Quarterly report pursuant to Section 13 or 15(d)

Consolidated Balance Sheets

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Consolidated Balance Sheets (USD $)
In Thousands
Oct. 01, 2011
Jan. 01, 2011
Oct. 02, 2010
ASSETS      
Cash and equivalents $ 337,391 $ 792,239 $ 402,863
Accounts receivable, less allowance for doubtful accounts of: Sept. 2011 - $57,279; Dec. 2010 - $44,599; Sept. 2010 - $60,608 1,547,741 773,083 1,098,858
Finished products 1,513,801 843,230 994,076
Work in process 89,261 78,226 77,920
Materials and supplies 174,840 149,238 139,311
Inventories 1,777,902 1,070,694 1,211,307
Other current assets 279,358 190,044 171,666
Total current assets 3,942,392 2,826,060 2,884,694
Property, Plant and Equipment 1,787,668 1,663,299 1,639,271
Less accumulated depreciation 1,082,733 1,060,391 1,041,097
Property, Plant and Equipment, net 704,935 602,908 598,174
Intangible Assets 2,978,238 1,490,925 1,515,261
Goodwill 2,077,701 1,166,638 1,370,262
Other Assets 415,782 371,025 322,725
Total assets 10,119,048 6,457,556 6,691,116
LIABILITIES AND STOCKHOLDERS' EQUITY      
Short-term borrowings 1,145,845 36,576 49,022
Current portion of long-term debt 2,709 2,737 2,751
Accounts payable 666,845 510,998 482,082
Accrued liabilities 849,165 559,164 623,425
Total current liabilities 2,664,564 1,109,475 1,157,280
Long-term Debt 1,832,412 935,882 936,511
Other Liabilities 1,162,173 550,880 659,016
Commitments and Contingencies      
Stockholders' Equity      
Common stock, stated value $1; shares authorized, 300,000,000; shares outstanding: Sept. 2011 - 110,081,241; Dec. 2010 - 107,938,105; Sept. 2010 - 108,144,163 110,081 107,938 108,144
Additional paid-in capital 2,280,544 2,081,367 2,002,160
Accumulated other comprehensive income (loss) (279,966) (268,594) (229,199)
Retained earnings 2,348,152 1,940,508 2,057,965
Total equity attributable to VF Corporation 4,458,811 3,861,219 3,939,070
Noncontrolling interests 1,088 100 (761)
Total stockholders' equity 4,459,899 3,861,319 3,938,309
Total liabilities and stockholders' equity $ 10,119,048 $ 6,457,556 $ 6,691,116