.720.996.245.601.920.703.672.82-3.26-8.106.319.281.04-0.256.366.571.04--7.791.863.34-6.722.263.84-6.772.64--6.462.23--6.152.09--6.002.45--4.792.49--4.992.43--4.551.57-
3.613.574.265.425.686.997.498.547.948.639.099.399.168.347.808.037.557.488.6311.5811.6510.4310.8310.8710.529.43--9.989.2710.75-11.7811.1911.74-12.5811.6711.54-13.5813.1213.29-12.8211.8111.64-11.2010.3310.18-10.139.749.46-9.108.458.69-8.708.268.10
-0.720.052.612.85-0.050.42-1.69-2.15-2.36-0.922.202.03-0.430.213.352.910.21-0.012.192.10-0.91-0.164.163.590.260.690.000.000.550.51-0.510.000.110.04-0.340.00-0.65-0.59-0.920.000.840.500.030.000.940.650.030.000.230.16-0.250.00-0.06-0.10-0.070.001.030.700.410.000.590.19-0.08
-0.640.102.312.54-0.290.27-1.86-2.48-2.59-1.061.661.49-0.80-0.032.872.52-0.08-0.191.471.65-1.17-0.283.623.14-0.070.54--0.340.94-0.60--0.20-0.16-0.42--1.08-0.88-1.00-0.450.28-0.08-0.480.30-0.20--0.20-0.10-0.30--0.28-0.24-0.15-0.860.600.37-0.460.11-0.12