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HAS logoHasbro, Inc.(HAS)Earnings, Financials & Key Ratios

HAS•NASDAQ
$97.48
$13.71B mkt cap·Price updated May 6, 2026
SectorConsumer CyclicalIndustryLeisureSub-IndustryToys, Games and Collectibles
AboutHasbro, Inc., together with its subsidiaries, operates as a play and entertainment company. Its Consumer Products segment engages in the sourcing, marketing, and sale of toy and game products. This segment also promotes its brands through the out-licensing of trademarks, characters, and other brand and intellectual property rights to third parties through the sale of branded consumer products, such as toys and apparels. Its toys and games include action figures, arts and crafts and creative play products, fashion and other dolls, play sets, preschool toys, plush products, sports action blasters and accessories, vehicles and toy-related specialty products, games, and other consumer products; and licensed products, such as apparels, publishing products, home goods and electronics, and toy products. The company's Wizards of the Coast and Digital Gaming segment engages in the promotion of its brands through the development of trading card, role-playing, and digital game experiences based on Hasbro and Wizards of the Coast games. Its Entertainment segment engages in the development, acquisition, production, distribution, and sale of world-class entertainment content, including film, scripted and unscripted television, family programming, digital content, and live entertainment. The company sells its products to retailers, distributors, wholesalers, discount stores, drug stores, mail order houses, catalog stores, department stores, and other traditional retailers, as well as ecommerce retailers; and directly to customer through Hasbro PULSE e-commerce website. Hasbro, Inc. was founded in 1923 and is headquartered in Pawtucket, Rhode Island.Show more
  • Revenue$4.7B+13.7%
  • EBITDA$1.23B+36.2%
  • Net Income-$322M-183.6%
  • EPS (Diluted)-2.30-183.6%
  • Gross Margin70.26%+8.8%
  • EBITDA Margin26.15%+19.8%
  • Operating Margin22.5%+34.9%
  • Net Margin-6.86%-173.5%
  • ROE-36.84%-208.5%
  • ROIC22.38%+71.7%
  • Debt/Equity6.01+109.0%
  • Interest Coverage0.38-90.4%
Analysis→Technical→

HAS Key Insights

Hasbro, Inc. (HAS) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓FCF machine: 17.7% free cash flow margin
  • ✓Healthy dividend yield of 2.9%

✗Weaknesses

  • ✗High debt to equity ratio of 6.0x
  • ✗Expensive at 24.2x book value

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

HAS Price & Volume

Hasbro, Inc. (HAS) stock price & volume — 10-year historical chart

Loading chart...

HAS Growth Metrics

Hasbro, Inc. (HAS) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years0.56%
5 Years-2.97%
3 Years-7.06%
TTM13.68%

Profit CAGR

10 Years-
5 Years-
3 Years-
TTM-183.61%

EPS CAGR

10 Years-
5 Years-
3 Years-
TTM-185.45%

Return on Capital

10 Years9.72%
5 Years5.55%
3 Years4.21%
Last Year24.55%

HAS Recent Earnings

Hasbro, Inc. (HAS) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 9/12 qtrs (75%)●Beat Revenue 9/12 qtrs (75%)
Q1 2026Latest
Feb 10, 2026
EPS
$1.51
Est $0.99
+52.5%
Revenue
$1.4B
Est $1.3B
+14.5%
Q4 2025
Oct 23, 2025
EPS
$1.68
Est $1.66
+1.2%
Revenue
$1.4B
Est $1.3B
+10.0%
Q3 2025
Jul 23, 2025
EPS
$1.30
Est $0.78
+66.7%
Revenue
$981M
Est $1.3B
-24.3%
Q2 2025
Apr 24, 2025
EPS
$1.04
Est $0.67
+55.2%
Revenue
$887M
Est $771M
+15.1%
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q1 2026LatestFeb 10, 2026
$1.51vs $0.99+52.5%
$1.4Bvs $1.3B+14.5%
Q4 2025Oct 23, 2025
$1.68vs $1.66+1.2%
$1.4Bvs $1.3B+10.0%
Q3 2025Jul 23, 2025
$1.30vs $0.78+66.7%
$981Mvs $1.3B-24.3%
Q2 2025Apr 24, 2025
$1.04vs $0.67+55.2%
$887Mvs $771M+15.1%
Based on last 12 quarters of dataView full earnings history →

