vf corp stock — V.F. Corporation (VFC)
V.F. Corporation (VFC) — Stock
Introduction / Summary
VF Corporation is a publicly traded apparel and footwear company built around a portfolio of global consumer brands. The common stock trades under the ticker vf corp stock (symbol: VFC) on the New York Stock Exchange. The company sits in the Consumer Discretionary sector, Apparel industry, and investor focus typically centers on brand-driven retail performance, wholesale and direct-to-consumer execution, and margin recovery across its Outdoor, Active and Work/Other segments.
This article explains how vf corp stock is traded and analyzed, summarizes company background and brands, reviews financial and market metrics, describes catalysts and risks, and points to practical ways to follow and trade the shares. Readers will gain a structured, reference-style primer suitable for beginners and investors seeking a refreshed fact base.
Company background
Founding and corporate history
VF Corporation traces its roots to the late 19th and early 20th centuries as a manufacturer and marketer of workwear and outerwear. Over many decades the company grew through organic expansion and acquisitions, building a multi-brand portfolio. Notable strategic milestones relevant to investors include the acquisition of several lifestyle and outdoor brands, periodic portfolio simplifications, and a notable corporate separation that reshaped investor focus.
As of recent corporate communications, VF has emphasized shifting capital allocation toward its highest-growth, highest-margin brands while divesting non-core assets to optimize the balance sheet and fund investments in product, digital, and international expansion.
Brands and business segments
VF’s business is organized around brand portfolios grouped into principal segments. Major brands historically associated with the company and that drive investor expectations include:
- The North Face — outdoor performance apparel, footwear and equipment.
- Vans — lifestyle and action-sports footwear and apparel.
- Timberland — outdoor and casual footwear and apparel (brand positioning evolved through restructuring).
- Smartwool — performance socks and apparel targeting outdoor and active consumers.
- Dickies — workwear (noted historically; investors should confirm current ownership after any recent divestiture announcements).
Revenue and profitability are typically discussed across the company’s three reporting segments: Outdoor, Active, and Work/Other. Each segment has different seasonality, gross margin profiles, and international exposure, which collectively inform investor expectations for growth and margin expansion.
Ticker and trading information
Exchange, symbol and trading basics
V.F. Corporation trades on the New York Stock Exchange under the symbol VFC. For clarity, the common search keyword investors use is vf corp stock. Regular trading hours for NYSE-listed stocks are 9:30 a.m. to 4:00 p.m. Eastern Time, with pre-market and after-hours sessions providing extended liquidity at different price levels. Most public price quotes displayed on news sites and platforms are delayed by 15–20 minutes; real-time feeds require direct market subscriptions or brokerage displays.
Market capitalization, shares outstanding and float
Market capitalization, shares outstanding and free float are primary metrics used to categorize vf corp stock (e.g., mid-cap vs. large-cap) and to size positions. These figures move with share price and corporate actions. As an example snapshot to set context: as of 2026-01-27, according to Yahoo Finance, vf corp stock had a market capitalization in the mid‑to‑high single-digit billions to low double-digit billions range and shares outstanding in the several-hundred-million-share range; exact values should be confirmed in real-time feeds or the latest 10‑Q/10‑K filings for precision.
Investors typically use market-cap tiers (small/mid/large) combined with average daily volume to assess liquidity and tradability of vf corp stock.
Price history and historical performance
Recent and long-term price ranges
Historical price behavior for vf corp stock shows cyclical patterns tied to consumer demand, seasonal retail trends, and brand-level product cycles. Major market-data providers publish 52-week ranges and multi-year charts that investors reference for context. As of 2026-01-27, major financial pages reported vf corp stock 52-week trading ranges reflecting recovery or consolidation phases following company-specific news and sector moves. Readers who track technical ranges often monitor the 52-week high/low as one measure of volatility and sentiment.
Historical corporate actions affecting share price
Several corporate events have materially affected vf corp stock over time. Examples include strategic spin-offs, large divestitures, and material restructuring actions. A notable historical example for VF was the separation of certain apparel assets to create standalone entities, which changed investor exposure to particular product categories. Management decisions to divest brands or reshape the portfolio have historically produced re-rating events and are often highlighted in earnings commentary and analyst notes. Investors should consult SEC filings (10‑K, 10‑Q) and official press releases to confirm dates and terms of any corporate actions.
Financial overview
Key financial metrics
When evaluating vf corp stock, investors typically track these headline financial metrics:
- Revenue (top line) and revenue growth by segment and geography.
- Gross margin and operating margin trends, reflecting sourcing costs and mix.
- Net income and adjusted EPS, which show profitability after non-recurring items.
- Cash flow from operations and free cash flow, indicating the firm’s ability to fund operations and capital returns.
