EQUIFAX INC (EFX)

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CIK 0000033185 · NYSE · Services-Consumer Credit Reporting, Collection Agencies

  • Sector Services
  • Incorporated GA
  • Fiscal year ends Dec 31

In fiscal 2025, EQUIFAX INC reported revenue of $6.07B, up 6.9% from the prior year. The company was profitable, with a net margin of 10.9%. It held $11.86B in total assets against $7.13B in total liabilities.

Key ratios (FY2025)

18.0%
Operating margin
10.9%
Net margin
14.3%
Return on equity
+6.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$6.07B$5.68B$5.27B$5.12B$4.92B$4.13B$3.51B$3.41B$3.36B$3.14B
Operating Income$1.10B$1.04B$933.60M$1.06B$1.14B$676.60M-$335.40M$448.00M$831.70M$825.10M
Net Income$660.30M$604.10M$545.30M$696.20M$744.20M$520.10M-$384.10M$310.50M$587.30M$488.80M
EPS (Diluted)$5.32$4.84$4.40$5.65$6.02$4.24$-3.15$2.56$4.83$4.04
Total Assets$11.86B$11.76B$12.28B$11.55B$11.04B$9.61B$7.91B$7.15B$7.23B$6.66B
Total Liabilities$7.13B$6.84B$7.59B$7.57B$7.44B$6.40B$5.29B$4.00B$3.99B$3.94B
Shareholders' Equity$4.62B$4.81B$4.55B$3.97B$3.60B$3.21B$2.62B$3.16B$3.24B$2.72B
Cash & Equivalents$180.80M$169.90M$216.80M$285.20M$224.70M$1.68B$401.30M$223.60M$336.40M$129.30M
Operating Cash Flow$1.62B$1.32B$1.12B$757.10M$1.33B$946.20M$313.80M$672.20M$816.00M$823.00M
Capital Expenditures$481.40M$511.50M$601.30M$624.50M$469.00M$421.30M$399.60M$321.90M$218.20M$173.50M
Shares Outstanding124.10M124.90M123.90M123.30M123.60M122.80M122.00M121.40M121.50M121.10M
Dividends Per Share$1.89$1.56$1.56$1.56$1.56$1.56$1.56$1.56$1.56$1.32