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Fair Isaac FICO Cash Flow Statement

TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25
$759.63M+15.5%$657.79M+0.9%$651.95M+3.1%$632.62M+9.6%$577.09M+6.0%
$15.91M+3.1%$15.43M+3.2%$14.95M+1.4%$14.75M+1.0%$14.6M+0.4%
$163.89M+2.2%$160.28M+2.3%$156.67M-4.6%$164.27M-0.3%$164.78M+3.9%
$907.33M+19.6%$758.89M-2.6%$778.81M-0.4%$781.62M+10.3%$708.72M+0.6%
$6.45M-22.3%$8.31M-6.9%$8.92M+37.2%$6.51M+1.0%$6.44M-23.0%
-$44.98M+5.3%-$47.51M-8.7%-$43.72M-15.2%-$37.95M-5.9%-$35.84M-3.8%
$1.81B+27.3%$1.42B+0.6%$1.41B+18.9%$1.19B+24.2%$957.97M+5.0%
$1.16B+62.7%$710M-2.1%$725M+20.4%$602M-47.3%$1.14B+8.6%
$1.77B+24.1%$1.43B+4.1%$1.37B-4.5%$1.43B+172%$527.5M-11.3%
-$791.85M-7.1%-$739.59M+1.4%-$750.33M-5.0%-$714.73M-8.7%-$657.42M-3.2%
$72.78M+428%-$22.22M-34.4%-$16.53M
$900.88M+20.0%$750.59M-2.5%$769.89M-0.7%$775.11M+10.4%$702.28M+0.8%

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Questions, answered.

How much cash does Fair Isaac generate?
Fair Isaac (FICO) generated $907.3M in operating cash flow over the trailing twelve months.
What is Fair Isaac's free cash flow?
After $6.5M of capital expenditures, Fair Isaac's free cash flow was $900.9M over the trailing twelve months, up 28.3% year over year.
Where does Fair Isaac's cash flow data come from?
Every line is extracted from Fair Isaac's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.