Hasbro, Inc. (HAS): Cash & Equivalents

Annual figures by period end, from SEC filings.

Older than the company's other figures. The latest Cash & Equivalents is for the year ended 2019-12-29, while the company's latest annual report covers the year ended 2025-12-28. Its later filings do not report this line under the concept TickerFacts maps.

$4.58B
As of 2019-12-29
+52.9%
3-year compound annual growth
+38.7%
5-year compound annual growth
+21.8%
10-year compound annual growth
2008-12-28: $630.39M2009-12-27: $636.04M2010-12-26: $727.80M2011-12-25: $641.69M2012-12-30: $849.70M2013-12-29: $682.45M2014-12-28: $893.17M2015-12-27: $976.75M2016-12-25: $1.28B2017-12-31: $1.58B2018-12-30: $1.18B2019-12-29: $4.58B$4.58B
2008-12-28 Cash & Equivalents (USD) 2019-12-29
Period endedCash & EquivalentsChange YoYSource filing
2019-12-29$4.58B+287.4%2020-02-27, Balance as of period end
2018-12-30$1.18B-25.2%2020-02-27, Balance as of period end
2017-12-31$1.58B+23.3%2019-02-26, Balance as of period end
2016-12-25$1.28B+31.3%2019-02-26, Balance as of period end
2015-12-27$976.75M+9.4%2018-02-26, Balance as of period end
2014-12-28$893.17M+30.9%2017-02-22, Balance as of period end
2013-12-29$682.45M-19.7%2016-02-24, Balance as of period end
2012-12-30$849.70M+32.4%2015-02-26, Balance as of period end
2011-12-25$641.69M-11.8%2014-02-26, Balance as of period end
2010-12-26$727.80M+14.4%2013-02-27, Balance as of period end
2009-12-27$636.04M+0.9%2012-02-22, Balance as of period end
2008-12-28$630.39Mn/a2011-02-23, Balance as of period end