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Wolverine World Wide, Inc. (WWW) 10-Year Financial Performance & Capital Metrics

WWW • • Industrial / General
Consumer CyclicalFootwear & AccessoriesWork & Outdoor FootwearOutdoor & Rugged Footwear
AboutWolverine World Wide, Inc. designs, manufactures, sources, markets, licenses, and distributes footwear, apparel, and accessories in the United States, Europe, the Middle East, Africa, the Asia Pacific, Canada and Latin America. The company operates through two segments, Wolverine Michigan Group and Wolverine Boston Group. It offers casual footwear and apparel; performance outdoor and athletic footwear and apparel; kids' footwear; industrial work boots and apparel; and uniform shoes and boots. The company sources, markets, and licenses a range of footwear styles, such as shoes, boots, and sandals under the Bates, Cat, Chaco, Harley-Davidson, Hush Puppies, Hytest, Keds, Merrell, Saucony, Sperry, Sweaty Betty, Wolverine, and Stride Rite brands. It also markets Merrell and Wolverine branded apparel and accessories, as well as licenses its brands for use on non-footwear products, including the Hush Puppies apparel, eyewear, watches, socks, handbags, and plush toys; Wolverine branded eyewear and gloves; and Keds, Saucony, and Sperry branded apparel. In addition, the company markets pigskin leather under the Wolverine Warrior Leather, Weather Tight, and All Season Weather Leathers trademarks for use in the footwear industry. Further, it operates brick and mortar retail stores, and eCommerce sites. The company sells its products to department stores, national chains, catalog and specialty retailers, independent retailers, uniform outlets, and mass merchant and government customers through retail stores, as well as through third-party licensees and distributors, and joint ventures. As of January 1, 2022, it operated 143 retail stores, as well as 65 consumer-direct eCommerce sites. Wolverine World Wide, Inc. was founded in 1883 and is based in Rockford, Michigan.Show more
  • Revenue $1.75B -21.8%
  • EBITDA $127M +391.1%
  • Net Income $48M +221.0%
  • EPS (Diluted) 0.58 +213.7%
  • Gross Margin 44.53% +14.5%
  • EBITDA Margin 7.25% +472.0%
  • Operating Margin 5.75% +289.3%
  • Net Margin 2.73% +254.6%
  • ROE 15.54% +225.4%
  • ROIC 6.98% +288.8%
  • Debt/Equity 2.52 -30.5%
  • Interest Coverage 2.37 +320.2%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 7/9
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Healthy dividend yield of 2.1%
  • ✓Efficient asset utilization: 1.1x turnover

✗Weaknesses

  • ✗High debt to equity ratio of 2.5x
  • ✗Profits declining 17.9% over 5 years
  • ✗Sales declining 5.0% over 5 years
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-4.43%
5Y-5.05%
3Y-10.09%
TTM3.61%

Profit (Net Income) CAGR

10Y-9.71%
5Y-17.91%
3Y-11.28%
TTM229.01%

EPS CAGR

10Y-7.75%
5Y-16.74%
3Y-10.54%
TTM217.98%

ROCE

10Y Avg3.29%
5Y Avg-1.77%
3Y Avg-3.2%
Latest8.67%

Peer Comparison

Outdoor & Rugged Footwear
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
WWWWolverine World Wide, Inc.1.59B19.3533.36-21.75%4.73%22.4%10.08%2.52

