NYSE · BOOTConsumer DiscretionaryRetail Trade

Boot Barn Holdings financials

$121.89−3.38%
Close Sep 29, 2026 · split-adjusted

Revenue

Net income

Income statement & cash flow

Fiscal yearFY26
Mar 28
FY25
Mar 29
FY24
Mar 30
FY23
Apr 1
FY22
Mar 26
FY21
Mar 27
FY20
Mar 28
FY19
Mar 30
FY18
Mar 31
FY17
Apr 1
Revenue$2.25B$1.91B$1.67B$1.66B$1.49B$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
Gross margin38.1%37.5%36.9%36.8%38.6%33.0%32.7%32.4%30.7%30.1%
Operating income$299.1M$239.4M$198.2M$231.8M$258.3M$86.3M$73.7M$64.3M$46.3M$37.8M
Net income$225.9M$180.9M$147.0M$170.6M$192.4M$59.4M$47.9M$39.0M$28.9M$14.2M
Net margin10.0%9.5%8.8%10.3%12.9%6.6%5.7%5.0%4.3%2.3%
Diluted EPS$7.35$5.88$4.80$5.62$6.33$2.01$1.64$1.35$1.05$0.53
EBITDA$377.8M$301.8M$247.8M$268.0M$285.7M$144.7M$126.1M$83.2M$63.4M$54.5M
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-$753.0K$117.3M-$35.6M$28.4M$127.5M-$11.9M$35.7M$19.8M$18.9M
Diluted shares30.7M30.8M30.6M30.4M30.4M29.5M29.2M28.8M27.5M26.9M

Balance sheet

Period endMar 28Mar 29Mar 30Apr 1Mar 26Mar 27
Cash & equivalents$141.0M$69.8M$75.8M$18.2M$20.7M$73.1M
Short-term investments$0.00$0.00$0.00$0.00——
Total debt$683.7M$490.2M$403.3M$66.0M$28.5M$109.8M
Total assets$2.45B$2.02B$1.71B$1.52B$1.20B$933.6M
Total liabilities$1.13B$887.0M$761.9M$740.9M$600.2M$538.7M
Shareholders' equity$1.32B$1.13B$943.6M$776.5M$599.7M$394.9M

From SEC filings via Massive. Fiscal periods follow the company's own calendar; free cash flow is operating cash flow minus capital expenditure.

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology