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Boot Barn Holdings, Inc. BOOT

NYSE · stock · Retail-Shoe Stores · website · IPO 2014-10-30 · LEI

Boot Barn Holdings, Inc. financials (annual)

Revenue
$629.8M $677.9M $776.9M $845.6M $893.5M $1.49B $1.66B $1.67B $1.91B $2.25B 2017201820192020202120222023202420252026
Net income
$14.2M $28.9M $39.0M $47.9M $59.4M $192.4M $170.6M $147.0M $180.9M $225.9M 2017201820192020202120222023202420252026
Free cash flow
$18.9M $19.8M $35.7M -$11.9M $127.5M $28.4M -$35.6M $117.3M -$753000 $126.3M 2017201820192020202120222023202420252026

Bars are annual figures from 2017 to 2026; red bars are negative (a loss or cash outflow).

MetricFY2026FY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017
Revenue$2.3B$1.9B$1.7B$1.7B$1.5B$893.5M$845.6M$776.9M$677.9M$629.8M
Gross profit$858.4M$717.0M$614.4M$610.6M$575.1M$294.9M$276.5M$251.4M$207.9M$189.9M
SG&A expense$559.2M$477.7M$416.2M$378.8M$316.7M$208.6M$202.8M$187.1M$161.7M$152.1M
Operating income$299.1M$239.4M$198.2M$231.8M$258.3M$86.3M$73.7M$64.3M$46.3M$37.8M
Income tax$74.7M$59.2M$50.4M$55.3M$60.1M$17.9M$12.4M$9.0M$2.3M$8.9M
Net income$225.9M$180.9M$147.0M$170.6M$192.4M$59.4M$47.9M$39.0M$28.9M$14.2M
EPS (diluted)$7.35$5.88$4.80$5.62$6.33$2.01$1.64$1.35$1.05$0.53
Operating cash flow$304.9M$147.5M$236.1M$88.9M$88.9M$155.9M$25.3M$63.3M$44.2M$41.2M
Free cash flow$126.3M-$753,000$117.3M-$35.6M$28.4M$127.5M-$11.9M$35.7M$19.8M$18.9M
Cash & equivalents$141.0M$69.8M$75.8M$18.2M$20.7M$73.1M$69.6M$16.6M$9.0M$8.0M
Inventory$844.6M$747.2M$599.1M$589.5M$474.3M$275.8M$288.7M$240.7M$211.5M$189.1M
Total assets$2.5B$2.0B$1.7B$1.5B$1.2B$933.6M$924.7M$636.1M$587.9M$565.6M
Total liabilities$1.1B$887.0M$761.9M$740.9M$600.2M$538.7M$603.0M$371.9M$373.3M$385.7M
Shareholders' equity$1.3B$1.1B$943.6M$776.5M$599.7M$394.9M$321.7M$264.2M$214.6M$179.9M

Growth · year-over-year · Revenue CAGR 15.2%

MetricFY2026FY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017
Revenue growth+17.9%+14.6%+0.6%+11.4%+66.6%+5.7%+8.8%+14.6%+7.6%
Net income growth+24.8%+23.1%-13.8%-11.4%+224.1%+23.9%+22.9%+35.1%+103.4%+43.9%
EPS growth+25.0%+22.5%-14.6%-11.2%+214.9%+22.6%+21.5%+28.6%+98.1%+43.2%
Free cash flow growth-100.6%-225.4%-77.7%-133.2%+80.6%+4.9%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · US · as of 2026-03-28. Facts plus Stocktoria's own computed scores — not investment advice.