Hasbro Inc.

NASDAQ: HAS · Real-Time Price · USD
81.13
0.58 (0.72%)
At close: Aug 15, 2025, 3:59 PM
82.00
1.08%
After-hours: Aug 15, 2025, 07:57 PM EDT

Hasbro Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 29, 2025 Mar 30, 2025 Dec 29, 2024 Sep 29, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Oct 1, 2023 Jul 2, 2023 Apr 2, 2023 Dec 25, 2022 Sep 25, 2022 Jun 26, 2022 Mar 27, 2022 Dec 26, 2021 Sep 26, 2021 Jun 27, 2021 Mar 28, 2021
Cash & Equivalents
546.9M 621.1M 695M 696.1M 626.8M 570.2M 545.4M 185.5M 216.6M 386.2M 498.6M 551.6M 628.2M 1.06B 1.02B 1.18B 1.23B 1.43B
Short-Term Investments
n/a n/a 300K 489.3M 483M n/a n/a n/a n/a n/a n/a n/a n/a n/a -35.8M n/a n/a n/a
Long-Term Investments
n/a n/a n/a n/a 146.5M 100K n/a 1.4M 400K n/a n/a 159.3M 148.7M 94.6M 104.4M 110M 74.3M 71.6M
Other Long-Term Assets
1.14B 1.05B 998.6M 825.7M 271.3M 451.4M 434.1M 731.6M 1.62B 1.6B 1.59B 1.25B 1.22B 1.28B 1.06B 1.43B 1.35B 1.27B
Receivables
717.8M 656.6M 919.8M 1.07B 789M 632.5M 1.03B 1.1B 877M 685.2M 1.13B 1.55B 1.29B 931.7M 1.5B 1.48B 865.9M 810.4M
Inventory
417.1M 295.8M 274.2M 375.4M 357.6M 336.2M 332M 617.7M 731.3M 713.4M 676.8M 844.5M 867.5M 644.3M 552.1M 544.1M 499.6M 429.2M
Other Current Assets
359.4M 380.2M 353.5M 391.6M 418M 456.5M 416.9M 1.33B 684.1M 754.4M 691.3M 59.8M 61.2M 38.8M 46.5M 102.9M 562.6M 79.9M
Total Current Assets
2.04B 1.95B 2.24B 3.02B 2.67B 2B 2.32B 3.24B 2.51B 2.54B 3B 3.26B 3.09B 3.26B 3.73B 3.73B 3.62B 3.24B
Property-Plant & Equipment
251.8M 293.6M 302.6M 564.2M 542.9M 501.3M 488.6M 474.6M 515.4M 509.1M 422.8M 411.8M 409.9M 422.6M 421.1M 441.9M 466.2M 482.7M
Goodwill & Intangibles
1.75B 2.78B 2.8B 2.82B 2.83B 2.85B 2.87B 3.89B 3.96B 4.27B 4.28B 4.55B 4.64B 4.56B 4.59B 4.63B 4.67B 5.2B
Total Long-Term Assets
3.13B 4.12B 4.1B 4.21B 4.19B 4.21B 4.22B 5.1B 6.1B 6.38B 6.3B 6.37B 6.42B 6.26B 6.31B 6.5B 6.49B 6.95B
Total Assets
5.17B 6.08B 6.34B 7.23B 6.86B 6.2B 6.54B 8.34B 8.61B 8.92B 9.3B 9.63B 9.5B 9.52B 10.04B 10.23B 10.1B 10.19B
Account Payables
339.6M 284.8M 341.5M 420.3M 297.5M 254.2M 340.6M 371.4M 363.4M 360.1M 427.3M 559.5M 543.8M 411.7M 580.2M 598.2M 382.4M 312.1M
Deferred Revenue
n/a n/a n/a 103.2M 83.2M 103.5M 101.6M -371.4M -363.4M 113.7M 111.3M 132.2M 106.8M 97.6M 114.1M 147M 174.7M 146.9M
Short-Term Debt
n/a n/a n/a 500M 500M 500M 500M 60M 217.6M 243.5M 255.6M 244.9M 235M 259.9M 200.9M 188.5M 190.4M 157.7M
Other Current Liabilities
888.2M 857.5M 875.8M 802M 737.1M 824.5M 936.5M 1.47B 1.25B 1.09B 130.3M 1.4B 1.12B 1.18B 1.3B 1.26B 1.12B 987.1M
Total Current Liabilities
1.23B 1.14B 1.4B 2.05B 1.83B 1.79B 2.06B 2.02B 1.95B 1.9B 2.19B 2.36B 2.16B 2.04B 2.46B 2.45B 2.05B 1.75B
Long-Term Debt
3.32B 3.33B 3.38B 3.46B 3.46B 2.97B 2.97B 3.65B 3.67B 3.68B 3.71B 3.73B 3.74B 3.74B 3.82B 3.98B 4.39B 4.67B
Other Long-Term Liabilities
356M 355M 373.2M 404.8M 399.7M 414M 310.6M 438.2M 520.6M 585.2M 533.1M 451.7M 463.6M 505.3M 670.7M 722.5M 753M 620.6M
Total Long-Term Liabilities
3.68B 3.74B 3.75B 3.87B 3.86B 3.38B 3.4B 4.09B 4.19B 4.27B 4.24B 4.27B 4.31B 4.37B 4.49B 4.7B 5.14B 5.45B
Total Liabilities
4.9B 4.88B 5.16B 5.92B 5.69B 5.17B 5.45B 6.12B 6.14B 6.17B 6.43B 6.63B 6.47B 6.41B 6.95B 7.15B 7.19B 7.21B
Total Debt
3.32B 3.33B 3.41B 3.99B 3.99B 3.5B 3.62B 3.71B 3.89B 3.93B 4.01B 4.1B 4.12B 4B 4.03B 4.17B 4.58B 4.83B
Common Stock
n/a n/a 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M 110.1M
Retained Earnings
n/a n/a n/a 2.41B 2.28B 2.15B 2.19B 3.35B 3.62B 3.95B 4.07B 4.3B 4.27B 4.22B 4.26B 4.27B 4.11B 4.23B
Comprehensive Income
n/a n/a n/a -227.8M -222.2M -203.3M -201.5M -208.4M -213.5M -237.4M -254.9M -324.9M -259.6M -246.9M -235.3M -208.6M -183.5M -206.4M
Shareholders Equity
269.7M 1.2B 1.19B 1.29B 1.15B 1.01B 1.06B 2.22B 2.47B 2.76B 2.83B 2.98B 2.98B 3.08B 3.06B 3.06B 2.89B 2.96B
Total Investments
n/a n/a 300K 489.3M 629.5M 100K -1 1.4M 400K n/a n/a 159.3M 148.7M 94.6M -35.8M 110M 74.3M 71.6M