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+2.69B2.49B2.35B2.24B2.27B1.79B2.41B2.68B2.24B1.75B
Revenue Growth %-0.03%-0.07%-0.06%-0.05%0.02%-0.21%0.35%0.11%-0.16%-0.22%
Cost of Goods Sold+1.64B1.53B1.44B1.32B1.35B1.06B1.39B1.61B1.37B973.5M
COGS % of Revenue0.61%0.62%0.61%0.59%0.59%0.59%0.57%0.6%0.61%0.55%
Gross Profit+1.05B959.9M914.4M921.3M923.8M735.6M1.03B1.07B872.5M781.5M
Gross Margin %0.39%0.38%0.39%0.41%0.41%0.41%0.43%0.4%0.39%0.45%
Gross Profit Growth %-0.03%-0.09%-0.05%0.01%0%-0.2%0.4%0.04%-0.18%-0.1%
Operating Expenses+816M758M749M669.4M752.8M872.7M874.2M1.28B940.7M680.5M
OpEx % of Revenue0.3%0.3%0.32%0.3%0.33%0.49%0.36%0.48%0.42%0.39%
Selling, General & Admin816M758M713.7M654.1M669.3M639.4M817.8M906.4M856.2M690M
SG&A % of Revenue0.3%0.3%0.3%0.29%0.29%0.36%0.34%0.34%0.38%0.39%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses3.3M3.5M-2.4M600K83.5M233.3M56.4M372.4M84.5M-9.5M
Operating Income+201.1M159.9M23.9M251.9M171M-137.1M155.7M-208.4M-68.2M101M
Operating Margin %0.07%0.06%0.01%0.11%0.08%-0.08%0.06%-0.08%-0.03%0.06%
Operating Income Growth %-0.13%-0.2%-0.85%9.54%-0.32%-1.8%2.14%-2.34%0.67%2.48%
EBITDA+249.8M203.4M96.4M298.7M287.2M-104.3M245.3M-173.8M-43.7M127.2M
EBITDA Margin %0.09%0.08%0.04%0.13%0.13%-0.06%0.1%-0.06%-0.02%0.07%
EBITDA Growth %-0.12%-0.19%-0.53%2.1%-0.04%-1.36%3.35%-1.71%0.75%3.91%
D&A (Non-Cash Add-back)48.7M43.5M72.5M46.8M116.2M32.8M89.6M34.6M24.5M26.2M
EBIT202.8M145.3M21.5M251.9M175.9M-140.5M117.7M-205.6M-70.7M104.3M
Net Interest Income+-38.2M-34.8M-32.1M-24.5M-30M-43.6M-37.4M-47.3M-63.5M-42.7M
Interest Income0000000000
Interest Expense38.2M34.8M32.1M24.5M30M43.6M37.4M47.3M63.5M42.7M
Other Income/Expense-36.5M-53.3M-42.2M-24.5M-25.1M-47M-75.4M-44.5M-66M-39.4M
Pretax Income+164.6M110.5M-10.6M227.4M145.9M-184.1M80.3M-252.9M-134.2M61.6M
Pretax Margin %0.06%0.04%-0%0.1%0.06%-0.1%0.03%-0.09%-0.06%0.04%
Income Tax+41.4M23M-9.9M27.1M17M-45.5M13.3M-63.8M-95M10.1M
Effective Tax Rate %0.75%0.79%-0.03%0.88%0.88%0.74%0.85%0.74%0.3%0.78%
Net Income+122.8M87.7M300K200.1M128.5M-136.9M68.6M-188.3M-39.6M47.9M
Net Margin %0.05%0.04%0%0.09%0.06%-0.08%0.03%-0.07%-0.02%0.03%
Net Income Growth %-0.08%-0.29%-1%666%-0.36%-2.07%1.5%-3.74%0.79%2.21%
Net Income (Continuing)123.2M87.5M-700K200.3M128.9M-138.6M67M-189.1M-39.2M51.5M
Discontinued Operations0000000000
Minority Interest6M7.6M5.6M5.6M11.7M11.6M14.8M18.4M21.4M9.2M
EPS (Diluted)+1.190.890.002.111.45-1.710.81-2.37-0.510.58
EPS Growth %-0.08%-0.25%-1%--0.31%-2.18%1.47%-3.93%0.78%2.14%
EPS (Basic)1.190.900.002.181.48-1.710.82-2.37-0.510.58
Diluted Shares Outstanding100M97.12M96.06M95M87.2M81M83.3M79.7M79.4M80.33M
Basic Shares Outstanding98.46M95.3M93.7M91.7M85.1M81M82.3M79.7M79.4M80M
Dividend Payout Ratio0.2%0.27%76.67%0.14%0.26%-0.49%--0.68%