HAS Peer Comparison

Hasbro, Inc. (HAS) competitors in Toys, Games and Collectibles — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
MAT logoMATMattel, Inc.Direct Competitor4.56B15.0812.16-0.59%9.27%22.75%1.28
JAKK logoJAKKJAKKS Pacific, Inc.Direct Competitor263.56M23.0326.78-17.42%1.73%4.04%0.37
FNKO logoFNKOFunko, Inc.Direct Competitor244.56M4.38-3.53-13.49%-7.42%-35.18%1.57
EA logoEAElectronic Arts Inc.Product Competitor50.25B200.7957.210.91%11.78%14.19%0.22
TTWO logoTTWOTake-Two Interactive Software, Inc.Product Competitor46.35B222.00-8.685.31%-60.45%-113.43%1.92
NFLX logoNFLXNetflix, Inc.Product Competitor374.03B88.2734.8915.85%24.3%41.26%0.54
WBD logoWBDWarner Bros. Discovery, Inc.Product Competitor68.18B27.2093.79-5.15%1.95%1.98%0.88
DIS logoDISThe Walt Disney CompanySupply Chain191.31B107.9915.773.35%11.54%9.81%0.39

Compare HAS vs Peers

Hasbro, Inc. (HAS) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs MAT

Most directly comparable listed peer for HAS.

Scale Benchmark

vs AMZN

Larger-name benchmark to compare HAS against a more recognizable public peer.

