Annual report pursuant to Section 13 and 15(d)

REPORTABLE SEGMENT INFORMATION (Tables)

v3.21.1
REPORTABLE SEGMENT INFORMATION (Tables)
12 Months Ended
Apr. 03, 2021
Segment Reporting [Abstract]  
Financial Information for Reportable Segments
Financial information for VF’s reportable segments is as follows:
Year Ended March
(In thousands) 2021 2020 2019
Segment revenues:
Outdoor $ 4,127,601  $ 4,643,956  $ 4,649,024 
Active 4,160,856  4,919,427  4,721,792 
Work 945,680  886,419  885,748 
Other 4,693  38,754  10,323 
Total segment revenues $ 9,238,830  $ 10,488,556  $ 10,266,887 
Segment profit:
Outdoor $ 342,212  $ 516,089  $ 544,425 
Active 648,467  1,136,821  1,125,709 
Work 27,141  50,383  67,379 
Other (5,410) (6,485) 3,244 
Total segment profit 1,012,410  1,696,808  1,740,757 
Impairment of goodwill and indefinite-lived intangible assets (a)
(12,400) (323,223) — 
Corporate and other expenses (b)
(417,038) (514,430) (609,714)
Interest expense, net (126,500) (72,175) (92,730)
Loss on debt extinguishment —  (59,772) — 
Income from continuing operations before income taxes $ 456,472  $ 727,208  $ 1,038,313 

(a)Excludes $8.0 million of impairment charges related to definite-lived intangible assets in the year ended March 2021, which are primarily recorded in the Work segment.
(b)Certain corporate overhead and other costs of $25.2 million and $105.7 million during the years ended March 2020 and 2019, respectively, previously allocated to the Work segment and the former Jeans segment for segment reporting purposes, have been reallocated to continuing operations as discussed in Note 4.
Reconciliation Assets
(In thousands) March 2021 March 2020
Segment assets:
Outdoor $ 1,019,244  $ 1,182,148 
Active 1,025,327  1,013,154 
Work 300,927  375,653 
Other 14,361  31,008 
Total segment assets 2,359,859  2,601,963 
Cash and equivalents 815,750  1,369,028 
Short-term investments 598,806  — 
Property, plant and equipment, net 975,876  954,406 
Intangible assets and goodwill 5,454,972  3,010,564 
Operating lease right-of-use assets 1,474,434  1,273,514 
Other assets 1,486,754  1,312,637 
Assets of discontinued operations 587,578  611,139 
Consolidated assets $ 13,754,029  $ 11,133,251 
Reconciliation of Capital Expenditures and Depreciation and Amortization Expense
(In thousands) March 2021 March 2020
Segment assets:
Outdoor $ 1,019,244  $ 1,182,148 
Active 1,025,327  1,013,154 
Work 300,927  375,653 
Other 14,361  31,008 
Total segment assets 2,359,859  2,601,963 
Cash and equivalents 815,750  1,369,028 
Short-term investments 598,806  — 
Property, plant and equipment, net 975,876  954,406 
Intangible assets and goodwill 5,454,972  3,010,564 
Operating lease right-of-use assets 1,474,434  1,273,514 
Other assets 1,486,754  1,312,637 
Assets of discontinued operations 587,578  611,139 
Consolidated assets $ 13,754,029  $ 11,133,251 
Year Ended March
(In thousands) 2021 2020 2019
Depreciation and amortization expense:
Outdoor $ 94,841  $ 91,657  $ 82,259 
Active 80,245  80,562  73,395 
Work 20,785  14,856  21,492 
Other 73,210  80,544  78,583 
$ 269,081  $ 267,619  $ 255,729 
Supplemental Information (with Revenues by Geographic Area Based on the Origin of Shipment)
Supplemental information (with revenues by geographic area based on the origin of the shipment) is as follows:
Year Ended March
(In thousands) 2021 2020 2019
Total revenues:
U.S. $ 4,635,704  $ 5,520,317  $ 5,346,225 
Foreign, primarily Europe 4,603,126  4,968,239  4,920,662 
$ 9,238,830  $ 10,488,556  $ 10,266,887 
Property, plant and equipment:
U.S. $ 621,777  $ 608,058 
Foreign, primarily Europe 354,099  346,348 
$ 975,876  $ 954,406