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+1.01B1.03B1.07B867.7M967.1M904.2M903.7M1.27B1.03B688.5M
Cash & Short-Term Investments194.1M369.8M481M143.1M180.6M347.4M161.7M131.5M179M152.1M
Cash Only194.1M369.8M481M143.1M180.6M347.4M161.7M131.5M179M152.1M
Short-Term Investments0000000000
Accounts Receivable298.9M263.3M271.3M361.2M331.2M268.3M319.6M241.7M230.8M209.4M
Days Sales Outstanding40.5338.5242.1458.8853.1754.6848.3132.8637.5643.55
Inventory466.6M348.7M276.7M317.6M348.2M243.1M365.5M745.2M373.6M240.6M
Days Inventory Outstanding103.8582.9370.3587.9694.1584.0796.32168.4899.5190.21
Other Current Assets0000000146.9M166.7M86.4M
Total Non-Current Assets+1.43B1.4B1.32B1.32B1.51B1.23B1.68B1.23B1.04B980.3M
Property, Plant & Equipment131.6M146.1M136.7M130.9M301.8M267.1M267.2M310.9M214.5M191.8M
Fixed Asset Turnover20.45x17.07x17.19x17.11x7.53x6.71x9.04x8.64x10.46x9.15x
Goodwill429.1M424.3M429.8M424.4M438.9M442.4M556.6M485M427.1M424.6M
Intangible Assets782.7M762.3M681.5M676.4M682.3M455.3M792.7M341.4M209M204.5M
Long-Term Investments-3.7M-2.3M-4.3M-3.1M00001.8M200K
Other Non-Current Assets184.7M151.4M153.7M155.6M87M65.2M64.4M65.6M68.9M65.5M
Total Assets+2.44B2.43B2.4B2.18B2.48B2.14B2.59B2.49B2.06B1.67B
Asset Turnover1.10x1.03x0.98x1.03x0.92x0.84x0.93x1.08x1.09x1.05x
Asset Growth %-0.02%-0.01%-0.01%-0.09%0.14%-0.14%0.21%-0.04%-0.17%-0.19%
Total Current Liabilities+353.3M333.7M362.3M473.1M787.4M406M759.6M1.11B869.4M533.1M
Accounts Payable199.7M150.8M162.3M202.3M202.1M185M222.1M272.2M206M200.9M
Days Payables Outstanding44.4535.8741.2656.0354.6563.9758.5361.5454.8775.32
Short-Term Debt16.9M40.4M38M132.5M372.5M10M235M435M315M80M
Deferred Revenue (Current)-1000K-1000K-1000K-1000K000000
Other Current Liabilities108.2M111.7M122M106.4M0008.8M276.6M0
Current Ratio2.87x3.09x2.97x1.83x1.23x2.23x1.19x1.14x1.18x1.29x
Quick Ratio1.55x2.05x2.20x1.16x0.79x1.63x0.71x0.47x0.75x0.84x
Cash Conversion Cycle99.9485.5971.2290.8192.6774.7786.1139.882.258.44
Total Non-Current Liabilities+1.12B1.12B1.08B718.4M914.2M1.16B1.18B1.04B893.4M819.2M
Long-Term Debt792.9M780.3M744.6M438M425.9M712.5M731.8M723M605.8M568M
Capital Lease Obligations0000147.2M130.3M118.2M153.6M132.4M116M
Deferred Tax Liabilities178.6M161M84.2M107.9M99M35.5M118.9M35.3M26.9M29M
Other Non-Current Liabilities139.9M182.6M252.7M172.5M242.1M280.1M213.5M131.5M128.3M106.2M
Total Liabilities1.47B1.46B1.44B1.19B1.7B1.56B1.94B2.15B1.76B1.35B
Total Debt+820M820.7M782.6M570.5M979.7M886.8M1.12B1.35B1.09B797.7M
Net Debt625.9M450.9M301.6M427.4M799.1M539.4M961.6M1.22B908.9M645.6M
Debt / Equity0.84x0.84x0.81x0.57x1.26x1.55x1.74x3.98x3.63x2.52x
Debt / EBITDA3.28x4.03x8.12x1.91x3.41x-4.58x--6.27x
Net Debt / EBITDA2.51x2.22x3.13x1.43x2.78x-3.92x--5.08x
Interest Coverage5.26x4.59x0.74x10.28x5.70x-3.14x4.16x-4.41x-1.07x2.37x
Total Equity+975.7M981.7M960.8M997.2M778.4M573M644.4M339M300M316.5M
Equity Growth %0.04%0.01%-0.02%0.04%-0.22%-0.26%0.12%-0.47%-0.12%0.06%
Book Value per Share9.7610.1110.0010.508.937.077.744.253.783.94
Total Shareholders' Equity969.7M974.1M955.2M991.6M766.7M561.4M629.6M320.6M278.6M307.3M
Common Stock103.9M105.6M106.4M107.6M108.3M110.4M111.6M112.2M113M113.7M
Retained Earnings950.8M1.02B992.2M1.17B1.26B1.09B1.13B907.2M834.8M849.5M
Treasury Stock-110.8M-176.3M-223M-404.4M-736.2M-764.3M-810.2M-891.3M-891M-890.8M
Accumulated OCI-56.1M-81.1M-75.2M-88.3M-102.1M-130.6M-98.9M-132.9M-142.2M-147.8M
Minority Interest6M7.6M5.6M5.6M11.7M11.6M14.8M18.4M21.4M9.2M