- Net debt and leverage ratios (e.g., Net Debt / EBITDA), used to assess balance-sheet flexibility.
Balance-sheet items such as inventory levels and receivables are also material for retail and apparel companies because they reflect working-capital management and the ability to respond to demand shifts.
Note: these metrics change quarterly and annually; the latest authoritative values are in the company’s SEC filings and investor presentations.
Recent earnings trends
Recent company earnings cycles for vf corp stock have focused on execution themes: margin recovery, direct-to-consumer growth, and inventory normalization. Earnings releases and conference calls often highlight beats/misses relative to consensus, revised guidance, and management commentary on the outlook. For example, reported quarterly results in the last several cycles included mixed signals across segments with some brands outperforming and others facing demand headwinds. Markets reacted to both headline revenue/margin numbers and updated guidance — these reactions are visible in short-term price moves for vf corp stock following earnings dates.
As of 2026-01-27, according to MarketWatch and company releases, earnings commentary emphasized brand investments, cost discipline, and balance-sheet management as drivers for the near-term outlook.
Dividends and shareholder returns
Dividend policy and recent payouts
VF has had a history of paying cash dividends, and dividend policy is part of its capital allocation framework. For vf corp stock, investors typically monitor dividend yield, payout per share, and the sustainability of dividends relative to cash flow. Dividend amounts and ex-dividend dates are reported quarterly on investor relations pages and in earnings releases.
As of 2026-01-27, market pages reported a cash dividend yield for vf corp stock in a moderate single-digit area historically; exact recent per-share payouts and upcoming ex-dividend dates should be confirmed from the company’s investor relations materials and recent press releases.
Total shareholder return and buybacks
In addition to dividends, share repurchase programs have been used at times to return capital and offset dilution. When vf corp stock has had active buyback programs, these were disclosed in filings and are considered by investors when calculating total shareholder return. The combination of dividends and buybacks informs long-term shareholder yield and is a regular focus in capital-allocation discussions during earnings calls.
Ownership, analysts and market sentiment
Major shareholders and insider activity
Institutional ownership typically represents a large portion of vf corp stock, as is common with large branded consumer companies. Mutual funds, index funds, and other institutional managers often appear among the largest shareholders. Insider activity (director and officer transactions) is tracked by investors for signaling purposes. Notable insider buying or selling is disclosed in SEC Form 4 filings and is monitored by market participants.
Investors checking ownership should review the latest beneficial-ownership filings and 13F filings for institutional positions to understand the current ownership landscape for vf corp stock.
Analyst coverage, ratings and price targets
VF typically receives coverage from multiple sell-side analysts and independent research houses. Analysts publish ratings (buy/hold/sell), three- to twelve-month price targets, and research notes that summarize their models and assumptions. Changes in analyst sentiment or target prices can influence short-term trading in vf corp stock, particularly if many analysts adjust views around the same time after earnings or material corporate news.
Consensus estimates, compiled across analysts, are used by market participants to assess expectations for revenue, EPS, and margin recovery.
Catalysts and recent news items
Recent corporate developments
As of 2026-01-27, according to Reuters and company releases, VF had been focusing on portfolio optimization, brand investment, and operational improvements. Recent corporate items affecting vf corp stock included earnings announcements, investor-day presentations, and any disclosed brand divestitures or acquisitions. For example, press coverage in the prior months described actions to sharpen focus on high-growth categories and to rationalize lower-return businesses, which investors interpreted as part of a longer-term value-creation plan.
(As a reminder: check the company’s latest press releases and SEC filings for exact dates and full text of any announced transactions.)
Macro and sector drivers
External factors materially influence vf corp stock performance. Key macro and sector drivers include:
- Consumer discretionary demand and retail spending trends.
- Tariff policy and geopolitical developments that affect sourcing costs and supply chains.
- Currency fluctuations and international exposure impacting reported revenue and margin.
- Input-cost inflation (textiles, freight) and the company’s ability to pass through costs.
- Seasonal demand patterns (back-to-school, holiday selling, spring/summer footwear cycles).
Supply-chain dynamics and consumer confidence indicators are especially relevant for vf corp stock because they affect both sales and inventory management.
Risks and controversies
Business and financial risks
Principal investment risks for holders of vf corp stock include:
- Exposure to changing consumer preferences that can reduce demand for specific brands or styles.
- Competition from other apparel and footwear companies, including digitally native brands.
- Trade policy and tariffs that increase sourcing costs or disrupt supply chains.
- Inventory obsolescence or markdown risk if demand weakens.
- Leverage and debt servicing risk if the company carries elevated gross or net debt relative to cash flow.
These risks are common to apparel and retail businesses and are regularly discussed in the company’s risk-factor sections in its 10‑K and 10‑Q filings.
