0001760965-22-000048.txt : 20221103 0001760965-22-000048.hdr.sgml : 20221103 20221103065133 ACCESSION NUMBER: 0001760965-22-000048 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20221103 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20221103 DATE AS OF CHANGE: 20221103 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Kontoor Brands, Inc. CENTRAL INDEX KEY: 0001760965 STANDARD INDUSTRIAL CLASSIFICATION: MEN'S & BOYS' FURNISHINGS, WORK CLOTHING, AND ALLIED GARMENTS [2320] IRS NUMBER: 832680248 STATE OF INCORPORATION: NC FISCAL YEAR END: 1228 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-38854 FILM NUMBER: 221356070 BUSINESS ADDRESS: STREET 1: 400 N. ELM STREET CITY: GREENSBORO STATE: NC ZIP: 27401 BUSINESS PHONE: (336) 332-3400 MAIL ADDRESS: STREET 1: 400 N. ELM STREET CITY: GREENSBORO STATE: NC ZIP: 27401 8-K 1 ktb-20221103.htm 8-K ktb-20221103
0001760965false00017609652022-11-032022-11-03


UNITED STATES SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 8-K
CURRENT REPORT PURSUANT
TO SECTION 13 OR 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934
Date of report (Date of earliest event reported): November 3, 2022
KONTOOR BRANDS, INC.

(Exact name of registrant as specified in charter)
North Carolina001-3885483-2680248
(State or other jurisdiction
of incorporation)
(Commission file number)(I.R.S. employer
identification number)
400 N. Elm Street
Greensboro, North Carolina 27401
(Address of principal executive offices)
(336) 332-3400
(Registrant’s telephone number, including area code)
 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:

Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Securities registered pursuant to Section 12(b) of the Act:
Title of Each ClassTrading Symbol(s)Name of Each Exchange on which Registered
Common Stock, no par valueKTBNew York Stock Exchange

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. o



Item 2.02. Results of Operations and Financial Condition.
On November 3, 2022, Kontoor Brands, Inc. issued a press release announcing financial results for the third quarter of fiscal 2022. A copy of the press release is furnished as Exhibit 99.1 and incorporated herein by reference.
Item 9.01. Financial Statements and Exhibits.
(d) Exhibits.
Exhibit No.Description
Press release issued by Kontoor Brands, Inc., dated November 3, 2022, announcing financial results for the third quarter of fiscal 2022.
104Cover Page Interactive Data File - The cover page interactive data file does not appear in the Interactive Data File because its XBRL tags are embedded within the Inline XBRL document.

    



SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
KONTOOR BRANDS, INC.
Date: November 3, 2022By:/s/ Rustin Welton
Name:Rustin Welton
Title:
Executive Vice President and Chief Financial Officer
 


EX-99.1 2 a2022q3ktberexhibit991.htm EX-99.1 Document
Exhibit 99.1
kontoorlogotmpurplea17.jpg

KONTOOR BRANDS REPORTS THIRD QUARTER 2022 RESULTS;
UPDATES OUTLOOK FOR FULL YEAR 2022

Q3'22 revenue of $607 million decreased 7 percent (5 percent in constant currency) compared to Q3'21
Q3'22 reported EPS of $0.90, adjusted EPS of $1.11 compared to Q3'21 reported EPS of $1.07, adjusted EPS of $1.28
2022 revenue is now expected to increase approximately 4 percent (6 percent in constant currency) compared to 2021 and prior guidance of increasing approximately 6 percent
2022 adjusted EPS is now expected to be in the range of $4.35 to $4.40, compared to prior guidance of $4.40 to $4.50

GREENSBORO, N.C. - November 3, 2022 - Kontoor Brands, Inc. (NYSE: KTB), a global lifestyle apparel company, with a portfolio led by two of the world’s most iconic consumer brands, Wrangler® and Lee®, today reported financial results for its third quarter ended October 1, 2022.

“Despite the difficult environment, we are encouraged by the sell-through of our brands including continued POS share gains, in the third quarter in our largest market. However, as expected, sell-in was adversely impacted and global revenue tempered as U.S. retailer inventory rebalancing efforts and COVID-related lockdowns in China continued. Mix benefits, strategic pricing, and tight expense controls helped offset inflationary pressures and allowed us to deliver upside to our profit expectations,” said Scott Baxter, President, Chief Executive Officer and Chair of Kontoor Brands.

“We expect challenging global macroeconomic conditions, particularly inflation, should continue to weigh on consumer discretionary spend, and ongoing inventory reduction actions will pressure near-term margins. However, we anticipate revenue to sequentially accelerate in the fourth quarter due to improved U.S. retail inventory levels, continued POS momentum, share gains and new business development activities. Further, our cash generation is expected to remain strong over time, giving us confidence in our capital allocation flexibility, as evidenced by our recently announced dividend increase,” added Baxter.

