Hasbro Financial Ratios for Analysis 2009-2024 | HAS

Fifteen years of historical annual and quarterly financial ratios and margins for Hasbro (HAS).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.131.371.521.605.372.422.902.002.692.471.822.612.393.092.51
0.730.560.560.610.570.490.480.390.480.510.360.480.500.460.42
3.191.391.311.741.350.971.010.921.031.230.831.081.120.870.72
65.9067.3669.9868.5561.7059.5960.9662.0462.2960.2959.0259.1157.1557.7758.79
-30.766.9611.899.1813.827.2315.5515.7015.5614.8511.4413.4913.8614.6914.47
-30.766.9611.899.1813.827.2315.5515.7015.5614.8511.4413.4913.8614.6914.47
8.5525.2226.0422.4219.4612.5419.5419.4920.0019.6517.0418.1918.4418.9018.92
-34.164.479.065.8912.595.9015.0913.8013.5812.628.6211.0911.3512.6913.02
-29.773.476.684.0711.034.817.6110.9810.169.727.018.228.999.949.22
0.760.630.640.510.530.870.980.990.940.950.930.951.040.981.04
5.142.823.494.354.054.174.694.924.365.004.805.295.504.648.06
4.865.174.283.933.353.853.713.803.653.913.733.974.144.163.92
75.0970.5785.3092.9410994.6998.4695.9899.9593.4297.7891.9488.1187.6793.21
-136.877.0914.217.6817.3812.5621.6728.6226.8628.2016.8822.2927.1924.6223.51
83.60-14.27-28.48-9.8628.0638.3538.1550.9656.5475.4639.8854.5681.0662.1566.44
-22.752.184.342.085.884.197.5010.479.479.156.457.779.339.729.62
-36.713.096.322.977.396.3911.2617.4213.9213.7210.7511.5713.6713.2013.75
7.8320.7122.1621.3921.8913.9114.7014.9613.3311.7712.8411.6911.0211.7611.63
5.232.685.917.105.085.125.706.444.513.503.044.052.962.531.74
3.721.434.956.184.044.014.645.223.392.632.193.202.221.751.06

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.461.111.131.601.291.341.371.381.431.591.521.521.771.851.601.621.611.915.372.332.642.772.422.422.693.542.902.532.102.332.001.953.393.292.692.612.912.852.472.613.041.961.821.581.823.032.612.322.562.782.392.352.903.293.092.403.173.202.512.252.612.54
0.750.740.730.620.600.570.560.550.550.550.560.570.600.610.610.630.650.650.570.480.500.510.490.470.490.520.480.460.400.390.390.410.490.490.480.500.520.520.510.510.520.380.360.390.400.490.480.480.500.500.500.500.490.480.460.490.470.450.420.430.450.34
3.383.373.191.671.571.421.391.321.321.301.311.361.581.631.741.841.961.891.350.931.001.030.970.910.971.091.010.960.950.870.920.990.961.021.031.081.201.231.231.091.080.880.831.051.091.061.081.091.161.131.121.030.960.940.871.010.890.920.720.780.830.55
76.1273.0455.4767.1170.8971.5065.4165.0069.2771.3666.0769.0673.9174.0065.5965.6670.5776.2459.5960.1965.0964.5156.6958.2362.6064.3860.6159.2262.1463.9861.0760.7763.4065.0862.1460.6362.9765.2860.2158.9961.3761.9558.1758.5160.7859.6859.7656.4061.5560.3955.5156.4258.3960.2358.1254.9559.2960.9359.1357.0059.6860.61
21.3115.34-92.99-11.27-15.591.79-7.4911.5916.3610.328.5218.685.7913.2110.8118.950.26-2.1113.3418.8713.034.930.7619.969.68-11.2316.9820.1510.289.2215.6521.569.6610.3417.6520.639.477.6017.2119.449.966.3914.3314.509.671.6015.5918.5610.632.4216.2918.038.857.2815.7218.1010.8110.3117.7118.049.226.63
21.3115.34-92.99-11.27-15.591.79-7.4911.5916.3610.328.5218.685.7913.2110.8118.950.26-2.1113.3418.8713.034.930.7619.969.68-11.2316.9820.1510.289.2215.6521.569.6610.3417.6520.639.477.6017.2119.449.966.3914.3314.509.671.6015.5918.5610.632.4216.2918.038.857.2815.7218.1010.8110.3117.7118.049.226.63
