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RESTRUCTURING
3 Months Ended
Jun. 29, 2024
Restructuring and Related Activities [Abstract]  
RESTRUCTURING RESTRUCTURING
The Company incurs restructuring charges related to strategic initiatives and cost optimization of business activities. A description of significant restructuring programs and other restructuring charges is provided below.

Reinvent

On October 30, 2023, VF introduced Reinvent, a transformation program to enhance focus on brand-building and to improve operating performance and allow VF to achieve its full potential. The Company currently estimates it will incur approximately $140.0 million to $160.0 million in restructuring charges in connection with Reinvent, and that substantially all actions will be completed by the end of Fiscal 2025. Of the total estimated
charges, the Company anticipates that approximately 70% will relate to severance and employee-related benefits and the remainder will primarily relate to asset impairments and write-downs. Cash payments are generally expected to be paid within one year of charges incurred. During the three months ended June 2024, $12.3 million of cash payments related to the Reinvent charges were made.
The type of cost and respective location of restructuring charges related to Reinvent for the three months ended June 2024 and the cumulative charges recorded since the inception of Reinvent were as follows:
(In thousands)Three Months Ended June 2024
Cumulative Charges
Type of CostStatement of Operations Location
Severance and employee-related benefitsSelling, general and administrative expenses$11,141 $75,963 
Severance and employee-related benefitsCost of goods sold181 4,691 
Contract termination and otherSelling, general and administrative expenses737 737 
Contract termination and otherCost of goods sold157 157 
Asset impairments and write-downsSelling, general and administrative expenses500 39,886 
Accelerated depreciationSelling, general and administrative expenses861 861 
Accelerated depreciationCost of goods sold17 17 
Total Reinvent Charges$13,594 $122,312 
All restructuring charges related to Reinvent recognized in the three months ended June 2024 as well as all the cumulative charges were reported within 'Corporate and other' expenses in Note 13, Reportable Segment Information.
Other Restructuring Charges

Other Restructuring Charges are related to various approved initiatives. The type of cost and respective location of Other Restructuring Charges for the three months ended June 2024 and 2023 were as follows:
Three Months Ended June
(In thousands)20242023
Type of CostStatement of Operations Location
Severance and employee-related benefitsSelling, general and administrative expenses$— $676 
Contract termination and otherSelling, general and administrative expenses437 19 
Total Other Restructuring Charges$437 $695 
Other Restructuring Charges by business segment were as follows:
Three Months Ended June
(In thousands)20242023
Outdoor$— $242 
Active— 434 
Work— — 
Corporate and other437 19 
Total$437 $695 
Consolidated Restructuring Charges
The activity in the restructuring accrual related to Reinvent and Other Restructuring Charges for the three-month period ended June 2024 was as follows:
(In thousands)SeveranceOtherTotal
Accrual at March 2024$60,331 $345 $60,676 
Charges11,322 894 12,216 
Cash payments and settlements(13,527)(897)(14,424)
Adjustments to accruals(180)— (180)
Impact of foreign currency(15)— (15)
Accrual at June 2024$57,931 $342 $58,273 
Of the $58.3 million total restructuring accrual at June 2024, $55.3 million is expected to be paid out within the next 12 months and is classified within accrued liabilities. The remaining $3.0 million will be paid out beyond the next 12 months and thus is classified within other liabilities. The Company has not recognized any significant incremental costs related to the accruals for the year ended March 2024 or prior periods.