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REPORTABLE SEGMENT INFORMATION (Tables)
12 Months Ended
Mar. 30, 2024
Segment Reporting [Abstract]  
Schedule of Financial Information for Reportable Segments
Financial information for VF’s reportable segments is as follows:
Year Ended March
(In thousands)202420232022
Segment revenues:
Outdoor$5,501,399 $5,647,526 $5,327,568 
Active4,061,729 4,904,622 5,380,338 
Work891,539 1,060,179 1,133,149 
Other— 148 785 
Total segment revenues$10,454,667 $11,612,475 $11,841,840 
Segment profit (loss):
Outdoor$602,708 $785,431 $795,523 
Active (a)
352,248 654,691 979,746 
Work17,647 121,157 193,492 
Other— (536)(586)
Total segment profit972,603 1,560,743 1,968,175 
Impairment of goodwill and indefinite-lived intangible assets(507,566)(735,009)— 
Corporate and other expenses (475,314)(617,815)(309,817)
Interest expense, net (223,408)(164,632)(131,463)
Loss on debt extinguishment— — (3,645)
Income (loss) from continuing operations before income taxes$(233,685)$43,287 $1,523,250 
(a)Includes legal settlement gains of $29.1 million in the year ended March 2024.
Schedule of Reconciliation Assets
(In thousands)March 2024March 2023
Segment assets:
Outdoor$1,544,364 $1,936,090 
Active1,034,714 1,341,142 
Work452,384 610,798 
Other8,869 15,055 
Total segment assets3,040,331 3,903,085 
Cash and equivalents674,605 814,887 
Property, plant and equipment, net823,886 942,440 
Intangible assets and goodwill4,088,896 4,621,234 
Operating lease right-of-use assets1,330,361 1,372,182 
Other assets1,654,884 2,336,660 
Consolidated assets$11,612,963 $13,990,488 
Schedule of Reconciliation of Capital Expenditures and Depreciation and Amortization Expense
Year Ended March
(In thousands)202420232022
Depreciation, amortization and other asset write-downs:
Outdoor$103,586 $94,448 $95,860 
Active93,587 81,106 87,235 
Work13,620 12,524 14,439 
Other108,411 74,246 69,401 
$319,204 $262,324 $266,935 
Schedule of Supplemental Information (with Revenues by Geographic Area Based on the Origin of Shipment)
Supplemental information (with revenues by geographic area primarily based on the origin of the shipment) is as follows:
Year Ended March
(In thousands)202420232022
Total revenues:
U.S.$4,843,098 $6,043,359 $6,178,300 
Foreign5,611,569 5,569,116 5,663,540 
$10,454,667 $11,612,475 $11,841,840 
Property, plant and equipment:
U.S.$596,387 $707,035 
Foreign227,499 235,405 
$823,886 $942,440