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18.3810.70-96.61-14.30-18.83-2.10-9.789.8813.436.904.3716.423.1111.628.0416.84-5.08-6.5120.9316.490.624.04-0.3718.847.53-12.3417.4519.538.938.3413.4920.627.637.1215.7919.356.734.8115.8216.607.783.8312.5911.386.66-2.4913.5316.727.35-0.7514.2316.105.833.4013.5616.688.278.0716.4617.037.184.60
13.927.69-82.33-11.38-19.42-2.21-7.687.7110.605.264.0812.85-1.7310.426.1112.43-3.94-6.3018.7313.521.363.650.6316.816.67-15.70-0.3314.826.968.0711.8215.355.935.8711.9914.115.243.7413.0812.284.044.7210.139.244.76-1.0110.1512.265.35-0.4010.4712.436.392.5610.9511.815.918.7712.0411.754.963.18
0.150.120.200.180.140.110.180.170.140.120.200.190.130.110.160.170.080.110.160.280.200.150.260.290.180.150.300.320.200.180.320.340.200.190.310.320.190.170.290.330.200.170.290.300.180.160.300.300.200.170.320.340.230.170.310.310.190.160.350.330.230.21
0.660.611.730.800.480.400.860.690.470.521.241.120.690.681.501.130.450.591.291.060.610.531.361.070.550.491.451.160.660.741.641.080.560.631.441.300.730.731.521.210.650.661.541.270.840.831.631.270.750.651.771.160.890.671.471.260.881.162.701.380.920.83
1.261.201.251.361.381.461.481.411.541.251.341.331.531.381.241.240.941.151.011.111.221.151.171.131.221.171.141.081.151.261.231.161.251.241.201.061.121.271.191.121.121.231.171.131.201.301.251.131.251.421.281.091.081.201.331.091.111.281.321.151.211.70
71.3575.1771.8765.9765.2361.6160.7263.8458.5072.0967.0767.4658.9465.4372.7072.8795.3478.4688.9080.9673.6178.4476.9779.7773.5676.9879.2583.1878.3471.7172.8877.8572.0772.6274.8085.0680.0571.0575.8780.4680.1973.1876.7979.8275.2269.0672.2279.9972.2563.3370.0482.4683.0274.8667.6682.9580.9470.4167.9978.5274.1452.88
11.815.74-97.59-7.66-9.51-0.79-4.494.274.662.042.778.34-0.763.973.627.83-1.25-2.468.9311.570.781.620.5013.983.41-7.16-0.2913.583.703.709.7014.713.062.9210.4813.382.821.7911.5212.022.261.987.628.262.51-0.468.6410.803.10-0.189.8212.383.951.128.6710.432.753.5310.3810.112.831.43
-8.35-3.2559.6110.2015.731.439.04-8.27-8.63-4.26-5.55-16.211.23-5.24-4.65-9.231.272.8014.4230.532.405.491.5345.2913.31-14.30-0.5122.906.576.5817.2629.036.536.3322.0631.237.494.7730.8231.786.474.9418.0224.436.20-1.1421.1626.609.05-0.5529.2640.1011.523.0421.8831.067.489.0329.3434.8612.585.50
2.020.95-16.22-2.04-2.73-0.24-1.381.331.480.660.842.49-0.221.150.982.06-0.32-0.653.023.830.270.540.174.801.18-2.38-0.104.791.381.483.555.171.141.083.694.520.960.613.744.000.790.782.912.740.87-0.163.013.711.08-0.073.374.191.470.443.423.681.101.454.253.891.130.67
2.991.48-26.17-2.90-3.83-0.34-1.961.912.080.921.233.62-0.301.541.402.90-0.44-0.863.806.020.390.800.257.371.74-3.45-0.157.282.232.255.908.711.561.495.436.681.350.865.615.891.091.234.855.071.51-0.234.495.631.55-0.094.946.142.020.594.655.371.461.936.075.731.560.94
8.427.407.8316.0217.8119.9020.7121.7121.8222.0922.1622.1721.0021.5221.3920.4919.2420.1821.8914.5813.6013.1513.9114.8913.8812.5714.7015.7114.6514.8114.9613.9412.8512.8713.3312.3711.4411.6011.7711.8811.3512.2412.8411.7311.2011.3111.6911.7110.7410.7811.0210.6710.8811.1911.7610.9111.2511.8911.6310.719.949.88
2.611.285.232.410.860.642.681.891.060.965.914.954.192.737.103.591.882.135.083.062.652.095.121.371.912.545.701.592.873.246.441.562.412.474.510.551.862.503.500.210.831.823.040.362.282.304.051.081.522.202.960.010.931.962.530.041.171.751.74-1.38-1.18-0.15
1.910.953.721.260.050.261.430.950.520.764.954.243.732.566.182.931.421.904.042.352.191.894.010.561.342.314.640.782.353.005.220.731.892.223.39-0.221.332.252.630.100.441.662.19-0.231.872.113.200.521.142.022.22-0.520.561.801.75-0.490.831.621.06-1.86-1.51-0.31