Operating cash flow CAGR uses reported cash from operations before capital expenditures.
Over longer horizons, Operating Cash Flow CAGR averages 52.70% over 3 years and 2.09% over 5 years; the trailing 12 months came in at +86.24%.The TTM figure compares the trailing 12 months (sum of the latest four quarters) with the 12 months before that. Rows in the history table compare fiscal years, and the quarterly table compares single quarters; the three measure different windows and will differ. Operating cash flow CAGR measures the compound annual growth rate of the cash Hasbro, Inc. generates from its core business operations, before capital expenditures, computed from rolling-twelve-month cash-flow statement history.
HAS Operating Cash Flow CAGR Chart
Hasbro, Inc. (HAS)
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HAS Quarterly Operating Cash Flow Growth (YoY)
Operating Cash Flow growth vs the same quarter one year earlier, last 40 quarters.
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Operating Cash Flow
HAS Quarterly Operating Cash Flow
$266.70M
Reported quarterly operating cash flow; no daily interpolation.