This release refers to “adjusted” amounts from 2022 and 2021 and “constant currency” amounts, which are further described in the Non-GAAP Financial Measures section below. All per share amounts are presented on a diluted basis. Unless otherwise noted, “reported” and “constant dollar” amounts are the same.


Third Quarter 2022 Income Statement Review

Revenue was $607 million, a 7 percent decrease (5 percent decrease in constant currency) over the same period in the prior year. Revenue decreases were primarily driven by significant U.S. retailer inventory rebalancing efforts in the quarter and the impacts of lockdowns in China. Challenges in domestic wholesale and China were somewhat offset by continued strength in Digital own.com, as well as gains in the EMEA region.




U.S. revenue was $452 million, decreasing 8 percent over last year, with reductions in both the Wrangler and Lee brands. Lower shipments due to retailer inventory rebalancing weighed on U.S. wholesale, which was down 9 percent compared to the third quarter 2021. These pressures were somewhat offset by continued strength in Digital own.com, with U.S. own.com revenue increasing 14 percent compared to last year.

International revenue was $154 million, a 3 percent decrease (7 percent increase in constant currency) over the same period in the prior year. As expected, due to COVID lockdowns in the region, China decreased 24 percent (20 percent decrease in constant currency) compared to the third quarter 2021, sequentially improving from decreases of 50 percent in the second quarter of 2022. Europe increased 7 percent (27 percent increase in constant currency), driven by Digital and aided by a shift in the timing of shipments associated with the ERP implementation last year, from the third quarter to the second quarter of 2021.

Wrangler brand global revenue was $406 million, a 4 percent decrease (2 percent decrease in constant currency) from the same period in the prior year. Wrangler U.S. revenue decreased 5 percent compared to last year, primarily driven by the aforementioned reduction of shipments in U.S. wholesale due to significant retailer inventory rebalancing, somewhat offset by broad-based channel and category strength including Western, Workwear, T-shirts and Female. U.S. Wrangler.com increased 16 percent compared to last year. Wrangler international revenue increased 3 percent (15 percent increase in constant currency) compared to the third quarter 2021.

Lee brand global revenue was $198 million, a 13 percent decrease (9 percent decrease in constant currency) from the same period in the prior year. Lee U.S. revenue decreased 19 percent compared to last year, primarily driven by the aforementioned reduction of shipments due to significant retailer inventory rebalancing. Globally, non-denim categories such as T-shirts experienced significant year-over-year gains in the quarter. U.S. Lee.com increased 10 percent compared to last year. Lee international revenue decreased 6 percent (3 percent increase in constant currency) from the third quarter 2021. Strength in Europe was offset by expected reductions in China due to the impact of COVID lockdowns.

Other global revenue was $2 million, a 33 percent decrease compared to the same period in the prior year.

Gross margin decreased to 43.5 percent, a decrease of 90 basis points on a reported basis and 60 basis points on an adjusted basis, compared to the third quarter 2021. Higher inflationary pressures on input costs, inventory provisions, elevated ocean freight rates and foreign currency primarily drove the decline. The decline was partially offset by strategic pricing, channel and product mix, as well as moderating transitory costs such as air freight.

Selling, General & Administrative (SG&A) expenses were $189 million on a reported basis, and $174 million on an adjusted basis. As a percent of revenue, adjusted SG&A was 28.7 percent, increasing 20 basis points compared to adjusted SG&A during the same period in the prior year. As expected, tight controls of discretionary expenses as well as lower compensation costs were somewhat offset by higher distribution expenses, as well as continued strategic investments in digital and IT.




Operating income was $75 million on a reported basis and $90 million on an adjusted basis. Adjusted operating margin of 14.8 percent decreased 80 basis points compared to adjusted operating margin during the same period in the prior year. Higher inflationary pressures on input costs, inventory provisions and elevated ocean freight more than offset the benefits of strategic pricing and tight control of expenses.

Earnings Before Interest, Tax, Depreciation and Amortization (EBITDA) was $82 million on a reported basis and $97 million on an adjusted basis. Adjusted EBITDA margin of 15.9 percent decreased 100 basis points compared to adjusted EBITDA margin during the same period in the prior year.

Earnings per share was $0.90 on a reported basis and $1.11 on an adjusted basis compared to reported EPS of $1.07 and adjusted EPS of $1.28, in the same period in the prior year.


October 1, 2022, Balance Sheet and Liquidity Review

The Company ended the third quarter 2022 with $58 million in cash and cash equivalents, and approximately $0.8 billion in long-term debt.

