Hasbro, Inc.

NASDAQ:HAS

64.14 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 545.4513.11,019.21,449.6764,580.3691,182.3711,581.2341,282.285976.75893.167682.449849.701641.688727.796636.045630.39774.458715.4942.268725.002520.747495.372233.095127.115280.2177.7361.8219161137186.3126120.6289.3278.2231.8161.7116.1182.4
Kortetermijnbeleggingen 000025.51823.91324.43623.57122.53923.5628.04824.091000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 545.4513.11,019.21,449.6764,580.3691,182.3711,581.2341,282.285976.75893.167682.449849.701641.688727.796636.045630.39774.458715.4942.268725.002520.747495.372233.095127.115280.2177.7361.8219161137186.3126120.6289.3278.2231.8161.7116.1182.4
Nettovorderingen 1,029.31,132.41,500.41,391.7261,410.5971,188.0521,405.3991,319.9631,217.851,094.6731,093.621,029.9591,034.58961.2521,038.802611.766654.789556.287523.232578.705607.556555.144572.499685.9751,084.1958.8783807.1791.1717.9720.4638.3551.4353324.4337.1339.6305.5241.8
Voorraad 332676.8552.1395.633446.105443.383433.293387.675384.492339.572348.794316.049333.993364.194207.895300.463259.081203.337179.398194.78168.979190.144217.479335.493408.6334.8242.7273.2315.6244.4250.1217.9208.4137.4142.7116.3133.6122.967.9
Overige vlottende activa 416.9676.8656.4609.61310.45268.698214237.684286.506391.688355.594312.493243.431167.807162.29171.387199.912243.291185.297219.735211.981190.964345.545431.63358.8318.7186.4187.3157.8153.2144.3134.7144.881.961.650.857.75738.3
Totaal vlottende activa 2,323.62,999.13,728.13,846.6456,747.5213,082.5043,633.9263,227.6072,865.5982,719.12,480.4572,508.2022,253.6922,221.0492,045.0321,714.0061,888.241,718.3151,830.1951,718.2221,509.2631,431.6241,368.6181,580.2132,131.71,7901,573.91,486.61,425.51,252.51,301.11,116.91,025.2861.6806.9736692.6601.5530.4
Niet-vlottende activa:
Materiële vaste activa, netto 488.6422.8421.1489.041382.248256.473259.71267.398237.527237.489236.263230.414218.021233.58220.706211.707187.96181.726164.045206.934199.854213.499235.36296.729318.8330.4280.6313.5313.2308.9279.8251.3225.2169.2169.9165176.3134.9109.3
Goodwill 2,279.23,470.13,419.63,691.709494.584485.881573.063570.555592.695593.438594.321474.925474.792474.813475.931474.497471.177469.938467.061469.726463.68460.993761.575803.189806.092704.3486.5460.50480000000000
Immateriële activa 587.5814.61,1721,530.835646.305693.842217.382245.949280.807324.528375.999416.659467.293500.597554.567568.412486.232532.257613.433637.929710.639715.736805.027902.893949.8081,542.2965.3825.5817775.3661.6690.9652.2235.8255.6200.4169.7211.1200.3
Goodwill en immateriële activa 2,866.74,284.74,591.65,222.5441,140.8891,179.723790.445816.504873.502917.966970.32891.584942.085975.411,030.4981,042.909957.4091,002.1951,080.4941,107.6551,174.3191,176.7291,566.6021,706.0821,755.91,542.2965.3825.5817775.3661.6690.9652.2235.8255.6200.4169.7211.1200.3
Langetermijnbeleggingen -00.3104.4294.677250.498242.264246.875293.444277.58800330.746000000000000000000000000000
Belastingvorderingen 427.9262.1132.1137.63392.401174.07797.87212.317-277.58800-330.746000000000000000000000000000
Overige niet-vlottende activa 434.11,326.91,060.5827.845242.071327.947261.157274.096744.09657.587715.227695.187716.976663.187600.656200.175203.454194.669226.409207.849279.94321.029198.399245.435256.9131.279.975.960.741.750.523.747.518.214.110.537.434.45.6
Totaal niet-vlottende activa 4,217.36,296.86,309.76,971.742,108.1072,180.4841,656.0571,863.7591,855.1191,813.0421,921.811,817.1851,877.0821,872.1771,851.861,454.7911,348.8231,378.591,470.9481,522.4381,654.1131,711.2572,000.3612,248.2462,331.62,003.81,325.81,214.91,190.91,125.9991.9965.9924.9423.2439.6375.9383.4380.4315.2
Totaal activa 6,540.99,295.910,037.810,818.3858,855.6285,262.9885,289.9835,091.3664,720.7174,532.1424,402.2674,325.3874,130.7744,093.2263,896.8923,168.7973,237.0633,096.9053,301.1433,240.663,163.3763,142.8813,368.9793,828.4594,463.33,793.82,899.72,701.52,616.42,378.42,2932,082.81,950.11,284.81,246.51,111.91,076981.9845.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 340.6427.32,2551,964.144343.927333.521348.476319.525241.21212.549198.799139.906134.864132.517173.388184.453186.202160.015152.468167.585158.969166.316123.109191.749284.8209.1179.2174.3198.3165.4173.5183.5152.4152.474.80000
