Hasbro, Inc.

NASDAQ:HAS

64.14 (USD) • At close November 7, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -1,489.3203435.3225.441520.454220.434396.607533.151446.872413.31283.928335.999385.367397.752374.93306.766333.003230.055212.075195.977157.664-170.67459.732-144.631189206.4135199.9155.6179.320017981.789.292.2
Afschrijvingen & Amortisatie 659.6788.1908.7652.031266.372211.864207.634190.401197.776205.052228.675192.087160.468146.33180.963166.138156.52146.707180.132146.18164.123183.838225.899264.221277.3169.2166.6138.3129.9122.3100.795.681.860.260
Uitgestelde Inkomstenbelasting -243.5-130.13630.316-14.956-11.094112.105-0.662-18.954-9.755-19.183-16.086-2.92125.17219.13624.99437.57824.967-24.03234.62422.7745.44138.697-67.69-38.71.7-40.6-8.1-9.1-1.22.32.2-20.1-13.4-5.1
Aandelen Gebaseerde Vergoedingen 72.483.497.849.728.04427.89256.03261.62453.8836.15221.27219.43412.46333.39229.91235.2210000000000000000000
Verandering in Werkkapitaal -206.4-877.8-821.2-60.132-203.63198.224-3.999-42.499-127.129-163.454-113.563.362-195.106-256.734-339.31860.0660.921-123.354130.455-15.96858.099164.1345.61563.937-38.3-270.6273.3-52.3-67.113.1-85.6-47.2-23.325.638
Vorderingen 15.5339.6-159.5210.823-211.45180.113-50.376-149.923-227.808-112.366-86.61628.69-108.84571.173-422.56-14.220000000000000000000
Voorraden 257.1-139.5-173.962.757-4.631-37.211-25.301-12.065-99.353-28.944-37.51122.54617.463-151.634105.329-69.871-44.267-17.62310.677-15.83834.84638.783109.00269.657-44.2-44.640.743-64.728.7-34.1-15.223.814.9-25.9
Crediteuren -109.7-278.7313.249.28862.277107.426-80.461203.783149.663-0.957140.092-22.362-9.487-113.62741.66856.1430000000000000000000
Overig Werkkapitaal -369.3-799.2-801-383-49.827-152.104152.139-84.29450.369-21.187-129.525-25.512-94.237-62.646-63.75588.01445.188-105.731119.778-0.1323.253125.347-63.387-5.725.9-226232.6-95.3-2.4-15.6-51.5-32-47.110.763.9
Overige Niet-Contante Posten 1,932.8306.3161.378.93656.77898.677-44.00132.85853.88-26.894230.764195.43535.79822.0690073.77242.272-2.006-2.30751.495290.4042.53246.7192.2-0.19.52.25.3-4.4-0.20.200-0.1
Kasstroom uit Operationele Activiteiten 725.6372.9817.9976.34653.061645.997724.378774.873552.445454.411401.132534.796396.069367.981265.623593.185601.794320.647496.624358.506454.155473.139372.475162.556391.5126.6543.8280227.4283.8217.2229.8120.1161.6185
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -209.3-174.2-132.7-125.754-133.636-140.426-134.877-154.9-142.022-113.388-112.031-112.091-99.402-112.597-104.129-117.143-91.532-82.103-70.584-79.239-63.07-58.661-50.045-125.055-107.5-809.7-99.4-101.9-100.6-110.9-99.8-90.4-399.4-36.2-42.3
Netto Overnames 329.6-146.3378.5-4,412.948-8.761-155.4510-12.43618.63264.4-110.698000-371.482-154.757-181.19700000000000000000
Aankoop van Beleggingen 0-146.30-4,412.948-8.761-155.4510-12.43600-110.6980-11.5850-18-42-43.7-941.1200000000000-192.4-141.4-1440-8.60
Verkoop/verval van Beleggingen 0146.304,412.94879.99155.451012.43600110.69800004243.7941.120000000000.31.759.3141.8144000
Overige Investeringsactiviteiten -2.77.5-3.838.47110.2139.43.39628.94538.37548.5034.9865.9193.3728.409-3.898-0.02-2.933-2.698-50.087-5.728-1.809-3.653-7.734-55.655-321.617-169.9-25.7-110.4-0.2-26.6-3.6-53.2-73.9
Kasstroom uit Investeringsactiviteiten 117.6-313242-4,500.231-60.955-286.477-131.481-138.391-103.647-0.485-217.743-106.172-107.615-104.188-497.509-271.92-112.465-83.604-120.671-84.967-64.879-62.314-57.779-180.71-429.1-792.7-269.3-127.3-209.3-244.2-126-94-404.4-41.6-116.2
Financieringsactiviteiten:
Schuldaflossingen -398.6-206-1,225.7-284.131-8.828-142.357-350-8.978-87.31-425-215.27300-0.1860-135.737-344.859-36.469000000-378.3-654.40-3.200000-67.30
Uitgifte van Gewone Aandelen 074.230.61,129.232975.18529.999504.8942.20743.322877.473140.42200585.6690120.89582.66186.25745.27825.83639.8923.18.3912.52350.458.437.317.76.709.716.317.5110.9
Terugkoop van Gewone Aandelen -16.8-125-13.7-47.399-61.387-308.398-151.311-150.075-87.224-459.564-103.488-98.005-423.008-639.563-88.112-360.244-784.349-456.744-48.030-3.37800-367.548-237.5-179-134.9-83.7-15.2-31.2000-35.80
Uitgekeerde Dividenden -388-385.3-374.5-372.652-336.604-309.258-276.973-248.881-225.797-216.855-156.129-225.464-154.028-133.048-111.458-107.065-94.097-75.282-58.901-37.088-20.851-20.772-20.709-42.494-45.5-42.3-39.7-33-27.2-23.7-20.1-16.5-13.1-11-10.4
Overige Financieringsactiviteiten -31.588.8123.5-19.1012,242.207-119.445-38.77965.898-33.436-7.01-6.541104.09201.35116.533436.34924.76706.72714.959-96.988-64.572-388.97-141.665-190.343279.678756.51,308.911.86.638.1-34.9-20.8-123117.20.7-21.7
Kasstroom uit Financieringsactiviteiten -818.1-553.3-1,459.8405.9492,810.573-737.101-312.173-333.058-346.457-230.956-341.009-219.379-375.685-170.595236.779-457.391-433.917-467.279-158.641-75.824-373.307-159.337-202.661-127.841145.6491.6-125.5-95.62.4-89.8-31.2-123.2121.6-112.4-21.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 7.2-12.7-30.6-12.751-4.681-21.28218.2252.111-18.758-12.252-9.632-1.2321.123-1.4470.762-7.9423.6463.368-0.0466.549.40610.789-6.055-7.049-5.6-9.6-6.20.83.60.90.3-7.3-5.93.6-1.1
Netto Kasstroomverandering 32.3-506.1-430.5-3,130.6933,397.998-398.863298.949305.53583.583210.718-167.252208.013-86.10891.7515.655-144.06859.058-226.868217.266204.25525.375262.277105.98-153.044102.5-184.1142.857.924.1-49.360.35.3-168.611.246.5
Kaspositie aan het Einde van de Periode 545.4513.11,019.21,449.6764,580.3691,182.3711,581.2341,282.285976.75893.167682.449849.701641.688727.796636.045630.39774.458715.4942.268725.002520.747495.372233.095127.115280.2177.7361.8218.9161.1137186.3125.9120.7289.4278.3