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For the year ending 2026-03-31, UAA had -$202,990K decrease in cash & cash equivalents over the period. -$162,163K in free cash flow.

Cash Flow Overview

Change in Cash
-$202,990K
Free Cash flow
-$162,163K
Unit: Thousand (K) dollars
Positive Cash Flow Breakdown
    • Proceeds from long-term debt and...
    • Deferred income taxes
    • Non-cash restructuring and impai...
    • Others
Negative Cash Flow Breakdown
    • Purchase of restricted investmen...
    • Net income (loss)
    • Repayment of long-term debt and ...
    • Others

Cash Flow
2026-03-31
2025-03-31
2024-03-31
2023-03-31
Net income (loss)
-495,643 -201,267 232,042 386,769
Depreciation and amortization
109,623 135,804 142,590 137,620
Unrealized foreign currency exchange rate (gain) loss
-8,485 14,636 -16,080 8,463
Loss on extinguishment of senior convertible notes
--0 0
Loss on disposal of property and equipment
-4,508 -6,373 -1,623 -2,619
Gain on sale of the myfitnesspal platform
---0
Non-cash restructuring and impairment charges
105,293 53,765 6,179 1,959
Amortization of bond premium and debt issuance costs
2,854 2,319 2,034 2,192
Stock-based compensation
45,625 52,974 42,998 36,811
Deferred income taxes
243,364 -61,794 -23,693 -152,403
Changes in reserves and allowances
-13,289 4,409 13,612 11,696
Accounts receivable
1,076 -79,981 3,906 62,162
Inventories
-39,309 -10,941 -216,484 373,714
Prepaid expenses and other assets
31,818 -13,116 29,060 36,652
Other non-current assets
90,002 41,777 -34,920 52,795
Accounts payable
5,928 -58,465 -197,887 77,558
Accrued expenses and other liabilities
10,463 -62,675 -18,267 12,081
Customer refund liabilities
-19,773 6,805 -21,427 851
Income taxes payable and receivable
1,061 14,808 -60,352 6,119
Net cash provided by (used in) operating activities
-75,088 -59,319 353,970 -9,914
Purchases of property and equipment
87,075 168,684 150,333 187,796
Sale of property and equipment
--0 0
Purchase of restricted investment
601,235 ---
Sale of myfitnesspal platform
0 50,000 45,000 0
Sale of mapmyfitness platform
0 8,000 -35,000
Purchase of unless collective, inc, net of cash acquired
500 8,120 -0
Proceeds from capped call
--0 0
Purchase of equity method investment in isc sport
0 7,546 --
Purchase of capped call
---0
Net cash provided by (used in) investing activities
-688,810 -126,350 -105,333 -152,796
Common stock repurchased
25,000 90,000 75,000 125,000
Proceeds from long-term debt and revolving credit facility
890,000 --0
Repayment of long-term debt and revolving credit facility
290,000 80,919 0 0
Employee taxes paid for shares withheld for income taxes
8,284 9,686 6,163 5,151
Excise tax paid on repurchases of common stock
743 628 --
Proceeds from exercise of stock options and other stock issuances
2,190 2,494 3,193 3,776
Payments of debt financing costs
7,535 2,067 720 0
Other financing fees
---0
Net cash provided by (used in) financing activities
560,628 -180,806 -78,690 -126,375
Effect of exchange rate changes on cash, cash equivalents and restricted cash
280 4,609 -19,775 -5,315
Net increase (decrease) in cash, cash equivalents and restricted cash
-202,990 -361,866 150,172 -294,400
Beginning of period
515,051 876,917 726,745 1,022,126
End of period
312,061 515,051 876,917 727,726
Unit: Thousand (K) dollars (except for numbers of shares and EPS).

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Proceeds from long-termdebt and revolving...$890,000K Proceeds from exercise ofstock options and...$2,190K (-12.19%↓ Y/Y)Net cash provided by(used in) financing...$560,628K (410.07%↑ Y/Y)Effect of exchange ratechanges on cash, cash...$280K (-93.92%↓ Y/Y)Canceled cashflow$331,562K Net increase(decrease) in cash, cash...-$202,990K (43.90%↑ Y/Y)Canceled cashflow$560,908K Deferred income taxes$243,364K (493.83%↑ Y/Y)Depreciation andamortization$109,623K (-19.28%↓ Y/Y)Non-cash restructuringand impairment...$105,293K (95.84%↑ Y/Y)Stock-based compensation$45,625K (-13.87%↓ Y/Y)Inventories-$39,309K (-259.28%↓ Y/Y)Accrued expenses andother liabilities$10,463K (116.69%↑ Y/Y)Unrealized foreigncurrency exchange rate...-$8,485K (-157.97%↓ Y/Y)Accounts payable$5,928K (110.14%↑ Y/Y)Loss on disposal ofproperty and equipment-$4,508K (29.26%↑ Y/Y)Amortization of bond premiumand debt issuance...$2,854K (23.07%↑ Y/Y)Income taxes payableand receivable$1,061K (-92.83%↓ Y/Y)Repayment of long-termdebt and revolving...$290,000K (258.38%↑ Y/Y)Common stockrepurchased$25,000K (-72.22%↓ Y/Y)Employee taxes paid forshares withheld for...$8,284K (-14.47%↓ Y/Y)Payments of debtfinancing costs$7,535K (264.54%↑ Y/Y)Excise tax paid onrepurchases of common stock$743K (18.31%↑ Y/Y)Net cash provided by(used in) investing...-$688,810K (-445.16%↓ Y/Y)Net cash provided by(used in) operating...-$75,088K (-26.58%↓ Y/Y)Canceled cashflow$576,513K Purchase of restrictedinvestment$601,235K Purchases of property andequipment$87,075K (-48.38%↓ Y/Y)Purchase of unlesscollective, inc, net of cash...$500K (-93.84%↓ Y/Y)Net income (loss)-$495,643K (-146.26%↓ Y/Y)Other non-currentassets$90,002K (115.43%↑ Y/Y)Prepaid expenses andother assets$31,818K (342.59%↑ Y/Y)Customer refundliabilities-$19,773K (-390.57%↓ Y/Y)Changes in reserves andallowances-$13,289K (-401.41%↓ Y/Y)Accounts receivable$1,076K (101.35%↑ Y/Y)

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Under Armour, Inc. (UAA)

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Under Armour, Inc. (UAA)