Capri Holdings Limited

NYSE:CPRI Aktierapport

Börsvärde: US$2.3b

Capri Holdings Tidigare resultatutveckling

Tidigare kriterier kontrolleras 0/6

Capri Holdings s intäkter har minskat med en genomsnittlig årlig takt på -52.8%, medan Luxury -branschen såg intäkter på växande 8.3% årligen. Intäkterna har varit fallande med en genomsnittlig takt på 2.5% per år.

Viktig information

-52.83%

Tillväxttakt i vinsten

-54.76%

Tillväxttakt för EPS

Luxury Tillväxt i branschen12.25%
Intäkternas tillväxttakt-2.52%
Avkastning på eget kapital-1,067.59%
Nettomarginal-26.68%
Senaste uppdateringen av resultatet27 Dec 2025

Senaste uppdateringar av tidigare prestationer

Recent updates

Capri Holdings: Early Signs Of A Turnaround In A Still-Uncertain Rebuild

Apr 28

CPRI: Mixed Rating Revisions And New CFO Appointment Will Shape Outlook

Capri Holdings' updated analyst price target remains at $21.00, as analysts weigh softer assumed revenue trends and margin expectations against slightly lower discount rates and a higher future P/E assumption, following recent mixed target moves and upgrades across the Street. Analyst Commentary Recent research on Capri Holdings reflects a mixed backdrop, with several firms adjusting targets and ratings as they reassess risk and reward.

CPRI: Trend Right Styles And 2026 Guidance Will Support Re Rating

Analysts have trimmed their overall price expectations for Capri Holdings, with several firms cutting targets by $3 to $6 and a few raising them by $1. This has led to a modest reset in the consensus view as assumptions for risk, growth, margins and future P/E multiples are fine tuned.

CPRI: Trend Right Styles And 2026 Guidance Will Support Multiple Repricing

Capri Holdings' updated analyst price target reflects a modest reset in expectations, as analysts balance softer revenue and margin assumptions with a slightly higher future P/E outlook and a mix of recent target cuts and upgrades across the Street. Analyst Commentary Recent Street research on Capri Holdings reflects a mixed setup, with several firms adjusting ratings and price targets around the same time.

CPRI: Brand Momentum And New CFO Appointment Will Shape Bullish Outlook

Analysts have trimmed their average price targets on Capri Holdings by a few dollars per share, reflecting slightly softer revenue growth assumptions. This is offset in part by steadier profit margin expectations and updated P/E and discount rate inputs.

CPRI: Mixed Research Views And Margin Reset Will Shape A Balanced Outlook

The analyst price target for Capri Holdings has been cut by $2, with analysts citing updated views on revenue trends, margin expectations, and a higher assumed future P/E multiple following a mix of recent target cuts and upgrades across the Street. Analyst Commentary Recent Street research on Capri Holdings reflects a mixed backdrop, with several bearish analysts trimming price targets while a smaller group has adjusted targets higher or upgraded the stock.

CPRI: Trend Right Styles And 2026 Earnings Guidance Will Support Repricing

Analysts have nudged their fair value estimate for Capri Holdings higher to about $27.13, reflecting a slightly lower implied discount rate and modestly less severe revenue contraction expectations, even as Street price targets have been mixed with several cuts and a few upgrades. Analyst Commentary Street research on Capri Holdings has been mixed, with several firms trimming price targets while others have upgraded their ratings or nudged targets higher.

CPRI: Margin Resilience And Buybacks Will Support A Balanced Risk Profile

Narrative Update Overview Analysts have inched their price expectations higher for Capri Holdings, with a Street target move to $24 from $23. This reflects updated views on margin resilience, a slightly lower discount rate, and support from recent rating changes and higher targets across the fashion and sportswear peer group.

CPRI: Margin Recovery And Buybacks Will Frame A Balanced Risk Profile

Analysts have raised their average price target on Capri Holdings to $24 from $23, reflecting updated views on profit margin potential, modestly adjusted growth assumptions, and differing opinions on how the Michael Kors brand and higher income consumers might support shareholder value over time. Analyst Commentary Recent research on Capri Holdings presents a mixed picture, with some firms pointing to potential upside drivers while others highlight execution and valuation risks.

CPRI: Margin Recovery And Buybacks Will Define A Cautious Path Forward

Analysts have lifted their fair value estimate for Capri Holdings to $23 from $17 per share, citing incremental target hikes and new Buy-rated coverage that highlight improved margin prospects and multiple avenues for shareholder value creation, despite tempered revenue growth expectations. Analyst Commentary Recent Street research reflects a mixed but generally cautious stance on Capri Holdings, with modest price target increases underscoring lingering concerns around execution risk and the durability of margin improvement.

CPRI: Profit Focus And Buybacks Will Support Balanced Risk Reward Outlook

Capri Holdings' analyst price target has been raised modestly from approximately $26.17 to about $26.54 per share, as analysts factor in updated Fashion Brands group estimates and potential shareholder value creation from initiatives such as the Michael Kors profitability recovery. Analyst Commentary Analysts remain divided on Capri Holdings, with some highlighting upside from execution on strategic initiatives and others signaling that valuation already reflects a fair degree of uncertainty.

