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Tapestry Inc (TPR) Free Cash Flow by Year

TPR

Tapestry Inc generated $1.8B in free cash flow in fiscal year 2026. This represents an increase of 65.7% from the prior fiscal year. The table below carries 15 fiscal years, from 2009 to 2026, and the quarters Tapestry Inc has filed alongside them.

FY2026 annual
Free Cash Flow $1.8B
YoY +65.7%
5Y CAGR +55.2%
10Y CAGR +9.0%
Source SEC Filings (10-K/10-Q) Latest period FY2026, ended Jun 27, 2026 Reported Currency USD

Annual figures, oldest first. Point at a bar to read its period.

TPR Free Cash Flow by Fiscal Year

Figures are as reported in USD. Each change compares the year with the year before it, and each column links to the filing it was taken from.

MetricFY2610-KFY2510-KFY2310-KFY2210-KFY2110-KFY2010-KFY1810-KFY1710-KFY1610-KFY1510-KFY1410-KFY1310-KFY1110-KFY1010-KFY0910-K
Free Cash Flow$1.8B+65.7%$1.1B$791.0M+4.2%$759.3M-37.1%$1.2B+499.1%$201.6M$518.2M-9.2%$570.7M+57.6%$362.2M-50.9%$738.1M-3.6%$765.8M-34.7%$1.2B$885.5M-2.7%$909.8M+35.4%$672.1M

TPR Free Cash Flow by Quarter

Figures are as reported in USD. Each change compares the quarter with the same quarter a year earlier.

MetricQ4'2610-KQ3'2610-QQ2'2610-QQ1'2610-QQ4'2510-KQ3'2510-QQ2'2510-QQ1'2510-QQ4'2410-KQ3'2410-QQ2'2410-QQ1'2410-Q
Free Cash Flow$469.0M+14.0%$225.8M+99.1%$1.0B+118.4%$80.2M-14.6%$411.5M$113.4M+43.9%$475.1M-40.9%$93.9M+72.6%N/A$78.8M$803.7M+45.8%$54.4M-75.0%

What free cash flow means

Free cash flow is the cash operations produced over the period, less what the company spent on property, plant and equipment, so it answers what was left over rather than what was earned on paper.

More Tapestry Inc financials

Frequently Asked Questions

What was Tapestry Inc's free cash flow in fiscal year 2026?

Tapestry Inc generated $1.8B in free cash flow in fiscal year 2026.

How fast is Tapestry Inc's free cash flow growing?

Tapestry Inc (TPR) free cash flow rose by 65.7% year over year, from $1.1B to $1.8B in fiscal year 2026.

How has Tapestry Inc's free cash flow changed over the years?

Across the 15 fiscal years this page covers, Tapestry Inc (TPR) free cash flow went from $672.1M in fiscal year 2009 to $1.8B in fiscal year 2026.

Tapestry Inc (TPR) reported $469.0M in free cash flow in Q4 2026. This represents an increase of 14.0% from the same quarter a year earlier.

Free cash flow is the cash operations produced over the period, less what the company spent on property, plant and equipment, so it answers what was left over rather than what was earned on paper. This page lists what Tapestry Inc (TPR) reported on that line in every period on record.