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Stocks / United States / TPR / Q3 FY2025

Tapestry, Inc. Q3 FY2025 results: revenue $1.6 billion, up 6.9% on the year

Tapestry, Inc. (TPR) reported revenue of $1.6 billion for Q3 FY2025, the quarter ended 29 March 2025, up 6.9% on the same quarter a year earlier. Net income was $203 million, up 45.8% on the year, and diluted earnings per share $0.95. The figures are the company's own, from the 10-Q it filed with the SEC on 8 May 2025.

Revenue$1.6 billionup 6.9%
Net income$203 millionup 45.8%
Diluted EPS$0.95
QuarterQ3 FY2025ended 29 March 2025

The quarter, against the one before and a year earlier

LineQ3 FY2025Q2 FY2025Q3 FY2024Change on the year
Revenue1,5852,1951,482+6.9%
Cost of revenue379562375+1.0%
Gross profit1,2061,6331,107+8.9%
Gross margin76.1%74.4%74.7%
Selling, general and administrative9521,140903+5.4%
Operating income254493204+24.2%
Operating margin16.0%22.4%13.8%
Interest expense32.885.8130-74.8%
Pre-tax income239345170+41.1%
Income tax35.834.930.1+18.9%
Effective tax rate15.0%10.1%17.8%
Net income203310139+45.8%
Net margin12.8%14.1%9.4%
Diluted EPS$0.95$1.38$0.60+58.3%

$ million except per share. Free cash flow is operating cash flow less capital expenditure; the effective tax rate is income tax over pre-tax income; margins are the line over revenue. Gross profit is revenue less cost of revenue, and operating income is revenue less the company's own total costs, where the statement does not print those lines. Those four are arithmetic on the filed numbers; everything else is as filed. Money is in $ million as the company files it, or in $ billion by the switch above the tables; per share figures and share counts are as they are.

Cash flow and capital returned

LineQ3 FY2025Q2 FY2025Q3 FY2024Change on the year
Operating cash flow14450697.8+47.5%
Capital expenditure30.930.919.0+62.6%
Free cash flow11347578.8+43.9%
Free cash flow margin7.2%21.6%5.3%
Depreciation and amortisation41.440.940.0+3.5%
Share-based compensation25.221.823.6+6.8%
Buybacks52.31,6130.0n/a
Dividends paid72.772.480.5-9.7%
Dividend per share$0.35$0.35$0.35+0.0%
Diluted shares, weighted214m225m234m-8.7%
Shares outstanding at period end208m207m230m-9.6%

Cash flow lines for the quarter; where the company files them year to date, the quarter is the difference between two filings.

Balance sheet at quarter end

LineQ3 FY2025Q2 FY2025Q3 FY2024Change on the year
Total assets7,3067,25213,728-46.8%
Cash and equivalents1,0389836,975-85.1%
Receivables256297277-7.6%
Inventory874937824+6.0%
Goodwill1,2161,2051,216-0.1%
Long-term debt2,3772,3777,674-69.0%
Operating lease liabilities1,1301,1421,262-10.5%
Shareholders' equity1,4941,3362,775-46.2%

Quarterly results, the last 12 quarters

Q1 FY2024Q2 FY2024Q3 FY2024Q4 FY2024 *Q1 FY2025Q2 FY2025Q3 FY2025Q4 FY2025 *Q1 FY2026Q2 FY2026Q3 FY2026Q4 FY2026 *
Revenue1,5132,0841,4821,5911,5082,1951,5851,7231,7052,5021,9211,877
Cost of revenue416591375400373562379408404614444313
Gross profit1,0981,4931,1071,1911,1351,6331,2061,3151,3001,8881,4761,564
Gross margin73%72%75%75%75%74%76%76%76%75%77%83%
SG&A8441,0469039568831,1409521,0449721,1721,0491,121
Operating income253448204235252493254-584328716428442
Operating margin17%21%14%15%17%22%16%-34%19%29%22%24%
Interest expense22.388.613012912385.832.829.430.130.929.329.0
Pre-tax income238403170201226345239-594319697416429
Tax rate18%20%18%21%17%10%15%n/a14%19%17%19%
Net income195322139159187310203-517275561344348
Net margin13%15%9%10%12%14%13%-30%16%22%18%19%
Diluted EPS$0.84$1.39$0.60$0.67$0.79$1.38$0.95-$2.30$1.28$2.68$1.65$1.66
Operating cash flow75.382697.82561205061444471131,081263522
Capital expenditure20.922.819.046.225.630.930.935.332.443.636.853.2
Free cash flow54.480478.821093.947511341280.21,038226469
Buybacks0.00.00.00.00.01,61352.353.4698404150303
Dividends paid80.280.280.580.581.472.472.772.883.381.381.080.5
Shares outstanding229m229m230m230m233m207m208m208m206m203m202m200m
Filing10-Q10-Q10-Q10-K10-Q10-Q10-Q10-K10-Q10-Q10-Q10-K

* The fourth quarter is the full year less the first three quarters, because the company files the year and not the quarter on its own. Money is in $ million as the company files it, or in $ billion by the switch above the tables; per share figures and the share count are as they are. Free cash flow is operating cash flow less capital expenditure; the effective tax rate is income tax over pre-tax income; margins are the line over revenue. Gross profit is revenue less cost of revenue, and operating income is revenue less the company's own total costs, where the statement does not print those lines. Cash flow lines filed year to date are the difference between two filings. Shares outstanding are at the period end where the balance sheet tags them, otherwise the count on the filing's cover page. A derived fourth-quarter EPS is left blank when a split in the year makes the arithmetic meaningless.

Source

10-Q for the period ended 29 March 2025, filed 8 May 2025, accession 0001116132-25-000013: the filing on EDGAR. All of Tapestry, Inc.'s filings: EDGAR company page.

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