Fair Isaac Financial Ratios for Analysis 2009-2024 | FICO

Fifteen years of historical annual and quarterly financial ratios and margins for Fair Isaac (FICO).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.511.460.991.290.930.840.951.091.180.851.501.242.492.843.86
1.611.781.120.690.680.650.520.520.540.450.460.490.520.520.49
-2.71-2.31-11.352.522.852.661.421.281.391.200.891.061.101.090.95
79.4578.0674.7572.1070.9668.7169.2469.9167.7568.4069.1370.7469.9170.1367.27
42.4739.3838.4022.8621.8617.5319.4819.2416.3920.5221.7424.8920.5518.7218.51
42.4739.3838.4022.8621.8617.5319.4819.2416.3920.5221.7424.8920.5518.7218.51
43.4440.8740.3425.2124.5820.5523.3622.8320.4324.6526.2028.1124.5424.1824.77
36.5834.2235.9419.8518.6315.6916.7216.4013.0216.8717.7520.1415.7315.2415.47
28.3727.1229.7818.2616.5612.6514.2712.4210.3112.0312.1213.6011.5510.6410.32
0.960.960.840.810.810.750.740.720.680.660.640.580.550.540.48
---------------
3.904.274.223.873.903.755.555.255.285.085.174.745.905.356.20
93.5585.4486.5394.2293.5897.3565.8169.4969.0971.8470.5776.9461.8368.2158.88
-62.41-46.58-353.4171.4166.3044.0031.2824.4919.7920.8716.9819.3915.3713.5710.91
-29.36-23.87-43.41-48.20-36.39-23.96-33.43-28.41-20.35-25.42-29.97-27.43-32.72-29.53-61.98
27.2625.9025.0114.7213.409.5110.638.977.037.967.767.946.345.745.02
38.2136.5643.6622.0821.4315.4915.0011.649.0811.429.229.907.386.535.59
-27.78-31.88-4.0211.3810.019.9114.1014.4413.9714.1915.2613.6212.5511.9112.47
18.4919.3414.4812.198.597.157.006.514.505.023.753.603.402.333.11
18.3219.1114.2311.467.806.156.385.833.734.663.092.893.052.002.90

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.872.041.311.511.461.401.361.461.231.261.440.991.021.101.301.291.051.011.040.930.950.910.870.840.840.900.850.950.811.171.141.091.181.151.181.181.231.180.770.850.871.501.591.501.361.491.331.241.942.222.612.492.793.033.092.842.893.774.033.863.673.36
1.651.571.671.611.631.741.791.781.871.661.521.120.870.770.700.690.750.780.750.680.690.710.730.650.650.580.550.520.470.550.550.520.550.550.550.540.590.600.480.450.440.460.450.460.460.460.470.490.550.550.520.520.510.510.510.520.500.500.490.490.490.50
-2.56-2.78-2.70-2.71-2.74-2.50-2.39-2.31-2.31-2.71-3.03-11.358.464.322.692.523.754.433.812.853.073.323.652.662.581.901.721.421.411.471.471.281.401.441.471.391.631.731.511.201.110.910.890.890.940.950.991.061.241.241.111.101.051.041.061.091.031.000.970.950.941.01
80.3079.9678.1678.7581.9879.0177.8076.3577.4579.9078.5378.3775.6873.3471.3474.9871.7771.3869.6071.1872.2569.2571.0068.8369.0168.9867.9770.4469.7868.4268.1368.4972.2069.8668.9271.2068.3865.7265.0267.9468.2468.6368.9170.1568.6367.1870.4570.2770.1969.4073.0169.5771.2068.2670.6368.7670.8368.9471.9369.8669.1366.44
42.4844.9139.6242.5244.4042.0140.6938.4740.2942.5735.8634.4357.4830.5430.3222.8426.4124.5917.3823.0227.2717.4518.6918.5417.4718.1215.8525.6917.9417.5315.9019.0523.1718.6415.4117.6917.7016.6113.1323.2218.4320.8919.1326.3719.1618.5222.6321.9923.1623.9430.5725.6524.8312.5619.0117.7820.0116.0520.8821.6221.3019.11
42.4844.9139.6242.5244.4042.0140.6938.4740.2942.5735.8634.4357.4830.5430.3222.8426.4124.5917.3823.0227.2717.4518.6918.5417.4718.1215.8525.6917.9417.5315.9019.0523.1718.6415.4117.6917.7016.6113.1323.2218.4320.8919.1326.3719.1618.5222.6321.9923.1623.9430.5725.6524.8312.5619.0117.7820.0116.0520.8821.6221.3019.11
