Log in
E-mail
Password
Remember
Forgot password ?
Become a member for free
Sign up
Sign up
New member
Sign up for FREE
New customer
Discover our services
Settings
Settings
Dynamic quotes 
OFFON

MarketScreener Homepage  >  Equities  >  Nyse  >  Tapestry, Inc.    TPR

TAPESTRY, INC.

(TPR)
  Report
SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Valuation
Fiscal Period: June 2018 2019 2020 2021 2022 2023
Capitalization1 13 3039 0063 4655 681--
Entreprise Value (EV)1 13 6549 3754 3306 3386 1585 700
P/E ratio 33,5x14,0x-5,36x11,6x8,83x7,75x
Yield 2,92%4,35%8,07%1,33%6,25%6,21%
Capitalization / Revenue 2,26x1,49x0,70x1,11x1,05x1,01x
EV / Revenue 2,32x1,56x0,87x1,24x1,14x1,01x
EV / EBITDA 10,9x7,72x6,31x6,67x5,56x4,78x
Price to Book 4,07x2,54x1,54x2,06x1,91x1,69x
Nbr of stocks (in thousands) 287 818290 136276 098277 374--
Reference price (USD) 46,231,012,620,520,520,5
Last update 08/14/201808/15/201908/13/202010/15/202010/15/202010/15/2020
1 USD in Million
Estimates
Income Statement Evolution
Annual Income Statement Data
Fiscal Period: June 2018 2019 2020 2021 2022 2023
Net sales1 5 8806 0274 9615 0995 4185 642
EBITDA1 1 2521 2146879501 1071 193
Operating profit (EBIT)1 992945438699820893
Operating Margin 16,9%15,7%8,84%13,7%15,1%15,8%
Pre-Tax Profit (EBT)1 597766-624627804915
Net income1 398643-652503652747
Net margin 6,76%10,7%-13,1%9,86%12,0%13,2%
EPS2 1,382,21-2,341,762,322,64
Dividend per Share2 1,351,351,010,271,281,27
Last update 08/14/201808/15/201908/13/202010/21/202010/21/202010/21/2020
1 USD in Million
2 USD
Estimates
Balance Sheet Analysis
Fiscal Period: June 2018 2019 2020 2021 2022 2023
Net Debt1 35136986565747719,0
Net Cash position1 ------
Leverage (Debt / EBITDA) 0,28x0,30x1,26x0,69x0,43x0,02x
Free Cash Flow1 729518202632605651
ROE (Net Profit / Equities) 24,3%22,2%9,37%18,7%21,5%21,3%
Shareholders' equity1 1 6342 904-6 9612 6823 0373 507
ROA (Net Profit / Asset) 12,1%11,0%-8,81%6,11%7,62%7,77%
Assets1 3 2725 8257 4018 2368 5609 616
Book Value Per Share2 11,412,28,179,9210,712,1
Cash Flow per Share2 3,452,721,462,493,393,96
Capex1 267274205160240251
Capex / Sales 4,55%4,55%4,14%3,14%4,43%4,46%
Last update 08/14/201808/15/201908/13/202010/08/202009/17/202009/16/2020
1 USD in Million
2 USD
Estimates
Finances - Leverage
Financial data source
© 2020 S&P Global Market Intelligence
Key data
Capitalization (USD)
5 680 610 058
Net sales (USD)
4 961 400 000
Number of employees
14 850
Sales / Employee (USD)
334 101
Free-Float
99,8%
Free-Float capitalization (USD)
5 667 656 253
Avg. Exchange 20 sessions (USD)
118 338 220
Average Daily Capital Traded
2,08%
EPS & Dividend