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Financial Ratios
2026-06-27
2026-03-28
2025-12-27
2025-09-27
Free Cash flow
469,000
225,800
1,037,500
80,200
P/E Ratio
37.345
41.736
42.211
68.216
Return on Equity
50.253
50.381
101.832
68.786
Net Profit Margin
18.534
17.901
22.43
16.121
Debt to Asset Ratio
89.657
89.447
91.56
93.722
Cash Ratio
59.252
70.901
61.36
41.861
Quick Ratio
124.991
126.924
110.358
93.21
Current Ratio
175.216
184.099
162.577
152.473
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TAPESTRY, INC. (TPR)
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TAPESTRY, INC. (TPR)