Equifax Inc. (EFX)
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248.11
-0.06%
After-hours Jan 08, 2025, 07:00 PM EST

Balance Sheet (Annual)

Get detailed breakdowns of the balance-sheet with total debts, total investments, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99 FY98 FY97 FY96 FY95 FY94 FY93 FY92 FY91 FY90 FY89 FY88 FY87 FY86 FY85
Cash & Equivalents 216.80M 285.20M 224.70M 1.68B 401.30M 223.60M 336.40M 129.30M 93.30M 128.30M 235.90M 146.80M 127.70M 119.40M 103.10M 58.20M 81.60M 67.80M 37.50M 52.10M 39.30M 30.50M 33.20M 89.41M 136.60M 90.60M 52.30M 49.90M 26.10M 79.40M 85.60M 84.00M 105.10M 68.00M 14.50M 6.10M 8.50M 6.80M 2.50M
Short-Term Investments n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments n/a 74.50M -358.20M -332.30M -248.00M -316.20M -305.10M -325.40M -205.50M -241.50M -263.70M -227.70M -227.80M -244.20M -249.30M -207.00M -277.10M -70.80M -1.70M -13.20M -15.50M -20.90M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Long-Term Assets 306.20M -241.60M 353.10M 405.60M 304.20M 162.40M 142.00M 131.30M 87.00M 112.60M 138.80M 165.10M 156.40M 101.80M 88.70M 74.60M 144.60M 104.10M 264.50M 87.00M 496.10M 520.20M 492.90M 647.98M 502.30M 469.40M 316.10M 309.70M 245.60M 229.70M 178.70M 171.60M 162.40M 168.90M 144.30M 74.50M 42.10M 38.80M 41.90M
Receivables 908.20M 857.70M 727.60M 630.60M 532.10M 469.10M 444.80M 433.30M 349.80M 337.20M 309.70M 317.00M 284.40M 262.60M 258.70M 253.40M 295.80M 244.80M 216.00M 204.00M 188.70M 200.60M 266.20M 449.44M 390.68M 353.10M 270.70M 227.50M 258.30M 242.60M 191.80M 164.60M 172.80M 190.50M 152.90M 128.40M 110.60M 100.00M 91.30M
Inventory n/a 134.30M 108.40M 104.10M 88.10M 100.00M 94.30M 60.20M 39.30M 35.70M 34.50M 26.20M 24.60M 26.10M 27.60M 22.90M 25.80M 21.50M 19.60M 13.20M 15.50M 20.90M 26.40M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Assets 231.30M 227.60M 168.60M 163.10M 276.00M 209.60M 217.20M 110.30M 118.50M 139.60M 102.80M 65.90M 40.20M 47.20M 55.00M 42.20M 47.60M 32.60M 26.90M 43.50M 42.40M 33.60M 32.20M 66.05M 82.10M 76.70M 77.90M 81.40M 82.30M 53.90M 25.50M 30.40M 26.00M 66.00M 10.80M 14.60M 6.20M 6.90M 9.50M
Total Current Assets 1.36B 1.37B 1.12B 2.48B 1.21B 902.30M 998.40M 672.90M 561.60M 605.10M 648.40M 529.70M 452.30M 429.20M 416.80M 353.80M 425.00M 345.20M 280.40M 299.60M 285.90M 285.60M 358.00M 604.91M 609.40M 520.40M 400.90M 437.00M 366.70M 375.90M 302.90M 279.00M 303.90M 324.50M 178.20M 149.10M 125.30M 113.70M 103.30M
Property-Plant & Equipment 1.83B 1.59B 1.32B 1.14B 947.60M 764.80M 567.00M 466.90M 366.80M 300.60M 288.90M 283.70M 292.90M 298.40M 319.30M 286.30M 259.50M 161.90M 137.00M 141.80M 47.00M 50.60M 55.20M 98.81M 115.50M 119.30M 94.70M 122.30M 87.80M 84.20M 127.90M 146.80M 143.10M 151.90M 127.90M 116.70M 79.90M 70.70M 51.20M