As of October 1, 2022, the Company had $40 million in outstanding borrowings under the Revolving Credit Facility and $448 million available for borrowing against this facility.

As previously announced, the Company’s Board of Directors approved a $0.02 or 4 percent increase in the regular quarterly cash dividend to $0.48 per share, payable on December 19, 2022, to shareholders of record at the close of business on December 9, 2022. With a combination of share repurchases and payout of the dividend, the Company returned a total of $140 million to shareholders during the first three quarters of 2022.

Inventory at the end of the third quarter 2022 was $678 million, up 66 percent compared to the prior-year period and 24 percent with pre-pandemic 2019 levels. Approximately 90 percent of inventory at the end of the third quarter was core product. The Company is taking proactive actions and expects inventory to return to more historical levels in mid-2023.


2022 Outlook

In consideration of impacts from retailer inventory rebalancing in the third quarter, inflation, ongoing lockdowns in China and foreign currency, the Company is revising its 2022 outlook, including the following:

Revenue is now expected to increase approximately 4 percent (increase 6 percent in constant currency) compared to 2021 and compared to prior guidance of up approximately 6 percent. The updated revenue guidance includes an incremental 1-point negative impact from foreign currency.

Gross margin is now expected to approximate 43.0 percent compared to adjusted gross margin of 44.6 percent achieved in 2021 and compared with prior guidance of 43.5 percent. The updated gross margin guidance includes the incremental impacts from



capacity downtime, geographic mix and foreign currency. The benefits from continued structural mix shifts to accretive channels such as Digital, ongoing cost saving initiatives and strategic pricing are anticipated to help offset these higher costs.

Adjusted SG&A is expected to increase at a low single-digit rate compared to adjusted SG&A in 2021. Investments will continue to be made in the Company’s brands and capabilities, including demand creation, Digital, and international expansion. Given the uncertain macroeconomic conditions, the Company expects continued tight expense control on non-strategic and discretionary items, to assist in funding strategic investments. Adjusted SG&A excludes one-time restructuring charges related to the globalization of the Company’s operating model and relocation of the European headquarters, which are anticipated to be approximately $16 million for the year.

Adjusted EPS is expected to be in the range of $4.35 to $4.40, compared to prior guidance of $4.40 to $4.50. Adjusted EPS excludes one-time restructuring charges related to the globalization of the Company’s operating model and relocation of the European headquarters, which are anticipated to be approximately $0.23 per share for the year.

Capital Expenditures are expected to be in the range of $30 million to $35 million, primarily to support manufacturing, distribution, and information technology projects, down from $35 million to $40 million prior.

The Company expects an effective tax rate of approximately 20 percent in 2022. Interest expense is expected to be in the range of $30 million to $35 million in 2022. Average shares outstanding in 2022 are expected to be approximately 57 million, excluding the impact of additional share repurchases.


Webcast Information

Kontoor Brands will host its third quarter 2022 conference call beginning at 8:30 a.m. Eastern Time today, November 3, 2022. The conference will be broadcast live via the Internet, accessible at https://www.kontoorbrands.com/investors. For those unable to listen to the live broadcast, an archived version will be available at the same location.


Non-GAAP Financial Measures

Adjusted Amounts - This release refers to “adjusted” amounts. Adjustments during 2022 represent charges related to the globalization of the Company’s operating model and relocation of the European headquarters. Adjustments during 2021 primarily represent costs associated with the Company’s global ERP implementation and information technology infrastructure build-out. Additional information regarding adjusted amounts is provided in notes to the supplemental financial information included with this release.

Constant Currency - This release refers to “reported” amounts in accordance with GAAP, which include translation and transactional impacts from changes in foreign currency exchange rates.



This release also refers to “constant currency” amounts, which exclude the translation impact of changes in foreign currency exchange rates.

Reconciliations of these non-GAAP measures to the most comparable GAAP measures are presented in the supplemental financial information included with this release that identifies and quantifies all reconciling adjustments and provides management's view of why this non-GAAP information is useful to investors. While management believes that these non-GAAP measures are useful in evaluating the business, this information should be viewed in addition to, and not as an alternate for, reported results under GAAP. The non-GAAP measures used by the Company in this release may be different from similarly titled measures used by other companies.


About Kontoor Brands

Kontoor Brands, Inc. (NYSE: KTB) is a global lifestyle apparel company, with a portfolio led by two of the world’s most iconic consumer brands: Wrangler® and Lee®. Kontoor designs, manufactures, and distributes superior high-quality products that look good and fit right, giving people around the world the freedom and confidence to express themselves. Kontoor Brands is a purpose-led organization focused on leveraging its global platform, strategic sourcing model and best-in-class supply chain to drive brand growth and deliver long-term value for its stakeholders. For more information about Kontoor Brands, please visit www.KontoorBrands.com.


Forward-Looking Statements

Certain statements included in this release and attachments are "forward-looking statements" within the meaning of the federal securities laws. Forward-looking statements are made based on our expectations and beliefs concerning future events impacting the Company and therefore involve several risks and uncertainties. You can identify these statements by the fact that they use words such as “will,” “anticipate,” “estimate,” “expect,” “should,” “may” and other words and terms of similar meaning or use of future dates. We caution that forward-looking statements are not guarantees and that actual results could differ materially from those expressed or implied in the forward-looking statements. We do not intend to update any of these forward-looking statements or publicly announce the results of any revisions to these forward-looking statements, other than as required under the U.S. federal securities laws. Potential risks and uncertainties that could cause the actual results of operations or financial condition of the Company to differ materially from those expressed or implied by forward-looking statements in this release include, but are not limited to: risks associated with the COVID-19 pandemic, which could continue to result in closed factories and stores, reduced workforces, supply chain interruption, and reduced consumer traffic and purchasing; the level of consumer demand for apparel; intense industry competition; the Company’s ability to gauge consumer preferences and product trends, and to respond to constantly changing markets; the ability to accurately forecast demand for products; the Company’s ability to maintain the images of its brands; increasing pressure on margins; e-commerce operations through the Company’s direct-to-consumer business; the financial difficulty experienced by the retail industry; possible goodwill and other asset impairment; reliance on a small number of large customers; the ability to implement the Company’s business strategy; the stability of manufacturing facilities and foreign suppliers;



fluctuations in wage rates and the price, availability and quality of raw materials and contracted products; the reliance on a limited number of suppliers for raw material sourcing and the ability to obtain raw materials on a timely basis or in sufficient quantity or quality; disruption to distribution systems; seasonality; unseasonal or severe weather conditions; operational difficulties and additional expenses related to the Company’s design and implementation of its enterprise resource planning software system; the Company's and its vendors’ ability to maintain the strength and security of information technology systems; the risk that facilities and systems and those of third-party service providers may be vulnerable to and unable to anticipate or detect data security breaches and data or financial loss; ability to properly collect, use, manage and secure consumer and employee data; foreign currency fluctuations; the impact of climate change and related legislative and regulatory responses; legal, regulatory, political and economic risks; changes to trade policy, including tariff and import/export regulations; compliance with anti-bribery, anti-corruption and anti-money laundering laws by the Company and third-party suppliers and manufacturers; changes in tax laws and liabilities; the costs of compliance with or the violation of national, state and local laws and regulations for environmental, consumer protection, employment, privacy, safety and other matters; the Company’s ability to maintain effective internal controls; continuity of members of management; labor relations; the ability to protect trademarks and other intellectual property rights; the ability of the Company’s licensees to generate expected sales and maintain the value of the Company’s brands; disruption and volatility in the global capital and credit markets and its impact on the Company’s ability to obtain short-term or long-term financing on favorable terms; the Company maintaining satisfactory credit ratings; restrictions on the Company’s business relating to its debt obligations; volatility in the price and trading volume of the Company’s common stock; anti-takeover provisions in the Company’s organizational documents; the failure to declare future cash dividends; and fluctuations in the amount and frequency of our share repurchases.

Many of the foregoing risks and uncertainties will continue to be exacerbated by the COVID-19 pandemic and any continued worsening of the global business and economic environment as a result. More information on potential factors that could affect the Company's financial results are described in detail in the Company’s most recent Annual Report on Form 10-K and in other reports and statements that the Company files with the SEC.




Contacts
Investors:
Eric Tracy, (336) 332-5205
Vice President, Corporate Finance and Investor Relations
Eric.Tracy@kontoorbrands.com

or

Media:
Julia Burge, (336) 332-5122
Director, External Communications
Julia.Burge@kontoorbrands.com

###



KONTOOR BRANDS, INC.
Condensed Consolidated Statements of Operations
(Unaudited)

