WOLVERINE WORLD WIDE INC /DE/ (WWW)

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CIK 0000110471 · NYSE · Footwear, (No Rubber)

  • Sector Manufacturing
  • Incorporated MI
  • Fiscal year ends Dec 30

In fiscal 2026, WOLVERINE WORLD WIDE INC /DE/ reported revenue of $1.87B. The company was profitable, with a net margin of 5.1% and a gross margin of 47.3%.

Key ratios (FY2026)

47.3%
Gross margin
8.0%
Operating margin
5.1%
Net margin
23.5%
Return on equity
Metric (FY)2026202420232022202120192018201720162015
Revenue$1.87B$1.75B$2.24B$2.68B$1.79B$2.27B$2.24B$2.35B$2.49B$2.76B
Cost of Revenue$987.60M$977.00M$1.37B$1.61B$1.06B$1.35B$1.32B$1.43B$1.53B
Gross Profit$886.70M$778.00M$873.90M$1.07B$735.60M$923.80M$921.30M$914.40M$959.90M$1.09B
Operating Income$150.20M$97.50M-$66.80M-$208.40M-$137.10M$171.00M$251.90M$31.60M$163.80M$229.90M
Net Income$95.80M$45.20M-$38.50M-$188.30M-$136.90M$128.50M$200.10M$300.0K$87.70M$133.10M
EPS (Diluted)$1.14$0.55$-0.49$-2.37$-1.70$1.44$2.05$0.00$0.89$1.30
Total Assets$1.71B$1.67B$2.06B$2.49B$2.14B$2.48B$2.18B$2.40B$2.43B$2.50B
Shareholders' Equity$408.00M$312.90M$278.60M$320.60M$561.40M$766.70M$986.00M$949.60M$966.50M$933.50M
Cash & Equivalents$161.70M$347.40M$180.60M$143.10M$481.00M$369.80M$223.80M
Operating Cash Flow$140.00M$180.10M$121.80M-$178.90M$309.10M$222.60M$97.50M$202.70M$296.30M$314.60M
Capital Expenditures$14.50M$20.20M$14.60M$36.50M$10.30M$34.40M$21.70M$32.40M$55.30M$30.00M
Shares Outstanding81.70M80.00M79.40M79.70M81.00M87.20M95.00M95.40M96.20M100.10M
Dividends Per Share$0.40$0.40$0.40$0.40$0.40$0.40$0.32$0.24$0.24$0.24