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+215.5M296.3M202.7M97.5M222.6M309.1M86.8M-178.9M121.8M180.1M
Operating CF Margin %0.08%0.12%0.09%0.04%0.1%0.17%0.04%-0.07%0.05%0.1%
Operating CF Growth %-0.32%0.37%-0.32%-0.52%1.28%0.39%-0.72%-3.06%1.68%0.48%
Net Income123.2M87.5M-700K200.3M128.9M-138.6M67M-189.1M-39.2M51.5M
Depreciation & Amortization48.7M43.5M37.2M31.5M32.7M32.8M33.2M34.6M35.1M26.2M
Stock-Based Compensation18.7M22.8M25.4M31.2M24.5M28.9M38.1M33.4M15.2M19.1M
Deferred Taxes-26.7M-5.8M-75.8M22.1M-9M-56.9M-14.7M-105.7M-95.8M21.4M
Other Non-Cash Items49.9M50.3M103.3M-49.7M42.8M255M51.6M322.3M38.5M-20.7M
Working Capital Changes1.7M98M113.3M-137.9M2.7M187.9M-88.4M-274.4M168M82.6M
Change in Receivables5.8M32.3M-2.7M-95M30.7M64.8M-49.2M84.5M2.8M16.7M
Change in Inventory-68.8M110M45.4M-44.5M-23.8M107.2M-77.2M-428.9M286.5M127.1M
Change in Payables52.9M-50.4M11.2M40.6M-6.9M-18.9M23M62.6M-65.6M-3.4M
Cash from Investing+-50M-38.4M-1M-22.2M-61.5M6.1M-437.3M54.6M171.6M86.8M
Capital Expenditures-46.4M-55.3M-32.4M-21.7M-34.4M-10.3M-17.6M-36.5M-14.6M-20.2M
CapEx % of Revenue0.02%0.02%0.01%0.01%0.02%0.01%0.01%0.01%0.01%0.01%
Acquisitions----------
Investments----------
Other Investing-10.9M9.6M-5.1M-2.7M-3.5M25.4M-2.3M3.9M-2.7M4.6M
Cash from Financing+-187.3M-79.5M-98M-404.5M-124.6M-154M169.3M107.1M-246.3M-299.2M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-24.4M-23.5M-23M-28.6M-33.6M-33.6M-33.5M-32.8M-32.6M-32.5M
Share Repurchases----------
Other Financing5M-12M700K-2.7M700K-26.9M-19.7M31.2M24.5M4.4M
Net Change in Cash----------
Free Cash Flow+169.1M241M170.3M75.8M188.2M298.8M69.2M-215.4M107.2M159.9M
FCF Margin %0.06%0.1%0.07%0.03%0.08%0.17%0.03%-0.08%0.05%0.09%
FCF Growth %-0.41%0.43%-0.29%-0.55%1.48%0.59%-0.77%-4.11%1.5%0.49%
FCF per Share1.692.481.770.802.163.690.83-2.701.351.99
FCF Conversion (FCF/Net Income)1.75x3.38x675.67x0.49x1.73x-2.26x1.27x0.95x-3.08x3.76x
Interest Paid34.9M33.7M31.5M29M32.4M41.4M34.6M43M63.5M44.1M
Taxes Paid49.8M35.4M23.6M17.4M23.2M8.6M27.8M44.3M27M20M

