Capri Holdings LtdCPRI

Market cap
$4.5B
P/E ratio
Mar 31,
2012
Mar 30,
2013
Mar 29,
2014
Mar 28,
2015
Apr 2,
2016
Apr 1,
2017
Mar 31,
2018
Mar 30,
2019
Mar 28,
2020
Mar 27,
2021
Apr 2,
2022
Apr 1,
2023
Net income (loss)----838552592542-225-63823619
Depreciation and amortization385480138183220209225249212193179
Share-based compensation expense272129494834506070718578
Impairment of assets----------83142
Deferred income taxes-----------57-101
Changes to lease related balances, net-----------99
Foreign currency losses (gains)3-1-1-5-313-80-1115--28
Other non-cash charges--------4-3--1-7
Receivables, net488110683-52-60-1923-425278-50
Inventories, net718115811216-21-46125-115-145386-13
Prepaid expenses and other current assets13452051-4931-2031-148
Accounts payable15164961438-21-48635069-100
Accrued expenses and other current liabilities4615313322105-615620-9515330-9
Other long-term assets and liabilities-----------6028
Net cash provided by operating activities115356632----694859624704771
Capital expenditures88121185356369165120181223111131226
Cash paid for asset/business acquisitions, net of cash acquired-----4811,4151,8751313--
Settlement of net investment hedges-------11298-189409
Net cash provided by (used in) investing activities-88-139-216-----2,12562-12458183
Debt borrowings------2,5204,2042,2822,4439454,061
Debt repayments------1,7832,5602,6763,3111,1323,474
Debt issuance costs-------1514-5
Repurchase of ordinary shares--24951,1521,00536120710216611,364
Exercise of employee share options103019151381429-3176
Other financing activities----------31-
Net cash used in financing activities5915171----1,451-497-870-800-776
Effect of exchange rate changes on cash and cash equivalents------15-11-412-24-94
Net increase (decrease) in cash, cash equivalents and restricted cash-------669420-358-6284
Cash paid for interest-------4580523758
Income Taxes Paid8471281373273171104172984543133
Accrued capital expenditures-1216333423262530173933