Experian plc logo EXPGY - Experian plc

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STRONG
BUY
0
BUY 4
HOLD 2
SELL 0
STRONG
SELL
0
Metric 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Revenue
Revenue 8,471.1 7,523 7,097 6,619 6,288 5,372 5,179 4,861 4,662 4,335 4,550 4,810 4,840 4,730 4,487.0 3,885.0 3,880.0 3,873.0 3,789.0 3,481 3,064.0 2,517.0
Cost of Revenue 5,248.2 3,924 3,682 3,451 3,313 2,856 2,625 2,443 2,331 2,136 2,214 2,269 2,311 2,286 2,099 0 0 1,824.0 1,776.0 1,681 1,507.0 1,252.0
Gross Profit 3,222.9 3,599 3,415 3,168 2,975 2,516 2,554 2,418 2,331 2,199 2,336 2,541 2,529 2,444 2,388.0 3,885.0 3,880.0 2,049.0 2,013.0 1,800 1,557.0 1,265.0
Operating Expenses
R&D Expenses 0 0 621 634 502 350 285 236 85 0 0 0 0 0 0 0 0 0 0 5.0 5.0 4.0
SG&A Expenses 0 536 539 570 503 417 378 342 328 322 349 365 405 375 405.0 369.0 489.0 387.0 380.0 864 272.0 811.0
Other Expenses 1,060.3 1,270 561 0 1,103 1,036 991 919 839 792 900 1,019 1,019 52 15.0 6.0 (1.0) 28.0 17.0 (134) (16.0) (17.0)
Operating Expenses 1,060.3 1,806 1,721 1,903 1,606 1,453 1,369 1,261 1,236 1,124 1,275 1,384 1,435 1,385 3,443.0 3,007.0 3,114.0 1,335.9 1,319.0 1,315 916.0 798.0
Operating Income
Operating Income 2,162.7 1,793 1,694 1,265 1,416 1,183 1,185 1,162 1,095 1,075 1,118 1,157 1,094 1,059 1,052.0 871.0 697.0 613.0 625.0 473 586.0 454.0
Interest Expense 219.7 178 157 137 125 126 159 139 120 89 94 100 96 126 106.0 79.0 64.0 104.0 163.0 249 171.0 221.0
Interest Income 24.1 14 11 13 15 12 13 12 15 14 20 25 22 16 29.0 19.0 17.0 33.0 42.0 103 28.0 239.0
Profitability
EBITDA 3,041.4 2,485 2,422 1,983 2,230 1,801 1,633 1,527 1,491 1,597 1,523 1,639 1,668 1,592 1,223 1,278.0 1,076 1,102.0 1,090.0 852.0 991.0 986.0
EBIT 2,162.7 1,727 1,708 1,311 1,572 1,210 1,096 1,090 1,286 1,171 1,073 1,119 1,166 506 802 735.0 664.0 682.0 684.0 549.0 721.0 769.0
Income Before Tax 1,957.0 1,549 1,551 1,174 1,447 1,077 942 957 994 1,071 1,027 1,006 1,049 440 689.0 656.0 600.0 578.0 521.0 394 550.0 548.0
Income Tax Expense 444.4 379 348 401 296 275 263 256 149 259 263 255 302 152 (35.0) 118.0 (9.0) 84.0 91.0 68 92.0 123.0
Net Income 1,506.6 1,166 1,199 770 1,165 803 675 695 783 866 753 772 753 362 655 581.0 600.0 486.0 437.0 462.0 1,018.0 425.0
Per Share Data
EPS (Basic) 1.65 1.28 1.31 0.84 1.27 0.88 0.75 0.77 0.89 0.92 0.79 0.79 0.77 0.37 0.66 0.58 0.59 0.48 0.43 0.50 1.08 0.49
EPS (Diluted) 1.64 1.26 1.30 0.84 1.26 0.88 0.74 0.76 0.88 0.91 0.79 0.78 0.76 0.36 0.65 0.57 0.58 0.47 0.43 0.49 1.06 0.49
Shares Outstanding 913 914 913 914 914 916.7 902 904 917 940 958 977 980 988 989 1,002 1,015 1,013 1,008.9 927.3 946.7 860.1
Metric 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008
Current Assets
Cash & Cash Equivalents 328 368 312 202 179 180 277 149 156 83 156 129.0 151.0
Short-Term Investments 31 22 9 7 7 20 17 9 4 20 46 0 0
Net Receivables 2,380 1,684 1,660 1,569 1,446 1,192 1,074 1,052 1,142 803 811 289.6 443.0
