Hasbro
NasdaqGS:HAS
$ 91,11
$-0,25 (-0,27%)
91,11 $
$-0,25 (-0,27%)
End-of-day quote: 03/20/2026

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

$5,54
Earnings Per Share
$33,42
Revenue Per Share
63,82%
Gross Margin %
$12,82 B
Market Cap
$2,77 B
Long-Term Debt
Earnings Per Share
$5,54
Revenue Per Share
$33,42
Gross Margin %
63,82%
Market Cap
$12,82 B
Long-Term Debt
$2,77 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 $5,54 $4,01 $2,51 $4,45 $5,23 $3,74 $4,08 $3,85 $5,46 $4,46 $3,51 $3,15 $2,83 $2,81 $2,74 $2,59 $2,48 $2,00 $2,03 $1,43
Earnings Earnings $779,42M $559,80M $348,36M $615,08M $726,76M $513,69M $558,47M $484,48M $678,02M $554,38M $438,05M $391,58M $370,56M $361,76M $352,47M $354,93M $338,20M $278,54M $289,48M $230,03M
RPS Revenue Per Share $33,42 $29,62 $36,05 $42,37 $46,20 $39,79 $34,48 $36,39 $41,95 $40,38 $35,64 $34,41 $31,18 $31,76 $33,31 $29,20 $29,83 $28,88 $26,91 $19,59
Revenue Revenue $4,70B $4,14B $5,00B $5,86B $6,42B $5,47B $4,72B $4,58B $5,21B $5,02B $4,45B $4,28B $4,08B $4,09B $4,29B $4,00B $4,07B $4,02B $3,84B $3,15B
OCF Operating Cash Flow $893,20M $847,40M $725,60M $372,90M $817,90M $976,34M $653,06M $646,00M $724,38M $774,87M $552,45M $454,41M $401,13M $534,80M $396,07M $367,98M $265,62M $593,20M $601,80M $320,65M
FCF Free Cash Flow $459,50M $649,90M $259,71M $198,70M $685,20M $850,59M $519,43M $505,57M $589,50M $619,97M $410,42M $341,02M $289,10M $422,71M $288,45M $255,38M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 22,50% 19,03% 7,27% 14,49% 13,98% 13,28% 14,01% 12,72% 15,90% 16,35% 15,56% 15,00% 13,00% 14,65% 14,20% 14,69% 14,47% 12,29% 13,79% 11,94%
GM % Gross Margin % 63,82% 63,41% 48,37% 49,78% 50,52% 51,04% 51,11% 50,95% 52,49% 53,17% 52,81% 52,05% 49,80% 50,77% 48,40% 51,01% 50,66% 50,13% 50,92% 53,24%
FCFS Free Cash Flow Per Share $4,96 $4,66 $3,72 $1,43 $4,97 $6,19 $4,06 $2,78 $4,71 $5,29 $3,43 $2,66 $2,22 $3,25 $2,13 $1,84 $0,65 $2,81 $3,27 $1,43
LT Debt Long-Term Debt $2,77B $3,38B $2,97B $3,71B $3,82B $4,66B $4,05B $1,70B $1,69B $1,20B $1,55B $1,55B $959,90M $1,40B $1,40B $1,40B $1,13B $709,72M $709,72M $494,92M
Sha. Stocks 140,69M 139,6M 138,79M 138,22M 138,96M 137,35M 136,88M 125,84M 124,18M 124,3M 124,8M 124,31M 130,94M 128,74M 128,64M 137,04M 136,37M 139,27M 142,6M 160,86M
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