Recent Annual Filings for HAS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,340,300,000 $4,745,900,000 $3,445,500,000 $349,500,000 $847,400,000 $-497,500,000 $149,600,000
2023 $6,540,900,000 $5,003,300,000 $6,542,100,000 $-1,434,400,000 $725,600,000 $-818,100,000 $32,300,000
2022 $9,295,900,000 $5,856,700,000 $5,449,000,000 $183,400,000 $372,900,000 $-553,300,000 $-506,100,000
2021 $10,037,800,000 $6,420,400,000 $5,657,100,000 $395,000,000 $817,900,000 $-1,459,800,000 $-430,500,000
2020 $10,818,385,000 $5,465,443,000 $4,963,629,000 $214,708,000 $976,340,000 $405,949,000 $-3,130,693,000
2019 $8,855,628,000 $4,720,227,000 $4,068,177,000 $630,748,000 $653,061,000 $2,810,573,000 $3,397,998,000
2018 $5,262,988,000 $4,579,646,000 $4,248,594,000 $186,848,000 $645,997,000 $-737,101,000 $-398,863,000
2017 $5,289,983,000 $5,209,782,000 $4,399,423,000 $351,752,000 $724,378,000 $-312,173,000 $298,949,000