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)12.8%8.96%0.03%20.44%14.47%-20.26%11.27%-38.3%-12.39%15.54%
Return on Invested Capital (ROIC)9.36%7.9%1.33%14.06%8.54%-7.65%8.59%-9.88%-3.7%6.98%
Gross Margin39.07%38.48%38.91%41.14%40.63%41.07%42.65%39.87%38.9%44.53%
Net Margin4.56%3.52%0.01%8.94%5.65%-7.64%2.84%-7.01%-1.77%2.73%
Debt / Equity0.84x0.84x0.81x0.57x1.26x1.55x1.74x3.98x3.63x2.52x
Interest Coverage5.26x4.59x0.74x10.28x5.70x-3.14x4.16x-4.41x-1.07x2.37x
FCF Conversion1.75x3.38x675.67x0.49x1.73x-2.26x1.27x0.95x-3.08x3.76x
Revenue Growth-2.52%-7.32%-5.8%-4.71%1.54%-21.23%34.83%11.18%-16.46%-21.75%

Revenue by Segment

2015201620172018201920202021202220232024
Active Group-------1.57B1.44B1.25B
Active Group Growth---------8.35%-13.41%
Work Group-------590.5M480.6M455.3M
Work Group Growth---------18.61%-5.26%
Others104.7M63.3M74.3M71.5M63.1M44.1M180.2M76.6M323.2M53.6M
Others Growth--39.54%17.38%-3.77%-11.75%-30.11%308.62%-57.49%321.93%-83.42%
Lifestyle Group1B------447.5M--
Lifestyle Group Growth----------
Wolverine Michigan Group----1.3B1.05B1.3B---
Wolverine Michigan Group Growth------19.14%23.59%---
Wolverine Boston Group-889.4M833.8M895.5M910.9M696M935.8M---
Wolverine Boston Group Growth---6.25%7.40%1.72%-23.59%34.45%---
Wolverine Outdoor and Lifestyle Group-890.6M947.1M951.9M------
Wolverine Outdoor and Lifestyle Group Growth--6.34%0.51%------
Wolverine Heritage Group-347M327.9M320.3M------
Wolverine Heritage Group Growth---5.50%-2.32%------
Wolverine Multi-Brand Group--166.9M-------
Wolverine Multi-Brand Group Growth----------
Performance Group991.3M---------
Performance Group Growth----------
Heritage Group590.8M---------
Heritage Group Growth----------

Revenue by Geography

2015201620172018201920202021202220232024
UNITED STATES1.95B1.79B1.61B1.51B1.51B1.23B1.57B1.56B1.22B893.4M
UNITED STATES Growth--8.08%-10.20%-6.43%0.18%-18.15%27.52%-0.69%-22.08%-26.64%
EMEA345.3M323.9M322.4M325.7M343.1M279.8M460.3M602.5M540.8M529.6M
EMEA Growth--6.20%-0.46%1.02%5.34%-18.45%64.51%30.89%-10.24%-2.07%
Asia Pacific----193.7M120.3M161.6M245.7M253.2M150.9M
Asia Pacific Growth------37.89%34.33%52.04%3.05%-40.40%
Latin America----111.1M67.9M102.2M146.7M123.9M98.5M
Latin America Growth------38.88%50.52%43.54%-15.54%-20.50%
CANADA141.2M120.5M121.2M116.7M117.9M88.9M116.9M126.8M107.1M82.6M
CANADA Growth--14.66%0.58%-3.71%1.03%-24.60%31.50%8.47%-15.54%-22.88%
Other Foreign Countries256.2M258.7M297.7M291.6M------
Other Foreign Countries Growth-0.98%15.08%-2.05%------

Frequently Asked Questions

Valuation & Price

Wolverine World Wide, Inc. (WWW) has a price-to-earnings (P/E) ratio of 33.4x. This suggests investors expect higher future growth.

Growth & Financials

Wolverine World Wide, Inc. (WWW) reported $1.85B in revenue for fiscal year 2024. This represents a 31% increase from $1.41B in 2011.

Wolverine World Wide, Inc. (WWW) saw revenue decline by 21.8% over the past year.

Yes, Wolverine World Wide, Inc. (WWW) is profitable, generating $87.6M in net income for fiscal year 2024 (2.7% net margin).

Dividend & Returns

Yes, Wolverine World Wide, Inc. (WWW) pays a dividend with a yield of 2.09%. This makes it attractive for income-focused investors.

Wolverine World Wide, Inc. (WWW) has a return on equity (ROE) of 15.5%. This is reasonable for most industries.

Wolverine World Wide, Inc. (WWW) generated $54.3M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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