{"url_path":"/sec/rl/10-k/2026/item-10","section_key":"item-10","section_title":"Item 10 Directors, Executive Officers and Corporate Governance.","topic":"sec","document":{"doc_type":"10-K","doc_date":"2026-05-21","source_url":"https://www.sec.gov/Archives/edgar/data/1037038/0001628280-26-037074-index.html","accession_number":"0001628280-26-037074","cik":"0001037038","ticker":"RL","issuer_name":"RALPH LAUREN CORP","edgar_url":"https://www.sec.gov/Archives/edgar/data/1037038/0001628280-26-037074-index.html","primary_entity_key":"0001037038","primary_entity_name":"RALPH LAUREN CORP"},"word_count":243,"has_tables":true,"body_markdown":"Item 10.    Directors, Executive Officers and Corporate Governance.\n\nInformation relating to our directors and corporate governance will be set forth in the Company's proxy statement for its 2026 annual meeting of stockholders to be filed within 120 days after March 28, 2026 (the \"Proxy Statement\") and is incorporated by reference herein. Information relating to our executive officers is set forth in Item 1 of this Annual Report on Form 10-K under the caption \"Information About Our Executive Officers.\"\n\nWe have a Code of Ethics for Principal Executive Officers and Senior Financial Officers that covers the Company's principal executive officer, principal operating officer, principal financial officer, principal accounting officer, controller, and any person performing similar functions, as applicable. We also have a Code of Business Conduct and Ethics that covers the Company's directors, officers, and employees. You can find our Code of Ethics for Principal Executive Officers and Senior Financial Officers and our Code of Business Conduct and Ethics (collectively, the \"Codes\") on our website, http://investor.ralphlauren.com. We will post any amendments to the Codes and any waivers that are required to be disclosed by the rules of either the SEC or the NYSE on our website.\n\nThe Company has adopted an insider trading policy which governs the purchase, sale, and/or other dispositions of our securities by directors, officers and employees and other covered persons and is designed to promote compliance with insider trading laws, rules and regulations, and listing standards applicable to the Company."}