Three Months Ended September%Nine Months Ended September%
(Dollars in thousands, except per share amounts)20222021Change20222021Change
Net revenues $606,521 $652,298 (7)%$1,899,836 $1,794,825 6%
Costs and operating expenses
Cost of goods sold342,460 362,735 (6)%1,064,190 978,558 9%
Selling, general and administrative expenses188,995 203,583 (7)%563,614 601,934 (6)%
Total costs and operating expenses531,455 566,318 (6)%1,627,804 1,580,492 3%
Operating income75,066 85,980 (13)%272,032 214,333 27%
Interest expense(8,858)(7,156)24%(25,115)(26,588)(6)%
Interest income263 345 (24)%1,028 1,024 —%
Other expense, net(2,219)(676)228%(5,187)(1,073)383%
Income before income taxes64,252 78,493 (18)%242,758 187,696 29%
Income taxes13,169 15,080 (13)%48,870 36,183 35%
Net income$51,083 $63,413 (19)%$193,888 $151,513 28%
Earnings per common share
Basic$0.92 $1.10 $3.47 $2.63 
Diluted$0.90 $1.07 $3.40 $2.56 
Weighted average shares outstanding
Basic55,428 57,648 55,830 57,535 
Diluted56,550 59,282 57,060 59,180 
Basis of presentation for all financial tables within this release: The Company operates and reports using a 52/53 week fiscal year ending on the Saturday closest to December 31 each year. For presentation purposes herein, all references to periods ended September 2022 and September 2021 correspond to the 13-week and 39-week fiscal periods ended October 1, 2022 and October 2, 2021, respectively. References to September 2022, December 2021 and September 2021 relate to the balance sheets as of October 1, 2022, January 1, 2022 and October 2, 2021, respectively. Amounts herein may not recalculate due to the use of unrounded numbers.



KONTOOR BRANDS, INC.
Condensed Consolidated Balance Sheets
(Unaudited)
(In thousands)September 2022December 2021September 2021
ASSETS
Current assets
Cash and cash equivalents$58,053 $185,322 $215,442 
Accounts receivable, net234,569 289,800 269,874 
Inventories678,207 362,957 409,110 
Prepaid expenses and other current assets102,425 72,579 93,922 
Total current assets1,073,254 910,658 988,348 
Property, plant and equipment, net101,407 105,155 106,959 
Operating lease assets47,831 54,950 56,555 
Intangible assets, net13,242 14,638 14,975 
Goodwill209,012 212,213 212,503 
Other assets208,264 235,410 233,842 
TOTAL ASSETS$1,653,010 $1,533,024 $1,613,182 
LIABILITIES AND EQUITY
Current liabilities
Short-term borrowings$7,093 $249 $254 
Current portion of long-term debt7,500 — 18,125 
Accounts payable306,278 214,204 244,681 
Accrued liabilities167,690 217,164 218,058 
Operating lease liabilities, current18,885 24,195 23,480 
Total current liabilities507,446 455,812 504,598 
Operating lease liabilities, noncurrent30,255 32,993 36,329 
Other liabilities82,417 104,764 114,088 
Long-term debt824,793 791,317 773,413 
Commitments and contingencies
Total liabilities1,444,911 1,384,886 1,428,428 
Total equity208,099 148,138 184,754 
TOTAL LIABILITIES AND EQUITY$1,653,010 $1,533,024 $1,613,182 




KONTOOR BRANDS, INC.
Condensed Consolidated Statements of Cash Flows
(Unaudited)

Nine Months Ended September
(In thousands)20222021
OPERATING ACTIVITIES
Net income$193,888 $151,513 
Adjustments to reconcile net income to cash provided by operating activities:
Depreciation and amortization27,827 26,675 
Stock-based compensation17,758 29,211 
Other(226,744)1,953 
Cash provided by operating activities12,729 209,352 
INVESTING ACTIVITIES
Property, plant and equipment expenditures(13,091)(6,642)
Capitalized computer software(7,633)(23,536)
Other(990)(1,778)
Cash used by investing activities(21,714)(31,956)
FINANCING ACTIVITIES
Borrowings under revolving credit facility
76,000 — 
Repayments under revolving credit facility
(36,000)— 
Repayments of term loans— (125,000)
Repurchases of Common Stock(62,494)(10,006)
Dividends paid(77,021)(69,068)
Shares withheld for taxes, net of proceeds from issuance of Common Stock(12,643)(2,209)
Other7,002 (562)
Cash used by financing activities(105,156)(206,845)
Effect of foreign currency rate changes on cash and cash equivalents(13,128)(3,247)
Net change in cash and cash equivalents (127,269)(32,696)
Cash and cash equivalents – beginning of period185,322 248,138 
Cash and cash equivalents – end of period$58,053 $215,442 




