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Mastercard Inc.

MAFinancials

Generated Jul 5, 2026, 08:09 PM UTC

analytical score 8

MA (Mastercard Inc.) analytical snapshot. Revenue grew +12.9% YoY to $25.10B. Net margin at 0.00% (contracting ▼). Return on equity 0.00%, ROA 0.00%, ROIC 216.01%. Market cap $66.09B at $539.39 per share. Trailing P/E 45.60, P/S 2.63, P/B 9.84. EV/Operating income ≈ 4.16 (EV $58.21B). Risk: Moderate. Macro: Risk-on · Supportive. Composite analytical score 8 (data confidence 82%). Descriptive analytics from public filings — not investment advice.

Market cap
$66.09B
122.53M shares
Price
$539.39
NYQ
P/E (ttm)
45.60
Revenue (FY)
$25.10B
YoY +12.9%
Net margin
0.00%
▼ 0.00pp
Free cash flow
$11.61B
46.25% margin
Risk level
Moderate

Free SEC analysis

— computed from SEC filings, free to read
Free previewFundamentals Analyst

Fundamentals

Fundamentals Analyst
score 15Stable
80% conf

Revenue grew +12.9% YoY to $25.10B. Net margin at 0.00% (contracting ▼). Return on equity 0.00%, ROA 0.00%, ROIC 216.01%.

  • Revenue grew +12.9% YoY to $25.10B.
  • Net margin at 0.00% (contracting ▼).
  • Return on equity 0.00%, ROA 0.00%, ROIC 216.01%.
  • Gross margin 0.00%, operating margin 55.81%.
  • Free cash flow margin 46.25% ($11.61B).
  • Debt/equity 0.00, current ratio 0.98, net debt -$7.88B.
  • Asset turnover 0.48 — capital efficiency.
Revenue (FY)
$25.10B
YoY +12.9%
Net margin
0.00%
▼ 0.00pp
ROE
0.00%
ROA 0.00%
ROIC
216.01%
EPS (diluted)
$11.83
FY2025
Free cash flow
$11.61B
46.25% margin
Debt / equity
0.00
Cash $7.91B
Current ratio
0.98
Equity $6.72B
Annual fundamentals — up to 10 years (SEC 10-K, US-GAAP)
FYRevenueRev YoYGross%Op%Net%FCFROE%
2016$3.23B0.00
20170.00
20180.00
2019$12.50B0.0052.990.00$5.36B0.00
2020$14.95B+19.6%0.0048.710.00$5.89B0.00
2021$16.88B+12.9%0.0057.240.00$7.76B0.00
2022$15.30B-9.4%0.0052.810.00$6.88B0.00
2023$18.88B+23.4%0.0053.390.00$9.06B0.00
2024$22.24B+17.8%0.0055.150.00$10.75B0.00
2025$25.10B+12.9%0.0055.810.00$11.61B0.00
Quarterly revenue trend (last 6 quarters, SEC 10-Q)
Quarter endRevenueYoYQoQNet margin
Mar 31, 2025$7.25B+14.2%
Jun 30, 2025$15.38B+15.6%+112.2%
Jun 30, 2025$8.13B-38.9%-47.1%
Sep 30, 2025$23.98B+16.0%+194.9%
Sep 30, 2025$8.60B-58.4%-64.1%
Mar 31, 2026$8.40B+15.8%-2.4%
Revenue (annual, SEC 10-K)
2016: 0
2017: 0
2018: 0
2019: 12,497
2020: 14,950
2021: 16,883
2022: 15,301
2023: 18,884
2024: 22,237
2025: 25,098
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
Profitability trends (%)
0.014.328.642.957.2201620182020202220242025
GrossOperatingNet
Free cash flow (annual)
2016: 3,232
2017: 0
2018: 0
2019: 5,364
2020: 5,893
2021: 7,761
2022: 6,885
2023: 9,056
2024: 10,753
2025: 11,609
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
Free previewRegulatory Analyst

Filings & Ownership

Regulatory Analyst
score 20Improving
80% conf

Latest annual report (10-K) filed Feb 11, 2026. Latest quarterly report (10-Q) filed Apr 30, 2026. 12 recent 8-K material-event filings in the index.

