Fair Isaac revenue and financials

FICO · NYSE · USD

$695.46Change from previous close: +0.85%Absolute change: +$5.85

Close · October 6, 2026

In the fiscal year ended September 2025, Fair Isaac reported revenue of $1.99B (+15.91% year over year). Net income was $651.95M, a net margin of 32.7%.

Annual revenue · 2025: $1.99B
  1. $881.36M2016
  2. $932.17M2017
  3. $1.03B2018
  4. $1.16B2019
  5. $1.29B2020
  6. $1.32B2021
  7. $1.38B2022
  8. $1.51B2023
  9. $1.72B2024
  10. $1.99B2025

Fiscal year ending in September. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+15.91%
FY to Sep 2025 vs FY to Sep 2024
Net income growth
+27.13%
FY to Sep 2025 vs FY to Sep 2024
Net margin
32.7%
FY to Sep 2024: 29.9%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow38022317422428674.919422621371.0122164
Depreciation and amortization4.23.94.04.04.03.43.53.83.83.42.83.0
Capital expenditure-0.9-0.3-0.2-4.2-1.8-2.1-0.8-1.8-1.7-4.0-1.4-1.1
Investing cash flow-18.1-8.4-12.7-13.3-10.5-10.9-8.9-7.6-8.4-9.6-2.4-3.0
Financing cash flow-333-156-133-264-239-104-144-228-182-83.4-99.9-184
Share repurchases-2,275-607-276-549-491-220-359-325-258-174-204-122
Debt issued2,0701,6202602751,50017527515254085.017068.0
Debt repaid-125-1,173-120-0.1-1,236-71.7-63.8-63.8-464-5.2-70.8-137
Effect of exchange rates-0.2-1.80.0-1.75.81.9-7.33.6-2.8-2.83.8-3.5
Net change in cash29.057.427.9-54.942.4-37.633.6-5.420.4-24.823.6-26.2
Free cash flow38022317421928472.819322521267.0121163
Levered free cash flow32417210916928014.815219219555.090.5158