Inventory 0 0 0 (3) 0 (14) (1,106) (2) (3) (1) 1 4.0 4.0
Other Current Assets 0 67 97 16 41 59 49 39 963 358 0 233.1 302.0
Total Current Assets 2,739 2,141 2,078 1,794 1,673 1,431 1,400 1,240 1,299 1,397 1,129 909.0 1,208.0
Non-Current Assets
Property, Plant & Equipment 337 350 379 382 415 469 502 333 335 329 352 479.0 604.0
Goodwill 7,261 6,654 5,962 5,575 5,737 5,261 4,543 4,324 4,452 4,245 4,198 0 0
Intangible Assets 3,078 2,855 2,437 2,289 2,214 1,966 1,583 1,474 1,538 1,461 1,431 4,314.0 5,078.0
Long-Term Investments 611 387 615 412 380 434 475 327 205 79 5 340.0 289.0
Other Non-Current Assets 218 428 186 375 429 424 289 242 256 97 133 84.0 263.0
Total Non-Current Assets 11,551 10,745 9,634 9,070 9,221 8,640 7,499 6,847 6,926 6,294 6,278 5,230.0 6,260.0
Total Assets 14,290 12,886 11,712 10,864 10,894 10,071 8,899 8,087 8,225 7,691 7,407 6,139.0 7,468.0
Current Liabilities
Account Payables 2,231 358 754 1,955 1,744 187 275 246 227 201 163 104.0 214.0
Short-Term Debt 900 735 735 113 4 597 452 864 953 759 49 314.0 39.0
Deferred Revenue 0 0 0 (1,848) (1,651) (2,011) 262 (2,087) 478 288 191 91.0 110.0
Other Current Liabilities 37 1,366 1,354 (470) (484) 1,009 863 1,009 936 1,000 741 977.2 1,199.0
Total Current Liabilities 3,206 3,002 2,963 2,311 1,965 2,416 2,224 2,839 2,684 2,141 1,343 1,488.0 1,562.0
Non-Current Liabilities
Long-Term Debt 4,570 4,145 3,380 3,838 3,913 3,538 3,761 2,447 2,552 2,284 3,067 2,003.0 2,811.0
Deferred Tax Liabilities 179 155 129 223 353 361 202 132 206 296 352 135 170.0
Other Non-Current Liabilities 657 336 374 291 372 379 189 106 206 314 201 58.0 211.0
Total Non-Current Liabilities 5,501 4,794 4,080 4,589 4,922 4,536 4,394 2,754 2,917 2,899 3,626 2,752.0 3,789.0
Total Liabilities 8,707 7,796 7,043 6,900 6,887 6,952 6,618 5,593 5,601 5,040 4,969 4,240.0 5,351.0
Stockholders' Equity
Common Stock 96 97 97 96 96 96 96 96 97 100 102 102.0 102.0
Retained Earnings 22,210 21,797 21,155 20,447 20,157 19,207 18,826 18,718 18,745 18,813 18,633 16,251.0 16,065.0
Accumulated Other Comprehensive Income 0 0 0 0 0 (16,972) (17,038) (16,726) (866) (890) (908) 0 0
Total Stockholders' Equity 5,545 5,054 4,634 3,929 3,969 3,081 2,275 2,480 2,617 2,639 2,424 1,785.0 1,956.0
Total Liabilities & Equity 14,290 12,886 11,712 10,864 10,894 10,071 8,899 8,087 8,225 7,691 7,407 6,139.0 7,468.0
Debt Metrics
Total Debt 5,565 5,016 4,266 4,099 4,096 4,337 4,414 3,324 3,514 3,044 3,120 2,317.0 2,850.0
Net Debt 5,237 4,648 3,954 3,897 3,917 4,157 4,137 3,175 3,358 2,961 2,964 2,188.0 2,699.0
Metric 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005
Operating Activities
Net Income 1,506.6 1,549 1,199 1,174 1,447 1,077 942 957 994 1,071 1,027 454.0
Depreciation & Amortization 878.7 758 714 674 658 591 537 437 438 426 472 217.0
Stock-Based Compensation 0 127 139 129 149 106 83 87 76 61 54 0
Change in Working Capital (163.5) (54) (32) 30 58 (13) (112) (26) (70) (39) (21) 26.0
