Tapestry Inc financials

Key figures from Tapestry Inc's filings with the U.S. Securities and Exchange Commission: the latest quarter against a year earlier, and the trend across recent quarters and fiscal years.

Latest quarter vs a year earlier

MetricJun 2026*Jun 2025Change
Revenue$1.9B$1.7B+8.9%
Net income$348M-$517M+167.3%
Free cash flow$469M$412M+14.0%
Gross margin83.3%76.3%+7.0 pts
Operating margin23.6%-33.9%+57.4 pts
Net margin18.5%-30.0%+48.5 pts

Quarterly trend

Revenue by quarter
$1.5BSep 2023$2.1BDec 2023$1.5BMar 2024$1.6BJun 2024*$1.5BSep 2024$2.2BDec 2024$1.6BMar 2025$1.7BJun 2025*$1.7BSep 2025$2.5BDec 2025$1.9BMar 2026$1.9BJun 2026*
Net income by quarter
$195MSep 2023$322MDec 2023$139MMar 2024$159MJun 2024*$187MSep 2024$310MDec 2024$203MMar 2025-$517MJun 2025*$275MSep 2025$561MDec 2025$344MMar 2026$348MJun 2026*
Free cash flow by quarter
$54MSep 2023$804MDec 2023$79MMar 2024$210MJun 2024*$94MSep 2024$475MDec 2024$113MMar 2025$412MJun 2025*$80MSep 2025$1.0BDec 2025$226MMar 2026$469MJun 2026*
Margins by quarter
-51%25%101%Sep 2023Dec 2023Mar 2024Jun 2024*Sep 2024Dec 2024Mar 2025Jun 2025*Sep 2025Dec 2025Mar 2026Jun 2026*72.5%71.6%74.7%74.9%75.3%74.4%76.1%76.3%76.3%75.5%76.9%83.3%16.7%21.5%13.8%14.8%16.7%22.4%16.0%-33.9%19.3%28.6%22.3%23.6%12.9%15.5%9.4%10.0%12.4%14.1%12.8%-30.0%16.1%22.4%17.9%18.5%

Fiscal years

Fiscal yearRevenueNet incomeNet marginFree cash flowEPS (diluted)
FY Jun 2026$8.0B$1.5B19.1%$1.8B$7.27
FY Jun 2025$7.0B$183M2.6%$1.1B$0.82
FY Jun 2024$6.7B$816M12.2%$1.1B$3.50
FY Jul 2023$6.7B$936M14.1%$791M$3.88
FY Jul 2022$6.7B$856M12.8%$759M$3.17

* Fiscal fourth quarter computed from the annual filing minus the three reported quarters. All figures from company filings with the SEC.

This content is for informational purposes only and is not investment advice. Always do your own research before making financial decisions.