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Hasbro Inc

Exchange: NASDAQSector: Consumer CyclicalIndustry: Leisure

Hasbro is a leading games, IP and toy company whose mission is to create joy and community through the magic of play. With over 164 years of expertise, Hasbro delivers groundbreaking play experiences and reaches over 500 million kids, families and fans around the world, through physical and digital games, video games, toys, licensed consumer products, location-based entertainment, film, TV and more. Through its franchise-first approach, Hasbro unlocks value from both new and legacy IP, including MAGIC: THE GATHERING, DUNGEONS & DRAGONS, MONOPOLY, HASBRO GAMES, NERF, TRANSFORMERS, PLAY-DOH and PEPPA PIG, as well as premier partner brands. Powered by its portfolio of thousands of iconic marks and a diversified network of partners and subsidiary studios, Hasbro brings fans together wherever they are, from tabletop to screen. For more than a decade, Hasbro has been consistently recognized for its corporate citizenship, including being named one of the 100 Best Corporate Citizens by 3BL Media, a 2025 JUST Capital Industry Leader, one of the 50 Most Community-Minded Companies in the U.S. by the Civic 50, and a Brand that Matters by Fast Company.

Did you know?

Free cash flow has been growing at 5.0% annually.

Current Price

$95.08

-1.55%

GoodMoat Value

$68.56

27.9% overvalued
Profile
Valuation (TTM)
Market Cap$13.34B
P/E-41.39
EV$15.43B
P/B23.60
Shares Out140.34M
P/Sales2.84
Revenue$4.70B
EV/EBITDA68.82

Hasbro Inc (HAS) Dividends

GoodMoat Analysis

Based on data as of March 26, 2026

Hasbro's dividend profile is unfavourable for a value investor due to severe balance sheet strain and negative earnings. While the 3.03% yield appears attractive, the company's high debt and negative profitability make the payout's long-term sustainability highly questionable.

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An analysis of Hasbro's dividend through the lens of the GoodMoat Quality Indicators reveals significant concerns. The primary issue is the balance sheet, where a Debt/Equity ratio of 5.77 is extremely high and far exceeds the framework's favourable threshold of low/zero debt (Debt/EBITDA < 1.0x). This heavy leverage creates substantial risk. Furthermore, the company is not GAAP profitable, with a negative EPS of -$2.30 and a negative ROE of -57.0%, indicating the dividend is not being paid from current earnings. The payout ratio based on earnings is therefore negative and meaningless, a classic warning sign. The more relevant metric is free cash flow coverage. While the FCF Yield of 5.4% is positive and exceeds the dividend yield, suggesting the dividend is currently covered by cash generation, this margin is thin and precarious given the company's operational volatility and massive debt burden. The dividend has not been cut recently, but the underlying financials—particularly the extreme leverage and lack of profitability—do not support a sustainable, growing income stream. For an income-focused value investor, the combination of weak quality indicators (specifically balance sheet and GAAP profitability) overshadows the nominal yield. Analysis based on data as of 2024-05-15.

Dividend Overview

Dividend Yield

2.94%

Dividend / Share

$2.80

Key Metrics

Market Cap

$13.34B

P/E Ratio

-41.39

Forward P/E

EPS

$-2.30

PEG Ratio

0.06

Book Value

$4.03

Dividend Yield

2.94%

Profit Margin

-6.86%

ROE

-57.01%

Dividend History

Dividend Safety

HAS Dividend Analysis

Hasbro Inc (HAS) dividend analysis including yield, payout history, and sustainability metrics. The current dividend yield is 2.94%. The annual dividend per share is $2.80.

P/E ratio: -41.39. Profit margin: -6.86%. Free cash flow: $694.90M. This page shows Hasbro Inc's dividend overview, key metrics, historical payout data, and dividend safety assessment to help income-focused investors evaluate the sustainability of dividend payments.

GoodMoat's dividend analyzer evaluates payout ratios, earnings coverage, and free cash flow coverage to determine how well supported Hasbro Inc's dividend payments are. Use this analysis alongside the company's financial statements and quality score to make informed income-investing decisions.