Other Non-Cash Items 24.1 (375) (273) 154 (19) 109 259 197 116 19 98 32.0
Operating Cash Flow 2,245.9 2,005 1,747 1,717 1,797 1,488 1,256 1,241 1,192 1,355 1,371 729.0
Investing Activities
Capital Expenditure (49.2) (651) (640) (627) (508) (422) (487) (439) (431) (399) (339) (229.0)
Acquisitions (686.1) (1,158) (456) (309) (725) (399) (600) (65) (200) (400) 137 (160.0)
Purchases of Investments (52.2) (69) (11) (15) (32) (31) (95) (25) (31) (14) (2) (9.0)
Sales/Maturities of Investments 82.3 30 5 3 122 24 695 90 (334) (304) (258) 0
Other Investing Activities 35.1 (602) (597) (575) 25 1 (690) (77) 638 298 284 174.0
Investing Cash Flow (1,349.2) (1,847) (1,099) (948) (1,118) (827) (1,177) (516) (358) (819) (178) (224.0)
Financing Activities
Net Debt Issuance 382.2 696 102 192 (12) (326) 966 (83) 211 156 (154) 114.0
Stock Repurchased (736.3) (199) (120) (194) (173) 0 (203) (228) (581) (364) (605) (410.0)
Dividends Paid (593.8) (548) (510) (483) (446) (428) (426) (411) (392) (383) (383) (520.0)
Other Financing Activities (38.1) (26) (39) (118) (72) (6) (286) 11 (20) (30) (37) 60.0
Financing Cash Flow (956.9) (62) (551) (722) (687) (747) 61 (702) (768) (613) (1,171) (661.0)
Cash Position
Net Change in Cash (40) 66 102 22 6 (102) 126 9 56 (70) 6 (217.0)
Cash at Beginning 368 300 198 176 170 272 146 137 81 151 145 298.0
Cash at End 328 366 300 198 176 170 272 146 137 81 151 81.0
Free Cash Flow 2,196.8 1,354 1,107 1,090 1,289 1,066 769 802 761 956 1,032 500.0
Key Metrics 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Income Statement
Revenue 8,471.1 7,523 7,097 6,619 6,288 5,372 5,179 4,861 4,662 4,335 4,550 4,810 4,840 4,730 4,487.0 3,885.0 3,880.0 3,873.0 3,789.0 3,481 3,064.0 2,517.0
Gross Profit 3,222.9 3,599 3,415 3,168 2,975 2,516 2,554 2,418 2,331 2,199 2,336 2,541 2,529 2,444 2,388.0 3,885.0 3,880.0 2,049.0 2,013.0 1,800 1,557.0 1,265.0
Operating Income 2,162.7 1,793 1,694 1,265 1,416 1,183 1,185 1,162 1,095 1,075 1,118 1,157 1,094 1,059 1,052.0 871.0 697.0 613.0 625.0 473 586.0 454.0
Net Income 1,506.6 1,166 1,199 770 1,165 803 675 695 783 866 753 772 753 362 655 581.0 600.0 486.0 437.0 462.0 1,018.0 425.0
EPS (Diluted) 1.64 1.26 1.30 0.84 1.26 0.88 0.74 0.76 0.88 0.91 0.79 0.78 0.76 0.36 0.65 0.57 0.58 0.47 0.43 0.49 1.06 0.49
Balance Sheet
Cash & Equivalents 328 368 312 202 179 180 277 149 156 83 156 129.0 151.0
Total Assets 14,290 12,886 11,712 10,864 10,894 10,071 8,899 8,087 8,225 7,691 7,407 6,139.0 7,468.0
Total Debt 5,565 5,016 4,266 4,099 4,096 4,337 4,414 3,324 3,514 3,044 3,120 2,317.0 2,850.0
Stockholders' Equity 5,545 5,054 4,634 3,929 3,969 3,081 2,275 2,480 2,617 2,639 2,424 1,785.0 1,956.0
Cash Flow
Operating Cash Flow 2,245.9 2,005 1,747 1,717 1,797 1,488 1,256 1,241 1,192 1,355 1,371 729.0
Capital Expenditure (49.2) (651) (640) (627) (508) (422) (487) (439) (431) (399) (339) (229.0)
Free Cash Flow 2,196.8 1,354 1,107 1,090 1,289 1,066 769 802 761 956 1,032 500.0