Stocks / BOOT / Free Cash Flow

Boot Barn Holdings, Inc. Free Cash Flow 2013–2026

Boot Barn Holdings, Inc. reported $126.34M of free cash flow for fiscal 2026. That was 16878.5% higher than fiscal 2025. Compared with fiscal 2021, the change was -0.9%.

Latest filed value
$126.34M
One-year change
+16878.5%
Change since 2021
-0.9%
Latest period end
2026
Boot Barn Holdings, Inc. Free Cash Flow history from 2013 to 2026FY 2013: 8076000FY 2014: 1380000FY 2015: -2566000FY 2016: -3198000FY 2017: 18858000FY 2018: 19782000FY 2019: 35735000FY 2020: -11878000FY 2021: 127498000FY 2022: 28421000FY 2023: -35647000FY 2024: 117298000FY 2025: -753000FY 2026: 126342000
Annual filed history. Hover chart points for raw values; the accessible table below is the source of record.
Fiscal yearFree Cash FlowChange (YoY)
FY 2026$126.34M+16878.5%
FY 2025$-753,000-100.6%
FY 2024$117.30M+429.1%
FY 2023$-35.65M-225.4%
FY 2022$28.42M-77.7%
FY 2021$127.50M+1173.4%
FY 2020$-11.88M-133.2%
FY 2019$35.73M+80.6%
FY 2018$19.78M+4.9%
FY 2017$18.86M+689.7%
FY 2016$-3.20M-24.6%
FY 2015$-2.57M-285.9%
FY 2014$1.38M-82.9%
FY 2013$8.08M

Source: Boot Barn Holdings, Inc. SEC filings — cash flow statement (10-K). Computed deterministically; refreshed nightly (last updated August 2, 2026). Open BOOT 10-K filings at SEC EDGAR · Methodology · Download CSV.

How to read this history

Boot Barn Holdings, Inc. reported $126.34M of free cash flow for fiscal 2026. That was 16878.5% higher than fiscal 2025. Compared with fiscal 2021, the change was -0.9%. Values remain missing when the cached filing does not disclose a comparable line item; they are never estimated. Stock splits, reorganizations and fiscal-calendar changes can reduce comparability.

Prepared and reviewed by the stockportfolio.pro research desk. Corrections: support@stockportfolio.pro.

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Boot Barn Holdings, Inc. — frequently asked questions

What is Boot Barn Holdings, Inc.'s free cash flow?

Boot Barn Holdings, Inc. (BOOT) reported free cash flow of $126.34M for fiscal year 2026, per its SEC filings.

How has Boot Barn Holdings, Inc.'s free cash flow changed over time?

Between fiscal 2013 and 2026, BOOT's free cash flow grew at roughly 23.6% per year (compound annual rate), from $8.08M to $126.34M.

Where does this data come from?

Figures are computed from Boot Barn Holdings, Inc.'s official SEC filings (cash flow statement (10-K)), refreshed nightly. Not investment advice.

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