Goodwill & Intangibles 8.78B 8.30B 8.25B 5.59B 5.45B 5.32B 5.53B 5.39B 3.49B 3.66B 3.46B 3.53B 2.61B 2.60B 2.73B 2.54B 2.69B 1.18B 1.15B 1.03B 724.30M 650.50M 516.50M 717.94M 612.60M 719.70M 365.40M 433.80M 353.60M 331.40M 121.70M 111.50M 106.70M 109.00M 100.70M 80.30M 26.40M 24.90M 24.70M
Total Long-Term Assets 10.92B 10.18B 9.92B 7.13B 6.70B 6.25B 6.24B 5.99B 3.95B 4.07B 3.89B 3.98B 3.06B 3.00B 3.13B 2.91B 3.10B 1.45B 1.55B 1.26B 1.27B 1.22B 1.06B 1.46B 1.23B 1.31B 776.20M 865.80M 687.00M 645.30M 428.30M 429.90M 412.20M 429.80M 372.90M 271.50M 148.40M 134.40M 117.80M
Total Assets 12.28B 11.55B 11.04B 9.61B 7.91B 7.15B 7.23B 6.66B 4.51B 4.67B 4.54B 4.51B 3.51B 3.43B 3.55B 3.26B 3.52B 1.79B 1.83B 1.56B 1.55B 1.51B 1.42B 2.07B 1.84B 1.83B 1.18B 1.30B 1.05B 1.02B 731.20M 708.90M 716.10M 754.30M 551.10M 420.60M 273.70M 248.10M 221.10M
Account Payables 197.60M 250.80M 211.60M 159.10M 148.30M 175.70M 110.30M 81.00M 40.60M 20.30M 19.90M 25.10M 27.50M 24.60M 35.90M 29.90M 31.10M 23.50M 5.90M 9.70M 13.40M 16.50M 13.20M 16.80M 177.43M 107.30M 94.70M 71.80M 62.20M 53.60M 38.70M 32.20M 27.50M 38.70M 8.00M n/a n/a n/a n/a
Deferred Revenue 109.50M 132.90M 121.30M 108.30M 104.00M 98.00M 108.40M 110.70M 96.80M 73.40M 61.80M 57.90M 55.80M 58.70M 69.80M 65.70M 69.90M 62.70M 49.20M 9.80M 12.00M 11.70M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt 963.40M 967.20M 824.80M 1.10B 3.10M 4.90M 965.30M 585.40M 49.30M 380.40M 296.50M 283.30M 47.20M 20.70M 212.20M 31.90M 222.10M 330.00M 92.30M 255.70M 160.50M 233.90M 62.00M 54.61M 79.90M 47.40M 13.00M 60.50M 20.40M 63.70M 1.60M 1.20M 43.40M 15.90M 47.00M 44.10M 100.00K 13.50M 9.70M
Other Current Liabilities 748.50M 664.30M 1.13B 1.11B 1.10B 548.20M 489.50M 482.50M 417.10M 349.00M 284.30M 280.20M 232.30M 215.50M 174.30M 190.50M 223.80M 165.90M 147.10M 191.50M 180.90M 177.50M 200.70M 354.82M 247.47M 264.50M 219.90M 242.40M 168.00M 182.70M 113.50M 95.40M 82.00M 98.90M 81.90M 73.50M 65.70M 54.20M 69.00M
Total Current Liabilities 2.02B 2.02B 2.29B 2.48B 1.36B 826.80M 1.67B 1.26B 603.80M 823.10M 662.50M 646.50M 362.80M 319.50M 492.20M 318.00M 546.90M 582.10M 294.50M 456.90M 354.80M 427.90M 275.90M 426.22M 504.80M 419.20M 327.60M 374.70M 250.60M 300.00M 153.80M 128.80M 152.90M 153.50M 136.90M 117.60M 65.80M 67.70M 78.70M
Long-Term Debt 4.75B 4.82B 4.47B 3.28B 3.38B 2.63B 1.74B 2.09B 1.14B 1.15B 1.15B 1.45B 966.00M 978.90M 848.40M 1.19B 1.17B 173.90M 463.80M 398.50M 663.00M 690.60M 693.60M 993.57M 933.70M 869.50M 339.30M 306.00M 302.70M 212.00M 200.10M 191.70M 77.10M 143.10M 88.90M 30.20M 30.20M 20.10M 20.40M
