FICO-Fair Isaac Stock Research, Ratings, and Analysis

Fair Isaac (fico) Stock Research

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SWOT Statistics fico SWOT Analysis

Strengths + Opportunities = 0

Threats + Weaknesses = 0

Add your knowledge to the Fair Isaac SWOT analysis.

Generic Strategy fico Generic Strategy

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Low Cost

Generic strategies categorize companies by the scope and the strength of their business. Fair Isaac does not have a definable strategy, therefore, it risks losing out to firms that concentrate on one particular competitive advantage. (read more).

Company Description: Fair Isaac Corporation, with its subsidiaries, provides business enhancement and decision management solutions for companies in the United States. In addition to developing FICO credit scores based on third-party data for use in the insurance, finance, and automobile sales industries, Fair Isaac also offers preconfigured (and tailored) decision management applications for use in marketing, customer management, and fraud and insurance claims management; business and technical consulting; and various data management services. The companys products and services are sold both through an in-house direct sales force, through independent distributors, and through alliance partners and resellers. Update

Market Research Update

Discretionary Industry Analysis: The consumer discretionary industry includes companies whose sales come from consumer discretionary income purchases. Discretionary income = gross income less taxes and necessities such as rent, mortgage and food. Discretionary Trading Strategy: The consumer discretionary industry tends to be very sensitive to economic cycles. Look for undervalued discretionary investments during economic recessions when stock prices are low and sell discretionary investments during the late stages of a bull markets when stock prices are high. The global economy is currently in a recession, therefore, it is the perfect time to purchase consumer discretionary investments. Upward sloping stock charts and financial news may indicate a selling opportunity while the opposite means that stocks are becoming undervalued.

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