MarketCapTrends
TPR

Tapestry Inc.

Income StatementBalance SheetCash Flow
Jun 2025Jun 2024Jul 2023Jul 2022Jul 2021Jun 2020Jun 2019Jun 2018Jul 2017Jul 2016Jun 2015Jun 2014Jun 2013Jun 2012Jul 2011Jul 2010Jun 2009Jun 2008
Operating
Operating Cash Flow
Net Income
Depreciation & Amort.
Stock-Based Comp.
Changes in WC
Investing
Capital Expenditures122.7M108.9M184.2M93.9M116.0M205.4M274.2M267.4M283.1M396.4M199.3M219.6M241.4M184.3M147.7M81.1M137.0M174.7M
Acquisitions
Investing Cash Flow
Financing
Debt Repayment
Common Stock Issued
Buybacks
Dividends Paid
Financing Cash Flow
Summary
Free Cash Flow1.09B1.15B791.0M759.3M1.21B201.6M518.2M730.1M570.7M362.2M738.1M765.8M1.17B1.04B885.5M909.8M672.1M748.6M
Net Change in Cash