HASBRO, INC. (HAS)

↓ Download CSV

CIK 0000046080 · Nasdaq · Games, Toys & Children's Vehicles (No Dolls & Bicycles)

  • Sector Manufacturing
  • Incorporated RI
  • Fiscal year ends Dec 27

In fiscal 2025, HASBRO, INC. reported revenue of $5.37B, up 13.1% from the prior year. The company ran a net loss, with a net margin of -6.0%. It held $5.55B in total assets against $4.99B in total liabilities.

Key ratios (FY2025)

0.2%
Operating margin
-6.0%
Net margin
-57.0%
Return on equity
+13.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$5.37B$4.75B$5.71B$6.67B$6.42B$5.47B$4.72B$4.58B$5.21B$5.02B
Cost of Revenue$1.30B$1.18B$1.71B$1.91B$1.93B$1.72B$1.81B$1.85B$2.03B$1.91B
Operating Income$11.10M$690.00M-$1.54B$407.70M$763.30M$501.80M$652.10M$331.05M$810.36M$788.05M
Net Income-$322.40M$385.60M-$1.49B$203.50M$428.70M$222.50M$520.50M$220.43M$396.61M$551.38M
EPS (Diluted)$-2.30$2.75$-10.73$1.46$3.10$1.62$4.05$1.74$3.12$4.34
Total Assets$5.55B$6.34B$6.54B$9.30B$10.04B$10.82B$8.86B$5.26B$5.29B$5.09B
Total Liabilities$4.99B$5.16B$5.45B$6.43B$6.95B$7.86B$5.86B$3.51B$3.46B$3.21B
Shareholders' Equity$565.50M$1.19B$1.09B$2.86B$3.06B$2.94B$3.00B$1.75B
Cash & Equivalents$4.58B$1.18B$1.58B$1.28B
Operating Cash Flow$893.20M$847.40M$725.60M$372.90M$817.90M$976.30M$653.10M$646.00M$724.38M$817.31M
Capital Expenditures$63.30M$87.20M$135.50M$128.20M$132.70M$125.80M$133.60M$140.43M$134.88M$154.90M
Shares Outstanding140.20M140.30M138.80M138.90M138.40M137.60M128.50M126.89M127.03M126.97M
Dividends Per Share$2.80$2.10$2.80$2.80$2.72$2.72$2.72$2.52$2.28$2.04