Kortlopende schulden 530.5255.6200.9439.1970.5039.74154.957522.295164.563252.481436.722224.365180.4314.56814.1137.586145.54910.58247.446342.08324.687222.89236.328228.085714.7372.2122120.712081.862.264.236.129.790.439.774.442.526.7
Belastingschulden 61.6126.9125.981.87866.71575.9730000041.36000000000000000000000000000
Uitgestelde opbrengsten 101.6111.3114.1161.0180100000000000000000000000000000000000
Overige kortlopende verplichtingen 1,083.71,395.5-114.1-161.018912.652831.063748.264776.039658.874609.904727.759596.164627.05571.716628.387607.853555.92735.296710.812638.943746.399577.642599.154819.9781,071.8785702.3535.8551.6516.5512.6453.6405.3175.4218.9232.8229.5229.9213
Totaal kortlopende verplichtingen 2,056.42,189.72,455.92,403.3411,257.0821,274.3241,251.6971,617.8591,064.6471,074.9341,363.28960.435942.344718.801815.888799.892887.671905.893910.7261,148.611930.055966.85758.5911,239.8122,071.31,366.31,003.5830.8869.9763.7748.3701.3593.8357.5384.1272.5303.9272.4239.7
Langlopende verplichtingen:
Langetermijnschulden 2,965.83,711.23,824.24,660.0154,046.4571,695.0921,693.6091,198.6791,547.1151,559.895959.8951,396.4211,400.8721,397.6811,131.998709.723709.723494.917495.619302.698686.871857.2741,165.6491,167.838420.7407.20149.4150150200.5206.2380.356.957.6126.6127.1125185.7
Uitgestelde opbrengsten niet-vlottend 121.1-122.3-147.9-154.824-39.257-5.91-6.093-5.452-8.747000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 75.6122.3147.9154.82439.2575.916.0935.4528.747000000000000000000000000000002.2
Overige niet-vlottende verplichtingen 235533.1670.7793.866556.559539.086514.72389.388404.883388.919351.304461.152370.043361.324354.234268.396254.577158.205171.322149.627141.21127.39191.87593.40392.375.558.169.370.969.367.569.720.72.62.513.1737.833.6
Totaal niet-vlottende verplichtingen 3,397.54,244.34,494.95,453.8814,603.0162,234.1782,208.3291,588.0671,951.9981,948.8141,311.1991,857.5731,770.9151,759.0051,486.232978.119964.3653.122666.941452.325828.081984.6651,257.5241,261.241513482.758.1218.7220.9219.3268275.940159.560.1139.7134.1162.8221.5
Totaal passiva 5,453.96,4346,950.87,857.2225,860.0983,508.5023,460.0263,205.9263,016.6453,023.7482,674.4792,818.0082,713.2592,477.8062,302.121,778.0111,851.9711,559.0151,577.6671,600.9361,758.1361,951.5152,016.1152,501.0532,584.31,8491,061.61,049.51,090.89831,016.3977.2994.8417444.2412.2438435.2461.2
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 110.1110.1110.1110.143110.143104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.847104.8104.869.966.1044000000000
Ingehouden winsten 2,188.44,071.44,257.84,204.1844,354.6194,184.3744,260.2224,148.7223,852.3213,630.0723,432.1763,354.5453,205.422,978.3172,720.5492,456.652,261.5612,020.3481,869.0071,721.2091,567.6931,430.951,622.4021,583.3941,764.11,621.81,458.31,362.81,201.21,071.4921742580.2867.8434.6352.8289.6248.9170.2
Overige gereserveerde algehele resultaten -201.5-254.9-235.3-194.953-184.22-294.514-239.425-194.57-146.001-95.454-34.135-72.307-35.9438.14958.63162.25674.93811.18615.32482.2929.805-47.427-71.394-51.607-33-19.2-9.443-187.729000000000
Overige totale aandeelhoudersvermogen -1,035.1-1,064.7-1,069.5-1,182.637-1,285.012-2,240.221-2,295.687-2,196.263-2,147.265-2,173.801-1,820.545-1,879.706-1,856.809-1,475.893-1,289.255-1,232.967-1,056.254-598.491-265.702-268.622-297.105-297.004-302.991-309.22843.1237.4319.3180.1512.1251355.7363.6375.10367.7346.9348.4297.8214.2
Totaal eigen vermogen van aandeelhouders 1,061.92,861.93,063.12,936.7372,995.531,754.4861,829.9571,862.7361,663.9021,465.6641,682.3431,507.3791,417.5151,615.421,594.7721,390.7861,385.0921,537.891,723.4761,639.7241,405.241,191.3661,352.8641,327.4061,8791,944.81,838.11,6521,525.61,395.41,276.71,105.6955.3867.8802.3699.7638546.7384.4
Totaal eigen vermogen 1,0872,8913,0872,961.1632,995.531,754.4865,291,812.9571,885.441,704.0721,508.3941,727.7881,507.3791,417.5151,615.421,594.7721,390.7861,385.0921,537.891,723.4761,639.7241,405.241,191.3661,352.8641,327.4061,8791,944.81,838.11,6521,525.61,395.41,276.71,105.6955.3867.8802.3699.7638546.7384.4
Totaal passiva en aandeelhoudersvermogen 6,540.99,295.910,037.810,818.3858,855.6285,262.9885,289.9835,091.3664,720.7174,532.1424,402.2674,325.3874,130.7744,093.2263,896.8923,168.7973,237.0633,096.9053,301.1433,240.663,163.3763,142.8813,368.9793,828.4594,463.33,793.82,899.72,701.52,616.42,378.42,2932,082.81,950.11,284.81,246.51,111.91,076981.9845.6