KONTOOR BRANDS, INC.
Supplemental Financial Information
Business Segment Information
(Unaudited)
Three Months Ended September% Change
% Change Constant
   Currency (a)
(Dollars in thousands)20222021
Segment revenues:
Wrangler$406,161 $421,508 (4)%(2)%
Lee198,465 227,973 (13)%(9)%
Total reportable segment revenues604,626 649,481 (7)%(4)%
Other revenues (b)
1,895 2,817 (33)%(33)%
Total net revenues$606,521 $652,298 (7)%(5)%
Segment profit:
Wrangler$75,597 $77,184 (2)%(1)%
Lee26,703 42,969 (38)%(33)%
Total reportable segment profit$102,300 $120,153 (15)%(12)%
Corporate and other expenses(28,775)(35,051)(18)%(10)%
Interest expense(8,858)(7,156)24%24%
Interest income263 345 (24)%(6)%
(Loss) profit related to other revenues (b)
(678)202 (436)%(435)%
Income before income taxes$64,252 $78,493 (18)%(18)%
Nine Months Ended September% Change
% Change Constant
   Currency (a)
(Dollars in thousands)20222021
Segment revenues:
Wrangler$1,236,528 $1,131,631 9%10%
Lee655,738 654,135 —%3%
Total reportable segment revenues1,892,266 1,785,766 6%8%
Other revenues (b)
7,570 9,059 (16)%(16)%
Total net revenues$1,899,836 $1,794,825 6%8%
Segment profit:
Wrangler$226,049 $214,001 6%6%
Lee101,837 112,583 (10)%(7)%
Total reportable segment profit$327,886 $326,584 —%2%
Corporate and other expenses(60,774)(113,585)(46)%(44)%
Interest expense(25,115)(26,588)(6)%(5)%
Interest income1,028 1,024 —%9%
(Loss) profit related to other revenues (b)
(267)261 (202)%(202)%
Income before income taxes$242,758 $187,696 29%30%
(a) Refer to constant currency definition on the following pages.
(b) We report an "Other" category in order to reconcile segment revenues and segment profit to the Company's operating results, but the Other category is not considered a reportable segment based on evaluation of aggregation criteria. Other primarily includes other revenue sources, including sales and licensing of Rock & Republic® apparel.



KONTOOR BRANDS, INC.
Supplemental Financial Information
Business Segment Information – Constant Currency Basis (Non-GAAP)
(Unaudited)

Three Months Ended September 2022
As ReportedAdjust for Foreign
(In thousands)under GAAPCurrency ExchangeConstant Currency
Segment revenues:
Wrangler$406,161 $6,531 $412,692 
Lee198,465 9,686 208,151 
Total reportable segment revenues604,626 16,217 620,843 
Other revenues1,895 (1)1,894 
Total net revenues$606,521 $16,216 $622,737 
Segment profit:
Wrangler$75,597 $855 $76,452 
Lee26,703 2,105 28,808 
Total reportable segment profit$102,300 $2,960 $105,260 
Corporate and other expenses(28,775)(2,709)(31,484)
Interest expense(8,858)(9)(8,867)
Interest income263 61 324 
(Loss) profit related to other revenues(678)(677)
Income before income taxes$64,252 $304 $64,556 
Nine Months Ended September 2022
As ReportedAdjust for Foreign
(In thousands)under GAAPCurrency ExchangeConstant Currency
Segment revenues:
Wrangler$1,236,528 $13,569 $1,250,097 
Lee655,738 16,577 672,315 
Total reportable segment revenues1,892,266 30,146 1,922,412 
Other revenues7,570 14 7,584 
Total net revenues$1,899,836 $30,160 $1,929,996 
Segment profit:
Wrangler$226,049 $1,334 $227,383 
Lee101,837 2,721 104,558 
Total reportable segment profit$327,886 $4,055 $331,941 
Corporate and other expenses(60,774)(2,723)(63,497)
Interest expense(25,115)(11)(25,126)
Interest income1,028 85 1,113 
(Loss) profit related to other revenues(267)(266)
Income before income taxes$242,758 $1,407 $244,165 
Constant Currency Financial Information
The Company is a global company that reports financial information in U.S. dollars in accordance with GAAP. Foreign currency exchange rate fluctuations affect the amounts reported by the Company from translating its foreign revenues and expenses into U.S. dollars. These rate fluctuations can have a significant effect on reported operating results. As a supplement to our reported operating results, we present constant currency financial information, which is a non-GAAP financial measure that excludes the impact of translating foreign currencies into U.S. dollars. We use constant currency information to provide a framework to assess how our business performed excluding the effects of changes in the rates used to calculate foreign currency translation. Management believes this information is useful to investors to facilitate comparison of operating results and better identify trends in our businesses.
To calculate foreign currency translation on a constant currency basis, operating results for the current year period for entities reporting in currencies other than the U.S. dollar are translated into U.S. dollars at the average exchange rates in effect during the comparable period of the prior year (rather than the actual exchange rates in effect during the current year period).
These constant currency performance measures should be viewed in addition to, and not as an alternative for, reported results under GAAP. The constant currency information presented may not be comparable to similarly titled measures reported by other companies.


