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$1,032
▼ -$59.66(-5.47%)4:00 PM ET - vs previous closeiQuote as of Aug 6, 2026, 4:00 PM EDT
NYSE market is closed. Showing the latest available regular-session trade from Aug 6, 2026, 4:00 PM EDT.
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Investor playbook
The downside checks deserve priority before a fresh entry.
Use it for
Entry timing, risk check, and catalyst scan
Where the dashboard says the thesis can break or get crowded.
Balance-sheet drag
-22.6%-$5.03B net balance-sheet position.
Trend pressure
-24.4%Price is materially below the 200-day average.
Catalysts and positioning checks that are not duplicate live-pulse metrics.
Latest catalyst
YahooFICO Joins Marsai Martin's Foundation and Seeds of Fortune Inc. to Expand National Financial Empowerment Initiative for Families and College Students
The playbook is derived from quote, analyst, financial, news, and trend snapshots. It is a research workflow aid, not a buy or sell recommendation.
As of Aug 6, 2026, 4:00 PM EDT, Fair Isaac Corp (FICO) traded at $1,032, a -5.47% move versus the prior close, ranging between $1,020 and $1,086 intraday, and on volume of 315.19K shares. The stock has traded between $870.01 and $1,998 over the past 52 weeks, carries a market capitalization of $22.29B, and trades at 31.64x trailing earnings. Sell-side analysts rate FICO Buy across 29 ratings and carry an average price target of $1,489 (+44.34% implied versus the last quote). FICO's record close stands at $2,403, set on Nov 13, 2024.
Buy analyst tone. Latest catalyst: FICO Joins Marsai Martin's Foundation and Seeds of Fortune Inc. to Expand National Financial Empowerment Initi… (Yahoo).
Balanced watch. Valuation pressure (66/100) is the strongest signal; technical tape (32/100) is the main constraint. Model confidence is 21/100 — some inputs are unavailable, so treat this as a directional research screen rather than a forecast. Long-term secular context is tracked separately: 10 Years +699.7% total; yesterday -5.5%. Comparable past signals have verified against subsequent prices 9.5% of the time.
Expected-return math is scaled by beta and realized volatility before confidence is applied.
Short-horizon expected moves are volume-weighted so thin moves get less credit than confirmed tape.
Sector momentum is included beside the broader market regime.
| Enterprise value | $27.32B |
| Price / sales | 9.23 |
| Operating margin | 52.26% |
| Return on assets | 41.32% |
| EPS (TTM) | $32.61 |
| Beta (5Y) | 1.32 |
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