Peer Set

Compare Top 5

vs MAT, JAKK, FNKO, EA

HAS Income Statement

Hasbro, Inc. (HAS) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Sales/Revenue5.21B4.58B4.72B5.47B6.42B5.86B5B4.14B4.7B
Revenue Growth %3.78%-12.1%3.07%15.79%17.47%-8.78%-14.57%-17.34%13.68%
Cost of Goods Sold2.44B2.2B2.22B2.29B2.55B2.4B2.13B1.46B1.4B
COGS % of Revenue46.82%48.09%47.08%41.88%39.68%41.06%42.66%35.39%29.74%
Gross Profit
2.77B▲ 0%
2.38B▼ 14.2%
2.5B▲ 5.1%
3.18B▲ 27.2%
3.87B▲ 21.9%
3.45B▼ 10.9%
2.87B▼ 16.9%
2.67B▼ 6.9%
3.3B▲ 23.6%
Gross Margin %53.18%51.91%52.92%58.12%60.32%58.94%57.34%64.61%70.26%
Gross Profit Growth %2.43%-14.2%5.07%27.17%21.91%-10.86%-16.89%-6.87%23.64%
Operating Expenses1.96B2.05B1.85B2.67B3.11B3.04B4.41B1.98B2.25B
OpEx % of Revenue37.63%44.68%39.1%48.94%48.43%51.98%88.1%47.92%47.76%
Selling, General & Admin1.63B1.73B1.45B1.66B1.94B2.05B1.84B1.53B316.9M
SG&A % of Revenue31.22%37.72%30.73%30.46%30.21%35.06%36.75%37.06%6.74%
Research & Development269.02M246.16M262.2M259.5M315.7M307.9M306.9M294.1M385.6M
R&D % of Revenue5.16%5.38%5.55%4.75%4.92%5.26%6.13%7.11%8.2%
Other Operating Expenses64.62M72.61M132.9M750.4M854.2M682.9M2.26B155M1.54B
Operating Income
810.36M▲ 0%
331.05M▼ 59.1%
652.1M▲ 97.0%
501.8M▼ 23.0%
763.3M▲ 52.1%
407.7M▼ 46.6%
-1.54B▼ 477.4%
690M▲ 144.8%
1.06B▲ 53.3%
Operating Margin %15.55%7.23%13.82%9.18%11.89%6.96%-30.76%16.68%22.5%
Operating Income Growth %2.83%-59.15%96.98%-23.05%52.11%-46.59%-477.43%144.84%53.33%
EBITDA1.02B542.92M918.5M1.15B1.67B1.2B-879.2M902.3M1.23B
EBITDA Margin %19.54%11.86%19.46%21.11%26.04%20.42%-17.57%21.82%26.15%
EBITDA Growth %4.04%-46.67%69.18%25.62%44.91%-28.48%-173.52%202.63%36.24%
D&A (Non-Cash Add-back)207.63M211.86M266.4M652M908.7M788.1M659.6M212.3M171.3M
EBIT884.42M361.23M696.2M523.2M761.6M432.5M-1.52B668.2M61.4M
Net Interest Income-76.11M-68.47M-71.8M-193.7M-174.3M-159.2M-163.3M-123.9M-134.8M
Interest Income22.16M22.36M30.1M7.4M5.4M11.8M23M47.3M28.6M
Interest Expense98.27M90.83M101.9M201.1M179.7M171M186.3M171.2M163.4M
Other Income/Expense-24.21M-60.65M-57.8M-179.7M-181.4M-146.2M-170.3M-193M-1.16B
Pretax Income
786.15M▲ 0%
270.4M▼ 65.6%
594.3M▲ 119.8%
322.1M▼ 45.8%
581.9M▲ 80.7%
261.5M▼ 55.1%
-1.71B▼ 753.6%
497M▲ 129.1%
-102M▼ 120.5%
Pretax Margin %15.09%5.9%12.59%5.89%9.06%4.46%-34.16%12.02%-2.17%
Income Tax389.54M49.97M73.8M96.7M146.6M58.5M-221.3M102.6M216.2M
Effective Tax Rate %49.55%18.48%12.42%30.02%25.19%22.37%12.95%20.64%-211.96%
Net Income
396.61M▲ 0%
220.43M▼ 44.4%
520.5M▲ 136.1%
222.5M▼ 57.3%
428.7M▲ 92.7%
203.5M▼ 52.5%
-1.49B▼ 831.8%
385.6M▲ 125.9%
-322.4M▼ 183.6%
Net Margin %7.61%4.81%11.03%4.07%6.68%3.47%-29.77%9.32%-6.86%
Net Income Growth %-28.07%-44.42%136.13%-57.25%92.67%-52.53%-831.84%125.89%-183.61%
Net Income (Continuing)396.61M220.43M520.5M225.4M435.3M203M-1.49B394.4M-318.2M
Discontinued Operations000000000
Minority Interest00064.4M61.1M29.1M25.1M27.4M27M
EPS (Diluted)
3.12▲ 0%
1.74▼ 44.2%
4.05▲ 132.8%
1.62▼ 60.0%
3.10▲ 91.4%
1.47▼ 52.6%
-10.73▼ 829.9%
2.75▲ 125.6%
-2.30▼ 183.6%
EPS Growth %-28.11%-44.23%132.76%-60%91.36%-52.58%-829.93%125.63%-183.64%
EPS (Basic)3.171.754.071.623.111.47-10.732.77-2.30
Diluted Shares Outstanding127.03M126.89M128.5M137.55M138.4M138.9M138.8M140.3M140.2M
Basic Shares Outstanding125.04M126.13M127.9M137.26M138M138.7M138.8M139.4M140.2M
Dividend Payout Ratio69.84%140.3%64.67%167.48%87.36%189.34%-101.12%-

