◆ TICKERBASE · US STOCK FINANCIAL DATA LIBRARY

HomeAll stocks › HAS

Hasbro Inc (HAS) Financial History

20 years of revenue, earnings, cash-flow and balance-sheet history from public filings.

CONSUMER CYCLICAL · Leisure Products · DATA UPDATED 2026-07-19

Hasbro Inc (HAS) operates in the Leisure Products industry and is headquartered in Pawtucket, United States with about 4,520 employees. Its market capitalization is roughly $13 billion. In the fiscal year ended 2025-12-31, HAS reported $4.7B in revenue and ($322M) in net income.

Hasbro, Inc. operates as a toy and game company in the United States, Europe, Canada, Mexico, Latin America, Australia, China, and Hong Kong.

Interactive charts & full statements → Open the HAS valuation workbench →

HAS Revenue & Earnings History — Annual Income Statement

Income statementTTM → 2026-03-312025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-31
Total Revenue$4.8B$4.7B$4.1B$5.0B$5.9B$6.4B$5.5B$4.7B$4.6B$5.2B$5.0B$4.4B$4.3B$4.1B$4.1B$4.3B$4.0B$4.1B$4.0B$3.8B$3.2B
Gross Profit$3.4B$3.3B$2.7B$2.9B$3.5B$3.9B$3.2B$2.5B$2.4B$2.8B$2.7B$2.4B$2.3B$2.1B$2.1B$2.1B$2.1B$2.1B$2.3B$2.3B$1.8B
Gross Margin %69.8%70.3%64.6%57.3%58.9%60.3%58.1%52.9%51.9%53.2%53.9%53.8%53.1%50.7%51.7%49.2%51.6%50.7%57.9%58.9%58.6%
Operating Income (EBIT)$1.2B$1.1B$690M($1.5B)$408M$763M$502M$652M$331M$810M$788M$692M$635M$467M$552M$594M$588M$589M$494M$519M$376M
Operating Margin %24.0%22.5%16.7%-30.8%7.0%11.9%9.2%13.8%7.2%15.6%15.7%15.6%14.8%11.4%13.5%13.9%14.7%14.5%12.3%13.5%11.9%
Net Income($222M)($322M)$386M($1.5B)$204M$429M$222M$520M$220M$397M$551M$452M$416M$286M$336M$385M$398M$375M$307M$333M$230M
Net Margin %-4.6%-6.9%9.3%-29.8%3.5%6.7%4.1%11.0%4.8%7.6%11.0%10.2%9.7%7.0%8.2%9.0%9.9%9.2%7.6%8.7%7.3%
EBITDA$325M$233M$880M($863M)$1.2B$1.7B$1.2B$963M$573M$1.1B$980M$899M$838M$686M$737M$772M$758M$772M$654M$654M$523M
Earnings Per Share (EPS)$-1.65$-2.30$2.75$-10.73$1.47$3.10$1.62$4.05$1.74$3.12$4.34$3.57$3.20$2.17$2.55$2.82$2.73$2.45$1.98$1.95$1.29
Shares Outstanding (M)143M140M140M139M139M138M138M128M127M127M127M127M130M132M132M137M146M153M155M171M178M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

HAS Quarterly Revenue & Earnings — Last 8 Quarters

Quarterly income statement2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-30
Total Revenue$1.0B$1.4B$1.4B$981M$887M$1.1B$1.3B$995M
Gross Profit$682M$997M$949M$732M$626M$663M$804M$702M
Gross Margin %68.2%69.0%68.4%74.6%70.5%60.2%62.8%70.6%
Operating Income (EBIT)$270M$322M$341M$224M$171M$60M$302M$212M
Operating Margin %27.0%22.3%24.6%22.8%19.2%5.4%23.6%21.3%
Net Income$200M$202M$233M($856M)$99M($34M)$223M$138M
Net Margin %20.0%13.9%16.8%-87.3%11.1%-3.1%17.4%13.9%
EBITDA$312M$354M$394M($736M)$220M$49M$386M$280M
Earnings Per Share (EPS)$1.40$1.41$1.64$-6.10$0.70$-0.25$1.59$0.99
Shares Outstanding (M)143M143M142M140M141M140M140M140M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

