Capri Holdings Equity 2024

Capri Holdings Equity

1.85 B USD

Capri Holdings Dividend yield

Ticker

CPRI

ISIN

VGG1890L1076

WKN

A2PBDX

In 2024, Capri Holdings's equity was 1.85 B USD, a -27.78% increase from the 2.56 B USD equity in the previous year.

Capri Holdings Aktienanalyse

What does Capri Holdings do?

Capri Holdings Ltd is an internationally operating fashion holding company based in London, founded in 1981 by Michael Kors. Originally, Capri Holdings' range of products ranged from various items such as shoes, eyewear, and menswear, to luxury brand bags and accessories from Michael Kors, Jimmy Choo, and Versace. The company has experienced tremendous expansion in recent years, expanding its offerings and international presence. Michael Kors, the founder of Capri Holdings, achieved his breakthrough in the fashion industry as a designer and entrepreneur in the 1990s with his brand Michael Kors. In order to market his brand internationally and expand the offerings, he founded Michael Kors Holdings Limited in 2003. Two decades later, he decided to acquire the company and incorporate it into the newly formed Capri Holdings Ltd. The business model of Capri Holdings Ltd is based on the sale of luxury products and the management of three different brands: Michael Kors, Jimmy Choo, and Versace. The company specializes in the production and sale of products that are considered high quality in the fashion industry. This includes various product categories ranging from clothing and shoes to bags and accessories that can be purchased by customers worldwide. The various brands of Capri Holdings have each found their own niche in the fashion industry. Michael Kors is primarily known for its classic, comfortable, yet exclusive fashion items and is worn by everyone. The Jimmy Choo brand is known for its shoe designs and has established itself as a true powerhouse in the industry. Versace is known for its extravagant style and is particularly popular among younger customers. Capri Holdings Ltd offers numerous fashion items that are appreciated by customers worldwide. Special attention is paid to details in the bags, which is why they are particularly high quality and produced in small quantities. A variety of shoes are sold under the Jimmy Choo brand, ranging from high heels and wedges to sandals. Michael Kors mainly offers classic yet elegant shoes. The goal of Capri Holdings Ltd is to position the Michael Kors brand as a leading provider of high-quality luxury products. The company constantly strives to expand its offerings and presence worldwide. Through the acquisition of Jimmy Choo and Versace, Capri Holdings has strengthened its position in the industry and can now access a broader customer base. Overall, Capri Holdings Ltd is a successful fashion company with extensive experience in the industry. The company has a wide range of products and global presence and knows how to position the various brands positively in the market. Capri Holdings continuously works to expand its offerings and improve customer service to remain competitive in the future. Capri Holdings ist eines der beliebtesten Unternehmen auf Eulerpool.com.

Equity Details

Analyzing Capri Holdings's Equity

Capri Holdings's equity represents the ownership interest in the company, calculated as the difference between total assets and total liabilities. It reflects the residual claim by shareholders on the company’s assets after all debts have been paid. Understanding Capri Holdings's equity is essential for assessing its financial health, stability, and value to shareholders.

Year-to-Year Comparison

Evaluating Capri Holdings's equity over successive years offers insights into the company's growth, profitability, and capital structure. Increasing equity indicates an enhancement in net assets and financial health, while decreasing equity could point to rising debts or operational challenges.

Impact on Investments

Capri Holdings's equity is a crucial element for investors, influencing the company's leverage, risk profile, and return on equity (ROE). Higher equity levels generally suggest lower risk and enhanced financial stability, making the company a potentially attractive investment opportunity.

Interpreting Equity Fluctuations

Fluctuations in Capri Holdings’s equity can arise from various factors, including changes in net income, dividend payments, and issuance or buyback of shares. Investors analyze these shifts to gauge the company's financial performance, operational efficiency, and strategic financial management.

Frequently Asked Questions about Capri Holdings Stock

What is the equity of Capri Holdings this year?

Capri Holdings has equity of 1.85 B USD this year.

What was the equity of Capri Holdings compared to the previous year?

The equity of Capri Holdings has increased/decreased by -27.78% decreased compared to the previous year.

What impact does a high equity have on investors of Capri Holdings?

A high equity is advantageous for investors of Capri Holdings as it is an indicator of the company's financial stability and its ability to manage risks and challenges.

What impact does low equity have on investors of Capri Holdings?

A low equity can be a risk for investors of Capri Holdings, as it can put the company in a weaker financial position and impair its ability to manage risks and challenges.

How does an increase in equity of Capri Holdings affect the company?

An increase in equity of Capri Holdings can strengthen the company's financial position and improve its ability to make investments in the future.

How does a reduction in the equity of Capri Holdings affect the company?

A reduction in equity of Capri Holdings can affect the financial situation of the company and lead to a higher dependence on debt capital.

What are some factors that influence the equity of Capri Holdings?

Some factors that can affect the equity of Capri Holdings include profits, dividend payments, capital increases, and acquisitions.

Why is the equity of Capri Holdings so important for investors?

The equity of Capri Holdings is important for investors as it is an indicator of the financial strength of the company and can be an indication of how well the company is able to fulfill its financial obligations.

What strategic measures can Capri Holdings take to change the equity?

To change equity, Capri Holdings can take various measures such as increasing profits, conducting capital increases, reducing expenses, and acquiring companies. It is important for the company to perform a thorough review of its financial situation to determine the best strategic actions to modify its equity.

How much dividend does Capri Holdings pay?

Over the past 12 months, Capri Holdings paid a dividend of . This corresponds to a dividend yield of about . For the coming 12 months, Capri Holdings is expected to pay a dividend of 0 USD.

What is the dividend yield of Capri Holdings?

The current dividend yield of Capri Holdings is .

When does Capri Holdings pay dividends?

Capri Holdings pays a quarterly dividend. This is distributed in the months of .

How secure is the dividend of Capri Holdings?

Capri Holdings paid dividends every year for the past 0 years.

What is the dividend of Capri Holdings?

For the upcoming 12 months, dividends amounting to 0 USD are expected. This corresponds to a dividend yield of 0 %.

In which sector is Capri Holdings located?

Capri Holdings is assigned to the 'Cyclical consumption' sector.

Wann musste ich die Aktien von Capri Holdings kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Capri Holdings from 5/24/2024 amounting to 0 USD, you needed to have the stock in your portfolio before the ex-date on 5/24/2024.

When did Capri Holdings pay the last dividend?

The last dividend was paid out on 5/24/2024.

What was the dividend of Capri Holdings in the year 2023?

In the year 2023, Capri Holdings distributed 0 USD as dividends.

In which currency does Capri Holdings pay out the dividend?

The dividends of Capri Holdings are distributed in USD.

Stock savings plans offer an attractive way for investors to build wealth over the long term. One of the main advantages is the so-called cost-average effect: by regularly investing a fixed amount in stocks or stock funds, you automatically buy more shares when prices are low, and fewer when they are high. This can lead to a more favorable average price per share over time. In addition, stock savings plans allow small investors access to expensive stocks, as they can participate with small amounts. Regular investment also promotes a disciplined investment strategy and helps to avoid emotional decisions, such as impulsive buying or selling. Furthermore, investors benefit from the potential appreciation of the stocks as well as from dividend distributions, which can be reinvested, enhancing the compounding effect and thus the growth of the invested capital.

Andere Kennzahlen von Capri Holdings

Our stock analysis for Capri Holdings Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Capri Holdings Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.