HAS Balance Sheet

Hasbro, Inc. (HAS) balance sheet — assets, liabilities & shareholders' equity

Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Total Current Assets3.63B3.08B6.75B3.85B3.73B3B2.32B2.24B2.58B
Cash & Short-Term Investments1.58B1.18B4.58B1.38B983.4M498.6M544.8M694.7M882M
Cash Only1.58B1.18B4.58B1.38B983.4M498.6M544.8M694.7M776.6M
Short-Term Investments00000000105.4M
Accounts Receivable1.41B1.19B1.44B1.39B1.5B1.13B1.03B919.8M1.06B
Days Sales Outstanding98.4694.69111.5792.9485.370.5775.0981.1882.28
Inventory433.29M443.38M446.11M395.6M552.1M676.8M332M274.2M259.8M
Days Inventory Outstanding64.8473.4873.2763.0879.09102.7256.7868.3867.83
Other Current Assets00073.2M35.8M691.3M417.5M353.8M382.1M
Total Non-Current Assets1.66B2.18B2.11B6.97B6.31B6.3B4.22B4.1B2.97B
Property, Plant & Equipment259.71M256.47M382.25M489M421.1M422.8M334.3M302.6M247.8M
Fixed Asset Turnover20.06x17.86x12.35x11.18x15.25x13.85x14.97x13.67x18.97x
Goodwill573.06M485.88M494.58M3.69B3.42B3.47B2.28B2.28B1.26B
Intangible Assets217.38M693.84M646.3M1.53B1.17B814.6M587.5M518.4M456.7M
Long-Term Investments000000000
Other Non-Current Assets605.9M744.29M584.97M1.26B1.3B1.59B1.02B998.6M1.01B
Total Assets
5.29B▲ 0%
5.26B▼ 0.5%
8.86B▲ 68.3%
10.82B▲ 22.2%
10.04B▼ 7.2%
9.3B▼ 7.4%
6.54B▼ 29.6%
6.34B▼ 3.1%
5.55B▼ 12.4%
Asset Turnover0.98x0.87x0.53x0.51x0.64x0.63x0.76x0.65x0.85x
Asset Growth %3.9%-0.51%68.26%22.16%-7.22%-7.39%-29.64%-3.07%-12.43%
Total Current Liabilities1.25B1.27B1.26B2.4B2.46B2.19B2.06B1.4B1.87B
Accounts Payable348.48M333.52M343.93M425.5M580.2M427.3M340.6M341.5M335.4M
Days Payables Outstanding52.1555.2856.4967.8583.1264.8658.2585.1687.57
Short-Term Debt154.96M9.74M503K439.2M200.9M255.6M500M0527.6M
Deferred Revenue (Current)0048.47M161M114.1M111.3M101.6M88.6M190.5M
Other Current Liabilities10.95M76.92M35.04M49.7M32M130.3M113.4M71.6M645M
Current Ratio2.90x2.42x5.37x1.60x1.52x1.37x1.13x1.60x1.38x
Quick Ratio2.56x2.07x5.01x1.44x1.29x1.06x0.97x1.40x1.24x
Cash Conversion Cycle111.16112.9128.3588.1781.27108.4473.6264.462.54
Total Non-Current Liabilities2.21B2.23B4.6B5.45B4.49B4.24B3.4B3.75B3.12B
Long-Term Debt1.69B1.7B4.05B4.66B3.82B3.71B2.97B3.38B2.77B
Capital Lease Obligations00000000105.6M
Deferred Tax Liabilities0000000059.3M
Other Non-Current Liabilities514.72M539.09M556.56M794M670.7M533.1M431.7M373.2M182.6M
Total Liabilities3.46B3.51B5.86B7.86B6.95B6.43B5.45B5.16B4.99B
Total Debt1.85B1.7B4.05B5.1B4.07B4.01B3.5B3.41B3.4B
Net Debt267.33M522.46M-533.41M3.72B3.09B3.51B2.95B2.72B2.62B
Debt / Equity1.01x0.97x1.35x1.72x1.32x1.40x3.22x2.88x6.01x
Debt / EBITDA1.82x3.14x4.41x4.42x2.43x3.35x-3.78x2.77x
Net Debt / EBITDA0.26x0.96x-0.58x3.23x1.85x2.93x-3.01x2.13x
Interest Coverage9.00x3.98x6.83x2.60x4.24x2.53x-8.17x3.90x0.38x
Total Equity
1.83B▲ 0%
1.75B▼ 4.1%
3B▲ 70.7%
2.96B▼ 1.1%
3.09B▲ 4.3%
2.86B▼ 7.3%
1.09B▼ 62.0%
1.19B▲ 9.0%
565.5M▼ 52.3%
Equity Growth %-2.94%-4.12%70.74%-1.15%4.25%-7.29%-62.02%9.02%-52.28%
Book Value per Share14.4113.8323.3121.5322.3020.607.838.454.03
Total Shareholders' Equity1.83B1.75B3B2.9B3.03B2.83B1.06B1.16B538.5M
Common Stock104.85M104.85M110.14M110.1M110.1M110.1M110.1M110.1M110.1M
Retained Earnings4.26B4.18B4.35B4.2B4.26B4.07B2.19B2.27B1.55B
Treasury Stock-3.35B-3.52B-3.56B-3.55B-3.53B-3.63B-3.63B-3.61B-3.6B
Accumulated OCI-239.43M-294.51M-184.22M-195M-235.3M-254.9M-201.5M-246.4M-217.5M
Minority Interest00064.4M61.1M29.1M25.1M27.4M27M

