The Hershey
NYSE:HSY
$ 215,20
+ $0,03 (0,01%)
215,20 $
+$0,03 (0,01%)
End-of-day quote: 03/24/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$6,31
Earnings Per Share
$57,69
Revenue Per Share
33,59%
Gross Margin %
$43,62 B
Market Cap
$4,68 B
Long-Term Debt
Earnings Per Share
$6,31
Revenue Per Share
$57,69
Gross Margin %
33,59%
Market Cap
$43,62 B
Long-Term Debt
$4,68 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $6,31 $9,37 $9,59 $8,52 $7,19 $6,29 $5,78 $5,36 $4,76 $4,41 $4,12 $3,98 $3,72 $3,24 $2,82 $2,55 $2,17 $1,88 $2,08 $2,37
Earnings Earnings $1,28B $1,90B $1,96B $1,74B $1,48B $1,30B $1,21B $1,12B $1,00B $936,73M $892,06M $878,90M $832,57M $726,05M $635,97M $579,62M $494,59M $426,74M $472,80M $546,90M
RPS Revenue Per Share $57,69 $55,34 $54,74 $51,06 $43,71 $39,34 $38,26 $37,36 $35,71 $35,03 $34,12 $33,61 $31,93 $29,65 $26,96 $24,95 $23,25 $22,61 $21,76 $21,43
Revenue Revenue $11,69B $11,20B $11,16B $10,42B $8,97B $8,15B $7,99B $7,79B $7,52B $7,44B $7,39B $7,42B $7,15B $6,64B $6,08B $5,67B $5,30B $5,13B $4,95B $4,94B
OCF Operating Cash Flow $1,86B $2,53B $2,32B $2,33B $2,08B $1,70B $1,76B $1,60B $1,25B $983,48M $1,21B $838,22M $1,19B $1,09B $580,87M $901,42M $1,07B $519,56M $778,84M $723,19M
FCF Free Cash Flow $1,32B $1,93B $1,61B $1,81B $1,59B $1,26B $1,45B $1,27B $991,84M $714,00M $857,65M $467,43M $837,49M $836,10M $256,91M $721,89M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 13,23% 26,72% 22,68% 21,61% 22,83% 22,18% 21,25% 22,21% 20,66% 17,61% 19,77% 19,61% 19,05% 18,19% 18,16% 17,70% 16,24% 15,01% 17,62% 20,31%
GM % Gross Margin % 33,59% 47,42% 44,77% 43,18% 45,19% 45,44% 45,36% 46,04% 46,05% 43,38% 46,01% 44,97% 45,92% 43,59% 42,38% 42,83% 38,94% 35,76% 35,47% 37,71%
FCFS Free Cash Flow Per Share $0,00 $9,49 $7,58 $8,80 $7,68 $6,04 $6,90 $6,05 $4,67 $3,47 $4,11 $2,13 $3,75 $3,63 $1,15 $3,07 $4,04 $1,04 $2,51 $2,23
LT Debt Long-Term Debt $4,68B $3,12B $3,72B $3,27B $4,02B $4,01B $3,46B $3,15B $1,96B $2,35B $1,60B $1,54B $1,80B $1,53B $1,75B $1,54B $1,50B $1,51B $1,28B $1,25B
Sha. Stocks 202,69M 202,41M 203,95M 204,04M 205,24M 207,17M 208,75M 208,52M 210,48M 212,41M 216,52M 220,83M 223,81M 224,09M 225,52M 227,3M 227,92M 226,99M 227,31M 230,76M
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