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Financial Statements — FISV

Balance Sheet

(in billions USD)
MetricQ1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.831.071.001.181.231.201.213.012.862.883.383.062.830.940.860.84
Accounts Receivable3.883.964.123.943.713.743.573.463.473.343.303.192.912.792.662.62
Total Current Assets24.7824.1626.4725.5925.1338.3337.0928.5821.4420.2919.8820.2818.4418.4317.7316.44
Property, Plant & Equipment3.232.972.592.432.382.292.232.122.022.001.921.801.731.721.651.65
Goodwill37.6037.4537.4736.9837.1336.8737.0436.8437.1137.0236.2436.8336.5436.3036.6736.38
Intangible Assets9.9810.1610.4210.5010.3210.5510.9311.4411.7811.9912.4613.0213.4414.2714.7115.00
Total Non-current Assets*55.7755.2155.0654.8154.6755.0955.6055.5756.1656.2655.7756.9357.0357.3458.0558.40
Total Assets80.5579.3781.5380.4079.7993.4292.7084.1577.6076.5575.6477.2175.4775.7775.7874.84
Accounts Payable4.594.644.354.344.164.193.963.593.363.573.463.473.333.343.363.24
Short-term Debt1.321.321.531.281.201.110.670.650.610.460.530.600.550.450.420.37
Total Current Liabilities23.4222.3824.3223.2923.5736.2035.1226.6319.4618.8618.7219.3517.7317.5617.2515.91
Long-term Debt27.8628.8828.0627.0224.0924.4023.7522.6622.6021.9420.8520.9220.5220.5420.4320.84
Total Non-current Liabilities*30.9131.8531.4530.5927.8228.4428.0027.1427.2626.7325.7725.8925.6025.6225.7326.09
Total Liabilities54.3354.2355.7753.8851.3964.6463.1253.7746.7245.5944.5045.2443.3343.1842.9842.00
Retained Earnings27.6326.2425.4524.4322.6422.0721.1819.5718.6217.9416.5916.1115.5214.4414.0113.75
Total Stockholder Equity26.2025.1225.2225.8827.7528.1528.8029.5729.9930.0830.3331.1131.2731.6031.7931.85

* Derived from reported values

Income Statement

(in billions USD) (except per-share rows)
MetricQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Total Revenue5.035.285.265.525.135.255.225.114.884.924.874.764.554.634.524.454.144.264.164.05
Selling, General & Admin1.891.731.761.711.681.561.611.701.701.621.651.701.601.501.551.551.471.521.481.44
Operating Income0.921.291.441.701.401.671.601.431.181.451.501.130.931.180.860.860.850.530.640.64
Interest Expense0.36--0.430.380.34--0.340.290.270.290.270.240.210.200.190.180.170.170.170.18
Pretax Income0.590.960.961.291.051.181.271.140.911.101.210.870.710.970.650.620.670.400.480.47
Tax Provision0.020.200.170.250.190.190.070.220.150.210.240.180.120.170.150.140.100.060.050.23
Net Income0.570.810.791.030.850.940.560.890.740.870.950.680.560.780.480.600.670.330.430.27
Basic EPS1.071.521.461.861.521.660.981.531.241.441.571.110.901.230.750.931.030.500.650.41
Diluted EPS1.071.511.461.861.511.630.981.531.241.431.561.100.891.220.750.921.020.500.640.40

Cash Flow Statement

(in billions USD)
MetricQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Operating Cash Flow0.601.941.811.670.652.222.241.340.831.601.560.881.131.631.180.990.821.340.681.06
Capital Expenditures0.460.440.510.480.340.400.400.350.420.350.360.340.340.330.430.390.330.350.320.26
Free Cash Flow*0.141.501.301.190.311.821.840.990.411.241.200.540.791.300.750.600.481.000.360.80
Investing Cash Flow(0.20)(0.62)(0.63)(0.34)(0.92)(0.66)(0.53)(0.81)(0.40)(0.36)(0.10)(0.30)(0.31)(0.58)(0.37)(1.06)(0.10)(0.66)(0.27)0.01
Financing Cash Flow(0.92)(1.30)(1.37)(1.79)0.63(1.98)(1.07)(0.92)(0.19)(1.32)(1.29)(0.60)(1.15)(1.28)(0.44)0.32(1.08)(0.05)(0.31)(1.07)

* Derived from reported values