HAS Cash Flow Statement

Hasbro, Inc. (HAS) cash flow — operating, investing & free cash flow history

Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Cash from Operations724.38M646M653.06M976.34M817.9M372.9M725.6M847.4M893.2M
Operating CF Margin %13.9%14.11%13.84%17.86%12.74%6.37%14.5%20.49%19%
Operating CF Growth %-6.52%-10.82%1.09%49.5%-16.23%-54.41%94.58%16.79%5.4%
Net Income396.61M220.43M520.45M222.52M428.7M203.5M-1.49B385.6M-322.4M
Depreciation & Amortization207.63M211.86M266.37M652.03M908.7M788.1M659.6M212.3M171.3M
Stock-Based Compensation000000000
Deferred Taxes112.11M-11.09M-14.96M30.32M36M-130.1M-243.5M-20.6M0
Other Non-Cash Items12.03M126.57M84.82M131.61M265.7M389.2M2.01B210.6M1.36B
Working Capital Changes-4M98.22M-203.63M-60.13M-821.2M-877.8M-206.4M59.5M-320.3M
Change in Receivables-50.38M180.11M-211.45M210.82M-159.5M339.6M15.5M77.3M0
Change in Inventory-25.3M-37.21M-4.63M62.76M-173.9M-139.5M257.1M22.1M0
Change in Payables-80.46M107.43M62.28M49.29M313.2M-278.7M-109.7M-78.8M0
Cash from Investing-131.48M-286.48M-60.95M-4.5B242M-313M117.6M-203.7M-284.4M
Capital Expenditures-134.88M-140.43M-133.64M-125.75M-132.7M-174.2M-209.3M-197.5M-198.3M
CapEx % of Revenue2.59%3.07%2.83%2.3%2.07%2.97%4.18%4.78%4.22%
Acquisitions0-155.45M-8.76M-4.41B378.5M-146.3M329.6M-12M0
Investments---------
Other Investing3.4M9.4M81.44M38.47M-3.8M7.5M-2.7M-6.2M19.3M
Cash from Financing-312.17M-737.1M2.81B405.95M-1.46B-553.3M-818.1M-497.5M-531.3M
Debt Issued (Net)125.46M-142.36M2.32B828.51M-1.08B-60.5M-398.6M-88M-118.2M
Equity Issued (Net)-121.88M-220.06M945.58M16.59M30.6M-50.8M07.6M9.6M
Dividends Paid-276.97M-309.26M-336.6M-372.65M-374.5M-385.3M-388M-389.9M-392.5M
Share Repurchases-151.31M-250.05M-61.39M00-125M000
Other Financing-38.78M-65.43M-117.88M-66.5M-34.2M-56.7M-31.5M-27.2M-30.2M
Net Change in Cash
298.95M▲ 0%
-398.86M▼ 233.4%
3.4B▲ 951.9%
-3.13B▼ 192.1%
-430.48M▲ 86.2%
-506.1M▼ 17.6%
32.3M▲ 106.4%
149.6M▲ 363.2%
81.6M▼ 45.5%
Free Cash Flow
589.5M▲ 0%
505.57M▼ 14.2%
519.42M▲ 2.7%
850.59M▲ 63.8%
685.2M▼ 19.4%
198.7M▼ 71.0%
516.3M▲ 159.8%
760.2M▲ 47.2%
829.9M▲ 9.2%
FCF Margin %11.32%11.04%11%15.56%10.67%3.39%10.32%18.38%17.65%
FCF Growth %-4.92%-14.24%2.74%63.76%-19.44%-71%159.84%47.24%9.17%
FCF per Share4.643.984.046.184.951.433.725.425.92
FCF Conversion (FCF/Net Income)1.83x2.93x1.25x4.39x1.91x1.83x-0.49x2.20x-2.77x
Interest Paid89.29M82.26M82.2M182.9M171.9M161.7M179M162.2M0
Taxes Paid115.75M117.85M103.1M81.6M160.5M177.2M119.8M92.7M0