Legal and regulatory matters
VF periodically discloses legal contingencies, product liability matters, employment or IP disputes, and other regulatory issues. Such items appear in filings and can affect investor perceptions when litigated amounts or regulatory actions become material. Investors tracking vf corp stock should review the company’s filings for the current status of any class actions, regulatory inquiries, or litigation reserves.
Valuation and investment considerations
Common valuation metrics
Analysts and investors commonly value vf corp stock using metrics such as:
- Price-to-Earnings (P/E) ratio — useful but sensitive to one-time items and cyclical profits.
- Price-to-Sales (P/S) ratio — useful for comparing top-line productivity across retail peers.
- Price-to-Book (P/B) — less prominent for branded apparel, but relevant for balance-sheet-focused investors.
- Enterprise Value / EBITDA (EV/EBITDA) — used when assessing operating performance and debt-adjusted value.
When interpreting these metrics for vf corp stock, investors should account for brand intangibles, changing segment mix, and non-cash charges such as impairments.
Peer comparison
Typical peers for VF include other global apparel and footwear companies, as well as more focused outdoor or streetwear brands. Peer metrics help contextualize growth, margin, and valuation differences. Common comparative metrics include revenue growth, gross margin, operating margin, same-store or comparable-sales trends, and EV/EBITDA multiples.
Corporate governance and management
Executive leadership and board
Investor-focused governance analysis for vf corp stock looks at the CEO, CFO and other senior leaders responsible for strategy and operations, as well as the board composition and independence. Management tenure, track record on capital allocation, and succession planning are areas of scrutiny for governance-minded investors.
Investor-facing communications
VF conducts regular earnings calls, posts investor presentations, and files SEC reports that provide the primary source of factual company information. The company’s investor relations page typically houses annual reports, presentations, and event calendars. Investors in vf corp stock use these materials to validate financial results, review strategy, and listen to management Q&A after quarterly earnings releases.
How to follow and trade the stock
Data sources and tools
Investors use a mix of real-time and delayed data feeds, financial news aggregators, company investor-relations pages, and SEC filings to follow vf corp stock. Recommended data types include:
- Real-time quotes from brokerage platforms and market data providers (for active traders).
- Delayed quotes and company summaries on major financial news sites (for quick checks).
- Official company releases and SEC 10‑Q/10‑K filings for authoritative financial detail.
- Earnings transcripts and investor presentations for management commentary.
For those using crypto- or Web3-related tools, consider Bitget Wallet for asset custody and Bitget (the platform) for accessing markets and research integrations; Bitget is highlighted as a recommended exchange platform in this guide.
Practical considerations for traders/investors
When trading vf corp stock, consider liquidity (average daily volume), bid-ask spreads, and option availability if using derivatives. After-hours quotes can differ materially from regular-session prices, and news released outside trading hours often triggers larger moves at the open. Short interest and institutional ownership are additional items traders monitor for potential technical pressure or support.
Always confirm real-time data and trading mechanics with your broker before placing orders; the reference materials in this article are for informational purposes and not trading instructions.
See also
- Kontoor Brands (spin-off) — related corporate separation history.
- Major apparel peers and retail sector indices for relative performance comparisons.
References and external links
As of 2026-01-27, the following sources provide up-to-date market and company information and were used to inform this guide:
- As of 2026-01-27, according to Reuters, recent corporate commentary and market reporting summarized VF’s portfolio prioritization and related investor reactions.
- As of 2026-01-27, according to Yahoo Finance, snapshot market metrics and 52-week ranges for vf corp stock are published alongside trading volume and basic valuation indicators.
- As of 2026-01-27, according to MarketWatch, earnings dates, dividend announcements and analyst summaries for vf corp stock were reported in their company pages.
- For authoritative financial statements and detailed risk disclosures, refer to VF Corporation’s SEC filings (10‑K and 10‑Q) and the company investor relations materials for the latest quarterly and annual data.
Note: investors should verify quantitative figures (market cap, shares outstanding, dividend amounts, debt levels) in real-time data feeds or the latest SEC filings when making any decisions.
Further steps
To keep following vf corp stock effectively, bookmark the company’s investor relations page, set alerts around earnings and major corporate events, and use a trusted broker or platform such as Bitget to access market data, trade execution, and custody via Bitget Wallet. Explore management commentary and the most recent 10‑Q/10‑K filings for definitive figures.
If you want a tailored watchlist or a checklist of the exact items to monitor for vf corp stock (earnings dates, dividend ex-dates, share repurchase authorizations, and key margin metrics), say the word and I will prepare a concise, actionable checklist you can use when monitoring the ticker.





