Other Long-Term Liabilities 350.80M 279.00M 320.10M 308.80M 299.50M 223.90M 276.80M 270.90M 203.40M 470.80M 127.20M 458.00M 457.70M 297.80M 60.60M 227.20M 135.50M 125.70M 126.80M 139.60M 119.70M 141.50M 121.00M 176.07M 112.60M 123.50M 160.80M 197.20M 147.00M 147.30M 116.80M 116.10M 116.10M 30.80M 29.80M 7.60M 11.10M 9.00M 5.50M
Total Long-Term Liabilities 5.57B 5.56B 5.15B 3.92B 3.93B 3.17B 2.32B 2.68B 1.55B 1.62B 1.54B 1.91B 1.42B 1.41B 1.44B 1.63B 1.58B 370.40M 716.70M 576.70M 827.00M 858.00M 903.20M 1.26B 1.12B 1.04B 500.10M 503.20M 449.70M 359.30M 323.40M 322.10M 212.90M 227.50M 167.10M 78.10M 82.60M 71.50M 47.00M
Total Liabilities 7.59B 7.57B 7.44B 6.40B 5.29B 4.00B 3.99B 3.94B 2.16B 2.44B 2.20B 2.55B 1.79B 1.73B 1.94B 1.95B 2.12B 952.50M 1.01B 1.03B 1.18B 1.29B 1.18B 1.69B 1.62B 1.46B 827.70M 877.90M 700.30M 659.30M 477.20M 450.90M 365.80M 381.00M 304.00M 195.70M 148.40M 139.20M 125.70M
Total Debt 5.71B 5.79B 5.29B 4.38B 3.38B 2.64B 2.70B 2.67B 1.20B 1.53B 1.44B 1.73B 1.01B 999.60M 1.17B 1.22B 1.39B 503.90M 556.10M 654.20M 823.50M 924.50M 755.60M 1.05B 1.01B 916.90M 352.30M 366.50M 323.10M 275.70M 201.70M 192.90M 120.50M 159.00M 135.90M 74.30M 30.30M 33.60M 30.10M
Common Stock 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.60M 236.50M 235.60M 232.90M 231.50M 227.50M 225.50M 225.10M 223.00M 219.99M 217.80M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Retained Earnings 5.61B 5.26B 4.75B 4.19B 4.13B 4.72B 4.60B 4.15B 3.83B 3.55B 3.31B 3.06B 2.88B 2.73B 2.49B 2.28B 2.03B 1.78B 1.53B 1.30B 1.08B 925.40M 758.80M 902.48M 726.80M 562.90M 415.10M 396.30M 270.00M 175.90M 102.70M 81.20M 38.70M 76.20M 41.20M 88.00M 66.60M 51.00M 39.00M
Comprehensive Income -431.20M -473.70M -295.40M -171.40M -631.60M -626.30M -412.00M -528.90M -484.80M -435.40M -312.60M -362.00M -391.80M -344.50M -318.70M -390.60M -228.20M -232.20M -220.70M -336.20M -370.00M -441.80M -287.00M -296.46M -217.40M -151.00M -124.70M -164.60M -148.90M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Shareholders Equity 4.53B 3.96B 3.58B 3.17B 2.58B 3.11B 3.17B 2.66B 2.31B 2.20B 2.30B 1.93B 1.70B 1.69B 1.60B 1.31B 1.40B 838.10M 820.30M 523.60M 371.50M 221.00M 243.50M 383.58M 215.60M 366.50M 349.40M 424.90M 353.40M 361.90M 254.00M 258.00M 350.30M 373.30M 247.10M 224.90M 125.30M 108.90M 95.40M
Total Investments 1.38B 74.50M -358.20M -332.30M -248.00M -316.20M -305.10M -325.40M -205.50M -241.50M -263.70M -227.70M -227.80M -244.20M -249.30M -207.00M -277.10M -70.80M -1.70M -13.20M -15.50M -20.90M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a