Capri Holdings Limited's (NYSE:CPRI) Shares Climb 32% But Its Business Is Yet to Catch Up

Dec 04
Capri Holdings Limited's (NYSE:CPRI) Shares Climb 32% But Its Business Is Yet to Catch Up

CPRI: Profitability Focus And Buy Ratings Will Support Fair Valuation

Analysts have revised their price targets for Capri Holdings upward, with targets now ranging from $21 to $30 per share. They cite multiple paths for shareholder value creation and a focus on profitability improvements.

CPRI: Improved Profitability And Margin Recovery Will Drive Renewed Uptrend

Capri Holdings' analyst price target has been raised modestly from $25.85 to $26.17. Analysts cite improved profitability and expectations for a recovery at key brands, along with gradual stabilization in revenue trends.

Brand Recovery Efforts Will Drive Revenue Stability And Renewed Market Confidence

Capri Holdings' analyst price target has increased modestly, rising from $25.25 to $25.85. Analysts note incremental improvements in revenue outlook and ongoing brand recovery efforts, despite remaining near-term challenges.

Data-Driven Marketing And Renovations Will Boost Brand Appeal

Capri Holdings saw marginal, essentially unchanged movements in both its future P/E ratio and discount rate, resulting in a negligible increase in the analyst price target from $24.33 to $24.58. What's in the News Capri Holdings provided FY2026 guidance with expected revenue of $3.375–$3.45 billion, operating income around $100 million, and diluted EPS of $1.20–$1.40.
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Omnichannel Efforts And Asian Demand Will Revitalize Luxury

Enhanced digital and direct-to-consumer investments, alongside modernized marketing, position the brands for broader engagement, better margins, and improved profitability.

Capri Holdings Stock Outlook Bolstered By Likely Versace Sale - Strong Buy Reiterated

Apr 10

Capri: Prada Doing A Heat Check With A Potential Versace Takeover

Mar 04

The story is complicated

 It has become  more apparent that Capri’s turnaround story has to  be done with no  moat and rather tiny margins moving forward as it tries to move back to profitability. It can’t currently do buybac

Capri Holdings: A Perfect Storm Ahead - This Is A Sell

Jan 30

Capri Holdings Remains Fundamentally Strong, SOTP Shows Potential Big Upside

Jan 14

If Capri Can Sell Versace And Jimmy Choo, It Should - Here's Why

Dec 17

From Mergers To Margins: Capri's Struggle For A Turnaround

Dec 10

A Refocused Capri Holdings Looks Like A Steal Under $25

Oct 25

Is Capri Holdings (NYSE:CPRI) A Risky Investment?

Sep 11
Is Capri Holdings (NYSE:CPRI) A Risky Investment?

Capri Holdings: Up To 64% Merger Arbitrage Upside As Flimsy FTC Trial Begins

Sep 09

Capri Holdings Is An Attractive Investment

Jul 09

Getting In Cheap On Capri Holdings Limited (NYSE:CPRI) Might Be Difficult

Apr 25
Getting In Cheap On Capri Holdings Limited (NYSE:CPRI) Might Be Difficult

What Next For Investors As Tapestry's Acquisition Of Capri Goes To Court

Apr 25

Capri Holdings: A Risky Way To Capture Significant Upside As The FTC Looms

Apr 16

Is Capri Holdings Limited (NYSE:CPRI) Trading At A 37% Discount?

Apr 08
Is Capri Holdings Limited (NYSE:CPRI) Trading At A 37% Discount?

Capri Holdings Still A Buy While Navigating EU Merger Control

Apr 01

We Think Capri Holdings (NYSE:CPRI) Is Taking Some Risk With Its Debt

Mar 23
We Think Capri Holdings (NYSE:CPRI) Is Taking Some Risk With Its Debt

Capri Holdings: Market (Mistakenly?) Shows Little Confidence In This Luxury Deal

Mar 12

We Think You Can Look Beyond Capri Holdings' (NYSE:CPRI) Lackluster Earnings

Feb 21
We Think You Can Look Beyond Capri Holdings' (NYSE:CPRI) Lackluster Earnings

Capri Holdings (NYSE:CPRI) Will Want To Turn Around Its Return Trends

Feb 14
Capri Holdings (NYSE:CPRI) Will Want To Turn Around Its Return Trends

Fördelning av intäkter och kostnader

Hur Capri Holdings tjänar och spenderar pengar. Baserat på senast rapporterade resultat, på rullande tolvmånadersbasis.