HAS Key Ratios

Hasbro, Inc. (HAS) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)30.72%21.35%12.3%21.92%7.47%14.18%6.84%-75.43%33.94%-36.84%
Return on Invested Capital (ROIC)24.82%27.49%11.35%20.64%8.23%8.91%4.88%-22.18%13.04%22.38%
Gross Margin53.88%53.18%51.91%52.92%58.12%60.32%58.94%57.34%64.61%70.26%
Net Margin10.98%7.61%4.81%11.03%4.07%6.68%3.47%-29.77%9.32%-6.86%
Debt / Equity0.91x1.01x0.97x1.35x1.72x1.32x1.40x3.22x2.88x6.01x
Interest Coverage8.11x9.00x3.98x6.83x2.60x4.24x2.53x-8.17x3.90x0.38x
FCF Conversion1.41x1.83x2.93x1.25x4.39x1.91x1.83x-0.49x2.20x-2.77x
Revenue Growth12.87%3.78%-12.1%3.07%15.79%17.47%-8.78%-14.57%-17.34%13.68%

HAS SEC Filings & Documents

Hasbro, Inc. (HAS) SEC filings — annual & quarterly reports (10-K, 10-Q)

8-K Announcements

6
Material company update

Apr 23, 2026·SEC

Material company update

Apr 1, 2026·SEC

Material company update

Mar 12, 2026·SEC

10-K Annual Reports

3
FY 2026

Feb 25, 2026·SEC

FY 2025

Feb 27, 2025·SEC

FY 2024

Feb 28, 2024·SEC

10-Q Quarterly Reports

6
FY 2025

Nov 5, 2025·SEC

FY 2025

Jul 31, 2025·SEC

FY 2025

May 6, 2025·SEC

HAS Frequently Asked Questions

Hasbro, Inc. (HAS) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Hasbro, Inc. (HAS) reported $4.70B in revenue for fiscal year 2025. This represents a 57% increase from $3.00B in 1996.

Hasbro, Inc. (HAS) grew revenue by 13.7% over the past year. This is steady growth.

Hasbro, Inc. (HAS) reported a net loss of $322.4M for fiscal year 2025.

Dividend & Returns

Yes, Hasbro, Inc. (HAS) pays a dividend with a yield of 2.87%. This makes it attractive for income-focused investors.

Hasbro, Inc. (HAS) has a return on equity (ROE) of -36.8%. Negative ROE indicates the company is unprofitable.

Hasbro, Inc. (HAS) generated $829.9M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

Explore More HAS

Hasbro, Inc. (HAS) financial analysis — history, returns, DCA and operating performance tools

Full HAS Stock Analysis

Analyst verdict, bull/bear case, risk factors and peer comparison

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Total Return Calculator

Historical returns with dividends reinvested

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DCA Calculator

Dollar cost averaging vs lump sum

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Dividend History

Yield, growth, payout safety & DRIP

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Earnings History

EPS trends, net income & profitability

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Price History

Long-term charts & historical price data

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Revenue History

Sales growth patterns & revenue breakdown

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Financial Ratios

30 years of market, efficiency and balance-sheet ratios

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Valuation

DCF intrinsic value, peer multiples & estimates

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