KONTOOR BRANDS, INC.
Supplemental Financial Information
Reconciliation of Adjusted Financial Measures - Quarter-to-Date (Non-GAAP)
(Unaudited)

Three Months Ended September
(In thousands, except for per share amounts)20222021
Cost of goods sold - as reported under GAAP$342,460 $362,735 
Restructuring & separation costs (a)
— 1,821 
Adjusted cost of goods sold$342,460 $364,556 
Selling, general and administrative expenses - as reported under GAAP$188,995 $203,583 
Restructuring & separation costs (a)
(14,740)(17,685)
Adjusted selling, general and administrative expenses$174,255 $185,898 
Interest expense - as reported under GAAP$(8,858)$(7,156)
Other adjustments (b)
— (525)
Adjusted interest expense$(8,858)$(7,681)
Other expense, net - as reported under GAAP$(2,219)$(676)
Other adjustments (b)
— 525 
Adjusted other expense, net$(2,219)$(151)
Diluted earnings per share - as reported under GAAP$0.90 $1.07 
Restructuring & separation costs (a)
0.21 0.21 
Adjusted diluted earnings per share$1.11 $1.28 
Net income - as reported under GAAP$51,083 $63,413 
Income taxes13,169 15,080 
Interest expense8,858 7,156 
Interest income(263)(345)
EBIT$72,847 $85,304 
Depreciation and amortization - as reported under GAAP$9,006 $8,926 
Restructuring & separation costs (a)
— (106)
Adjusted depreciation and amortization$9,006 $8,820 
EBITDA$81,853 $94,230 
Restructuring & separation costs (a)
14,740 15,758 
Other adjustments (b)
— 525 
Adjusted EBITDA$96,593 $110,513 
Non-GAAP Financial Information: The financial information above has been presented on a GAAP basis and on an adjusted basis. These adjusted presentations are non-GAAP measures. See “Notes to Supplemental Financial Information - Reconciliation of Adjusted Financial Measures" at the end of this document. Amounts herein may not recalculate due to the use of unrounded numbers.




KONTOOR BRANDS, INC.
Supplemental Financial Information
Summary of Select GAAP and Non-GAAP Measures
(Unaudited)


Three Months Ended September
20222021
(Dollars in thousands, except per share amounts)GAAPAdjustedGAAPAdjusted
Net revenues$606,521 $606,521 $652,298 $652,298 
Gross margin$264,061 $264,061 $289,563 $287,742 
As a percentage of total net revenues43.5 %43.5 %44.4 %44.1 %
Selling, general and administrative expenses$188,995 $174,255 $203,583 $185,898 
As a percentage of total net revenues31.2 %28.7 %31.2 %28.5 %
Operating income$75,066 $89,806 $85,980 $101,844 
As a percentage of total net revenues12.4 %14.8 %13.2 %15.6 %
Earnings per share - diluted$0.90 $1.11 $1.07 $1.28 
Net income$51,083 $62,987 $63,413 $75,757 
Income taxes13,169 16,005 15,080 18,600 
Interest expense8,858 8,858 7,156 7,681 
Interest income(263)(263)(345)(345)
EBIT$72,847 $87,587 $85,304 $101,693 
Depreciation and amortization$9,006 $9,006 $8,926 $8,820 
EBITDA$81,853 $96,593 $94,230 $110,513 
As a percentage of total net revenues13.5 %15.9 %14.4 %16.9 %
Non-GAAP Financial Information: The financial information above has been presented on a GAAP basis and on an adjusted basis. These adjusted presentations are non-GAAP measures. See “Notes to Supplemental Financial Information - Reconciliation of Adjusted Financial Measures" at the end of this document.
Management uses the above financial measures internally in its budgeting and review process and, in some cases, as a factor in determining compensation. In addition, adjusted EBITDA is a key financial measure for the Company's shareholders and financial leaders, as the Company's debt financing agreements require the measurement of adjusted EBITDA, along with other measures, in connection with the Company's compliance with debt covenants. While management believes that these non-GAAP measures are useful in evaluating the business, this information should be considered supplemental in nature and should be viewed in addition to, and not as an alternate for, reported results under GAAP. In addition, these non-GAAP measures may be different from similarly titled measures used by other companies.





