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Bath & Body Works
Bath & Body Works
2015–2024 · Consumer discretionary
2026-08-11
Overview
Earnings
Margins
Cash flow
Balance
Capital
Plot
USD millions
2015
2016
2017
2018
2019
2020
2021
2022
2023
2024
Revenue
12 154
12 574
12 632
13 237
5 405
6 434
7 882
7 560
7 429
7 307
Operating profit (EBIT)
2 192
2 003
1 728
1 237
1 040
1 604
2 009
1 376
1 285
1 266
Net income attributable to shareholders
1 042
1 253
1 158
983
644
−366
844
1 333
800
878
EBIT margin
18,0%
15,9%
13,7%
9,4%
19,2%
24,9%
25,5%
18,2%
17,3%
17,3%
Gross margin
42,8%
40,8%
39,3%
37,0%
34,5%
39,4%
48,9%
43,1%
43,6%
44,3%
Operating cash flow
1 869
1 890
1 406
1 377
1 236
2 039
1 492
1 144
954
886
Free cash flow
1 142
900
−6 806
748
1 011
1 912
1 426
816
656
660
Cash
2 548
1 934
1 515
1 413
1 499
3 903
1 979
1 232
1 084
674
Interest-bearing debt
5 721
5 736
5 794
5 838
5 569
6 366
4 854
4 862
4 388
—
0
5 000
10 000
15 000
0,0%
10,0%
20,0%
30,0%
2015
2016
2017
2018
2019
2020
2021
2022
2023
2024
12 154
12 574
12 632
13 237
5 405
6 434
7 882
7 560
7 429
7 307
2 192
2 003
1 728
1 237
1 040
1 604
2 009
1 376
1 285
1 266