HAS Free Cash Flow History

Cash flowTTM → 2026-03-312025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-31
Cash from Operations (CFO)$1.1B$893M$847M$726M$373M$818M$976M$653M$646M$724M$775M$552M$454M$401M$535M$396M$368M$266M$593M$602M$321M
Capital Expenditures (CapEx)$72M$63M$87M$209M$174M$133M$126M$134M$140M$135M$155M$142M$113M$112M$112M$99M$113M$104M$117M$92M$82M
Free Cash Flow (FCF)$1.0B$830M$760M$516M$199M$685M$851M$519M$506M$590M$620M$410M$341M$289M$423M$297M$255M$161M$476M$510M$239M
FCF Margin %21.2%17.6%18.4%10.3%3.4%10.7%15.6%11.0%11.0%11.3%12.3%9.2%8.0%7.1%10.3%6.9%6.4%4.0%11.8%13.3%7.6%
Dividends Paid$393M$392M$390M$388M$385M$374M$373M$337M$309M$277M$249M$226M$217M$156M$225M$154M$133M$111M$107M$94M$75M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

HAS Quarterly Free Cash Flow — Last 8 Quarters

Quarterly cash flow2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-30
Cash from Operations (CFO)$338M$403M$281M$71M$138M$260M$222M$187M
Capital Expenditures (CapEx)$22M$14M$20M$16M$14M$51M$48M$52M
Free Cash Flow (FCF)$316M$390M$261M$55M$124M$208M$174M$135M
FCF Margin %31.5%26.9%18.8%5.6%14.0%18.9%13.6%13.6%
Dividends Paid$98M$98M$98M$98M$98M$98M$98M$97M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

HAS Balance Sheet History

Balance sheet2026-03-312025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-31
Total Assets$5.9B$5.6B$6.3B$6.5B$9.3B$10.0B$10.8B$8.9B$5.3B$5.3B$5.1B$4.7B$4.5B$4.4B$4.3B$4.1B$4.1B$3.9B$3.2B$3.2B$3.1B
Cash & Cash Equivalents$857M$777M$695M$545M$499M$983M$1.4B$4.6B$1.2B$1.6B$1.3B$977M$893M$682M$850M$642M$728M$636M$630M$774M$715M
Total Liabilities$5.3B$5.0B$5.2B$5.5B$6.4B$7.0B$7.9B$5.9B$3.5B$3.5B$3.2B$3.0B$3.0B$2.7B$2.8B$2.7B$2.5B$2.3B$1.8B$1.9B$1.6B
Total Debt (Short + Long-Term)$3.6B$3.3B$3.4B$3.5B$4.0B$4.1B$5.1B$4.0B$1.7B$1.8B$1.7B$1.7B$1.8B$1.4B$1.6B$1.6B$1.4B$1.1B$717M$855M$505M
Total Shareholders' Equity$648M$538M$1.2B$1.1B$2.8B$3.0B$2.9B$3.0B$1.8B$1.8B$1.9B$1.7B$1.5B$1.7B$1.5B$1.4B$1.6B$1.6B$1.4B$1.4B$1.5B

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

Quarterly statements, profitability ratios, price history, insider activity and institutional holders are in the interactive HAS viewer.

← HAPNAll stocksHASI →

About TickerBase · Data methodology & sources

TickerBase is provided for educational and informational purposes only. It does not constitute financial, investment, tax, or legal advice, or a recommendation to buy, sell, or hold any security. No price targets are published; any per-share value shown in the valuation workbench is generated entirely from reader-supplied assumptions and is not the publisher's view of fair value. Past performance does not predict future results. Figures are approximate and drawn from public filings; one-time items are noted where identified. Do your own research and consult a licensed professional before making any investment decision. The author may or may not hold positions in the securities discussed.