$61.18
+ $0.84 (1.39%)
End-of-day quote: 05/02/2024
NasdaqGS:HAS

Hasbro Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$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 $3.09B $3.00B
GM % Gross Margin %
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% 50.33% 50.80%
OM Operating Margin
7.27% 14.49% 13.98% 13.31% 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% 10.06% 9.78%
EPS Earnings Per Share
$0.00 $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 $1.22 $0.96
Div. Dividends
$2.80 $2.80 $2.72 $2.72 $2.72 $2.52 $2.28 $2.04 $1.84 $1.72 $1.60 $1.44 $1.20 $1.00 $0.80 $0.80 $0.64 $0.48 $0.36 $0.24
PR % Payout Ratio %
111.55% 62.92% 52.01% 72.73% 66.67% 65.45% 41.76% 45.74% 52.42% 54.60% 56.54% 51.25% 43.80% 38.61% 32.26% 40.00% 31.53% 33.57% 29.51% 25.00%
Sha. Shares
138.79m 138.18m 138.22m 137.31m 136.86m 126.13m 124.45m 124.49m 124.8m 124.53m 131.05m 128.94m 128.63m 137.42m 137.1m 139.23m 145.21m 160.62m 177.95m 177.32m
OCF Operating Cash Flow
$725.60M $372.90M $817.90M $976.30M $653.10M $646.00M $724.38M $817.31M $571.37M $454.41M $401.13M $534.80M $396.07M $367.98M $265.62M $593.19M $601.79M $320.65M $496.62M $358.51M
FCF Free Cash Flow
$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 $161.49M $476.05M $510.26M $238.55M $426.04M $279.27M
FCFS Free Cash Flow Per Share
$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 $2.39 $1.58