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37.3639.8234.1836.0439.5836.1534.1932.4334.6437.0932.5231.5255.5627.7128.1620.4224.2920.2814.0419.9424.8414.3714.1719.1014.8615.2813.2923.1115.3014.5113.0516.2721.0615.5511.8814.7914.5512.579.6720.0215.3316.8714.7522.5615.5714.1618.4417.5618.8518.6125.6120.6321.207.2213.7412.9217.2013.3417.4218.4018.3215.61
28.1929.9231.6926.0232.3026.7128.3126.0126.7929.2226.3625.6244.7120.7227.6915.7920.4218.9318.4017.8820.4112.0015.2512.7511.6612.1614.1517.6610.9210.9817.2613.6114.6511.189.6214.329.519.117.6016.5210.4011.199.2115.0010.6810.3112.3311.4212.9312.5517.6115.3615.395.0710.2710.2111.559.0411.6711.2611.6311.14
0.260.250.240.250.250.250.240.240.240.240.220.210.210.210.200.230.200.200.190.210.230.210.200.190.200.200.190.200.180.180.180.190.190.170.160.190.170.170.160.190.170.160.160.160.160.150.160.160.150.150.150.140.130.130.140.140.130.110.120.120.120.13
--------------------------------------------------------------
1.020.921.041.001.041.121.121.081.221.311.241.071.211.251.011.121.031.001.061.030.991.021.060.961.401.361.411.521.651.621.411.411.541.331.441.471.421.221.291.431.271.321.311.321.381.351.381.301.431.481.451.531.481.431.481.371.441.631.541.491.581.52
87.9597.3186.5789.5986.6980.0580.4483.2073.8568.8872.6383.9674.6771.9289.4880.3487.0889.8184.9287.6791.0987.8684.9693.5864.3966.2263.7859.2654.6555.7263.8264.0358.5067.5962.5661.3963.3273.8469.8663.0870.8268.1268.8967.9765.0066.7065.4468.9762.7460.6161.9758.9660.9462.9560.7365.6862.4655.3758.4660.2756.8859.33
-15.22-17.64-16.68-14.74-18.29-13.17-12.17-11.31-11.03-15.73-15.78-77.2712130.7526.6917.8625.9127.2222.7918.8423.9113.4917.5611.3810.098.418.5310.605.835.878.987.188.175.434.567.625.024.953.578.054.293.893.155.383.813.494.604.485.114.846.495.294.751.553.263.343.542.283.022.853.003.21
-7.86-8.58-8.05-6.94-8.69-6.57-6.20-5.80-5.76-7.20-6.39-9.49-22.47-11.98-17.23-12.05-11.29-9.69-9.40-10.34-11.90-5.91-6.85-6.20-5.68-6.77-7.47-11.33-6.46-6.41-9.55-8.33-8.50-5.47-4.47-7.84-4.20-3.92-3.47-9.81-5.71-6.99-5.80-9.50-6.34-6.36-7.17-6.33-7.14-7.41-13.68-11.26-11.55-4.02-8.08-7.26-9.82-10.54-15.11-16.20-16.71-12.81
7.397.627.606.448.136.766.696.296.427.025.815.479.514.355.493.684.103.763.553.814.672.513.062.462.312.412.653.602.002.013.102.632.851.901.582.711.641.531.233.071.731.761.462.461.691.541.991.831.951.852.662.182.030.671.411.411.541.021.371.311.381.42
9.9010.0411.189.0311.599.709.598.889.5510.438.259.5416.237.138.135.526.506.125.616.097.353.924.814.013.493.533.885.083.072.654.033.413.712.462.053.502.051.971.854.412.402.121.722.922.041.882.432.292.302.183.102.542.340.771.601.611.761.141.531.461.541.60
-33.76-29.72-29.17-27.78-28.28-30.81-31.89-31.88-33.56-25.53-20.31-4.024.407.7511.0911.388.537.368.2610.019.278.527.849.9110.0512.4312.7514.1014.0913.7913.5414.4413.8313.6513.4613.9712.7412.1512.7114.1914.5815.5815.4515.2614.6514.7914.3413.6212.0612.0612.8412.5512.6112.5112.2711.9112.0012.4412.6012.4712.3711.56
16.257.684.8418.4912.037.173.6319.3414.109.374.5414.4811.377.842.6212.197.694.062.008.595.443.191.617.155.232.490.917.005.323.081.016.515.502.861.564.502.671.330.045.022.952.130.793.752.751.890.793.603.022.281.123.402.611.470.812.331.871.490.653.112.541.77
15.517.254.7918.3211.676.843.3019.1113.989.334.5914.2316.197.982.7911.466.983.621.797.804.852.841.406.154.462.140.786.384.862.780.885.835.112.621.433.732.111.02-0.134.662.752.000.733.092.191.420.552.892.461.920.913.052.401.340.782.001.641.330.572.902.331.59