FAIR ISAAC CORPFICO

時価総額
$429億
PER
信用リスク分析ソフトの最大手。独自の分析プラットフォーム、信用スコア、AI活用の不正検知ソリューションをSaaSで展開。23年にSiron事業を売却、24年7月に自社株買い枠10億ドルを設定。米州中心に27カ国で展開、2024年9月時点の従業員数は3,586人。
2010年
9月30日
2011年
9月30日
2012年
9月30日
2013年
9月30日
2014年
9月30日
2015年
9月30日
2016年
9月30日
2017年
9月30日
2018年
9月30日
2019年
9月30日
2020年
9月30日
2021年
9月30日
2022年
9月30日
2023年
9月30日
2024年
9月30日
Net income647292909587109128142192236392374429513
Depreciation and amortization312422333334323630323026201514
Share-based compensation1716212636455661758394112115124149
Deferred income taxes71-74-16-6-26-6268-9-68-47-27
Non-cash operating lease costs-----------16161512
Provision of doubtful accounts-0--01-221131312
Net (gain) loss on marketable securities--------1-125-9310
Net loss on sales and abandonment of property and equipment-1-0-0-00-2-0-0-0-0-5-0-0-1-0
Gain on product line asset sale-----------100-2-
Accounts receivable12-926-1145181423660-24327034
Prepaid expenses and other assets-0-2-11215-13795616-71214
Accounts payable-0-27-13-41-2121-2-323
Accrued compensation and employee benefits5311-1217-217672212-13-453
Other liabilities-31912164-4-1611-21-29-77
Deferred revenue-1-310-46-769-31064241914
Net cash provided by operating activities106136130------260365424509469633
Purchases of property and equipment-142524132522203124228649
Capitalized internal-use software costs--------------17
Proceeds from sales of marketable securities--------33378516
Purchases of marketable securities--------6669101118
Payments (Proceeds) from Sale of Other Productive Assets--------------6-
Net cash used in investing activities111-52-66-------43-25138-6-16-28
Proceeds from Lines of Credit---301452491221904272292636821,039407947
Payments on revolving line of credit and term loans295-519611169984531141513259988402602
Proceeds from issuance of senior notes245-------400-350-550--
Payments on debt issuance costs11------8-719-1
Payments on finance leases---------120--1
Proceeds from issuance of treasury stock under employee stock plans1-7130718181411234221162225
Taxes paid related to net share settlement of equity awards-----1930404453103925177139
Repurchases of common stock19691191832171311381883432292358741,104406822
Net cash used in financing activities-248-94-128-------200-289-524-547-455-593
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents-------------1962
Increase (decrease) in cash and cash equivalents----------5138-62414
Proceeds from Income Tax Refunds-----------0111
Income Taxes Paid, Net27113724223411311319107165153134
Cash paid for interest---------4038385797106
Unsettled repurchases of common stock---2---6-------
Capital Expenditures Incurred but Not yet Paid---100322100000
Lease Obligation Incurred---------61---12