Resultat- och intäktshistorik

NYSE:CPRI Intäkter, kostnader och resultat (USD Millions )
DatumIntäkterIntäkterG+A KostnaderFoU-kostnader
27 Dec 254,326-1,1542,5280
27 Sep 254,369-1,2062,5440
28 Jun 254,391-1,1292,5500
29 Mar 254,442-1,1822,5810
28 Dec 244,017-4212,2140
28 Sep 244,376-3212,4040
29 Jun 244,789-2742,5770
30 Mar 245,170-2292,7800
30 Dec 235,2822092,8110
30 Sep 235,3673292,7950
01 Jul 235,4884632,7800
01 Apr 235,6196162,7140
31 Dec 225,7767312,7140
01 Oct 225,8738282,6470
02 Jul 225,7618042,6090
02 Apr 225,6548222,5410
25 Dec 215,3595582,3650
25 Sep 215,0524152,2590
26 Jun 214,8623372,1370
27 Mar 214,060-622,0310
26 Dec 204,055-4302,0370
26 Sep 204,324-3992,1150
27 Jun 204,656-4482,2530
28 Mar 205,551-2232,4390
28 Dec 195,7033472,4600
28 Sep 195,5703372,3370
29 Jun 195,3814022,2080
30 Mar 195,2385432,0750
29 Dec 185,0745681,9660
29 Sep 185,0765881,9450
30 Jun 184,9706531,8540
31 Mar 184,7195921,7670
30 Dec 174,6045211,6790
30 Sep 174,5175731,6000
01 Jul 174,4585311,5760
01 Apr 174,4945531,5410
31 Dec 164,6287561,5220
01 Oct 164,6727801,4920
02 Jul 164,7148121,4570
02 Apr 164,7128391,4280
26 Dec 154,5948451,3720
26 Sep 154,5128541,3390
27 Jun 154,4388681,2990

Kvalitetsintäkter: CPRI är för närvarande olönsam.

Växande vinstmarginal: CPRI är för närvarande olönsam.


Fritt kassaflöde vs resultatanalys


Analys av tidigare vinsttillväxt

Resultatutveckling: CPRI är olönsam och förlusterna har ökat under de senaste 5 åren i en takt av 52.8% per år.

Accelererande tillväxt: Det går inte att jämföra CPRI s intäktstillväxt under det senaste året med dess 5-åriga genomsnitt eftersom det för närvarande är olönsamt

Resultat vs industri: CPRI är olönsam, vilket gör det svårt att jämföra det senaste årets vinsttillväxt med Luxury branschen ( -14.4% ).


Avkastning på eget kapital

Hög ROE: CPRI har en negativ avkastning på eget kapital ( -1067.59% ), eftersom det för närvarande är olönsamt.


Avkastning på tillgångar


Avkastning på sysselsatt kapital


Upptäck starka bolag som tidigare presterat bra

Företagsanalys och finansiella data Status

UppgifterSenast uppdaterad (UTC-tid)
Analys av företag2026/05/04 17:03
Aktiekurs vid dagens slut2026/05/04 00:00
Intäkter2025/12/27
Årlig intjäning2025/03/29

Datakällor

Den data som används i vår företagsanalys kommer från S&P Global Market Intelligence LLC. Följande data används i vår analysmodell för att generera denna rapport. Data är normaliserade vilket kan medföra en fördröjning från det att källan är tillgänglig.

PaketUppgifterTidsramExempel US-källa
Företagets finansiella ställning10 år
  • Resultaträkning
  • Kassaflödesanalys
  • Balansräkning
Analytikernas konsensusuppskattningar+3 år
  • Prognos för finansiella poster
  • Analytikernas prismål
Marknadspriser30 år
  • Aktiekurser
  • Utdelningar, splittar och åtgärder
Ägarskap10 år
  • Största aktieägare
  • Insiderhandel
Förvaltning10 år
  • Ledningsgrupp
  • Styrelse och verkställande direktörer
Viktiga utvecklingstendenser10 år
  • Företagsmeddelanden

* Exempel för amerikanska värdepapper, för icke-amerikanska värdepapper används motsvarande regelverk och källor.

Om inget annat anges är all finansiell data baserad på en årsperiod men uppdateras kvartalsvis. Detta kallas data för efterföljande tolv månader (TTM) eller senaste tolv månader (LTM). Lär dig mer om detta.

Analysmodell och snöflinga

Detaljer om analysmodellen som användes för att skapa den här rapporten finns på vår Github-sida, vi har också guider om hur du använder våra rapporter och tutorials på Youtube.

Lär dig mer om det team i världsklass som utformade och byggde analysmodellen Simply Wall St.

Industri- och sektormått

Våra bransch- och sektionsmått beräknas var sjätte timme av Simply Wall St, detaljer om vår process finns tillgängliga på Github.

Källor för analytiker

Capri Holdings Limited bevakas av 42 analytiker. 15 av dessa analytiker lämnade de uppskattningar av intäkter eller resultat som användes som indata till vår rapport. Analytikernas inskickade estimat uppdateras löpande under dagen.

AnalytikerInstitution
null nullArgus Research Company
Mark AltschwagerBaird
Robert DrbulBarclays