KONTOOR BRANDS, INC.
Supplemental Financial Information
Disaggregation of Revenue
(Unaudited)



Three Months Ended September 2022
Revenues - As Reported
(In thousands)WranglerLeeOtherTotal
Channel revenues
U.S. Wholesale$324,564 $84,122 $1,771 $410,457 
Non-U.S. Wholesale50,448 81,682 28 132,158 
Direct-to-Consumer31,149 32,661 96 63,906 
Total$406,161 $198,465 $1,895 $606,521 
Geographic revenues
U.S.$351,624 $98,862 $1,867 $452,353 
International54,537 99,603 28 154,168 
Total$406,161 $198,465 $1,895 $606,521 
Three Months Ended September 2021
Revenues - As Reported
(In thousands)WranglerLeeOtherTotal
Channel revenues
U.S. Wholesale$344,277 $105,779 $2,226 $452,282 
Non-U.S. Wholesale48,558 86,494 446 135,498 
Direct-to-Consumer28,673 35,700 64,379 
Other— — 139 139 
Total$421,508 $227,973 $2,817 $652,298 
Geographic revenues
U.S.$368,507 $121,951 $2,371 $492,829 
International53,001 106,022 446 159,469 
Total$421,508 $227,973 $2,817 $652,298 



KONTOOR BRANDS, INC.
Supplemental Financial Information
Summary of Select Revenue Information
(Unaudited)
Three Months Ended September
(Dollars in thousands)202220212022 to 2021
As Reported under GAAP% Change Reported% Change Constant Currency
Wrangler U.S.$351,624 $368,507 (5)%(5)%
Lee U.S.98,862 121,951 (19)%(19)%
Other1,867 2,371 (21)%(21)%
Total U.S. revenues$452,353 $492,829 (8)%(8)%
Wrangler International$54,537 $53,001 3%15%
Lee International99,603 106,022 (6)%3%
Other28 446 (94)%(94)%
Total International revenues$154,168 $159,469 (3)%7%
Global Wrangler$406,161 $421,508 (4)%(2)%
Global Lee198,465 227,973 (13)%(9)%
Global Other1,895 2,817 (33)%(33)%
Total revenues$606,521 $652,298 (7)%(5)%
Non-GAAP Financial Information: The financial information above has been presented on a GAAP basis and on a constant currency basis, which is a non-GAAP financial measure. See “Business Segment Information – Constant Currency Basis (Non-GAAP)" for additional information on constant currency financial calculations.


KONTOOR BRANDS, INC.
Supplemental Financial Information
Reconciliation of Adjusted Financial Measures - Notes (Non-GAAP)
(Unaudited)
Notes to Supplemental Financial Information - Reconciliation of Adjusted Financial Measures
Management uses non-GAAP financial measures internally in its budgeting and review process and, in some cases, as a factor in determining compensation. In addition, adjusted EBITDA is a key financial measure for the Company's shareholders and financial leaders, as the Company's debt financing agreements require the measurement of adjusted EBITDA, along with other measures, in connection with the Company's compliance with debt covenants. While management believes that these non-GAAP measures are useful in evaluating the business, this information should be considered supplemental in nature and should be viewed in addition to, and not as an alternate for, reported results under GAAP. In addition, these non-GAAP measures may be different from similarly titled measures used by other companies.
(a) During the three months ended September 2022, restructuring and separation costs include charges of $13.7 million related to severance and employee-related benefits and $1.0 million of other costs, both of which are attributable to the globalization of the Company’s operating model and relocation of the European headquarters. During the three months ended September 2021, restructuring and separation costs primarily related to the Company's global ERP system and information technology infrastructure build-out, as well as strategic actions taken by the Company, including adjustments resulting from the Company's transition of our India business to a licensed model. Total restructuring and separation costs resulted in a corresponding tax impact of $2.8 million and $3.5 million for the three months ended September 2022 and September 2021, respectively.
(b) Other adjustments have been made for the three months ended September 2021 to remove the funding fees related to the accounts receivable sale arrangement, as they are treated as interest expense in the calculation of adjusted EBITDA for debt compliance purposes. Management believes these funding fees are not material to evaluating the overall results of the Company and thus has discontinued this adjustment effective in the first quarter of 2022.

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Document and Entity Information Document
Nov. 03, 2022
Cover [Abstract]  
Document Type 8-K
Document Period End Date Nov. 03, 2022
Entity Registrant Name KONTOOR BRANDS, INC.
Entity Central Index Key 0001760965
Amendment Flag false
Entity Incorporation, State or Country Code NC
Entity File Number 001-38854
Entity Tax Identification Number 83-2680248
Entity Address, Address Line One 400 N. Elm Street
Entity Address, City or Town Greensboro
Entity Address, State or Province NC
Entity Address, Postal Zip Code 27401
City Area Code (336)
Local Phone Number 332-3400
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Tender Offer false
Title of 12(b) Security Common Stock, no par value
Trading Symbol KTB
Security Exchange Name NYSE
Entity Emerging Growth Company false
Document Information [Line Items]  
Document Period End Date Nov. 03, 2022

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