  • Latest annual report (10-K) filed Feb 11, 2026.
  • Latest quarterly report (10-Q) filed Apr 30, 2026.
  • 12 recent 8-K material-event filings in the index.
  • Recent insider Form 4s: 0 buy vs 0 sell transactions.
  • ~10,000+ recent 13F-HR filings reference Mastercard Inc.; broad institutional reporting.
  • Recent filers include Allen Investment Management LLC, CTC Alternative Strategies, Ltd., Saranac Partners Ltd.
  • 20 recent 13G passive institutional ownership notices.
Latest 10-K
Feb 11, 2026
Annual report
Latest 10-Q
Apr 30, 2026
8-K (recent)
12
Insider net
0B/0S
13F filers
10k+
Activist 13D
0
Recent 13F institutional filers (SEC EDGAR full-text)
FilerFormFiled
Allen Investment Management LLC13F-HROct 29, 2007
CTC Alternative Strategies, Ltd.13F-HRMay 9, 2013
Saranac Partners Ltd13F-HRDec 5, 2025
CONTINENTAL ADVISORS LLC13F-HRAug 14, 2007
Permit Capital, LLC13F-HRNov 14, 2012
Recent 8-K material events
DateFormDescription
Jun 17, 20268-K8-K
Jun 8, 20268-K8-K
Jun 2, 20268-K8-K
May 7, 20268-K8-K
Apr 30, 20268-K8-K
Feb 5, 20268-K8-K
Jan 29, 20268-K8-K
Nov 12, 20258-K8-K
Free previewSEC Filing Analyst

SEC Filing Deep-Analysis

SEC Filing Analyst
score -50Deteriorating
64% conf

3 risk signal(s), 1 positive signal(s), 2 watch item(s) detected from XBRL filing diff analysis. 3 risk signal(s) detected versus 1 positive signal(s). The balance of evidence suggests elevated filing-specific risk that warrants monitoring in subsequent filings.

  • Going concern doubt: The term "going concern" appears in 15 recent filing(s) (vs 1 in the prior period). This risk language is ongoing.
  • Material weakness in internal controls: The term "material weakness" appears in 20 recent filing(s) (vs 2 in the prior period). This risk language is ongoing.
  • Restatement of financial statements: The term "restate" "financial statements" appears in 6 recent filing(s) (vs 1 in the prior period). This risk language is ongoing.
  • Operating cash flow exceeds net income: OCF is 6.29x net income, indicating high earnings quality — cash conversion is strong and accruals are not inflating reported profits.
  • NEW: Restructuring: Restructuring appears in recent filings but not in the prior 24-month period. Monitor for materiality.
  • NEW: Off-balance sheet arrangements: Off-balance sheet arrangements appears in recent filings but not in the prior 24-month period. Monitor for materiality.
  • Endogenous analysis: 3 risk signal(s) detected versus 1 positive signal(s). The balance of evidence suggests elevated filing-specific risk that warrants monitoring in subsequent filings.
  • 20 disclosure(s) dropped from prior year — reduced reporting granularity.
  • 2 new risk-language term(s) detected in filing text: Restructuring, Off-balance sheet arrangements.
  • Ongoing high-severity risk language: Going concern doubt, Material weakness in internal controls, Restatement of financial statements.
Revenue
$25.10B
+12.9% YoY
Operating income
$14.01B
+14.2% YoY
Net income
$1.91B
+3.3% YoY
Operating cash flow
$11.98B
+7.0% YoY
Capex
$371.0M
-16.1% YoY
Total assets
$48.08B
+13.3% YoY
Total liabilities
$41.57B
+17.2% YoY
Long-term debt
$20.0M
— YoY
Filing quality score
70/100
stable
SEC XBRL metric changes (latest annual vs prior)
MetricPrior yearLatest yearChange% Change
Revenue$22.24B$25.10B$2.86B+12.9%
Operating income$12.26B$14.01B$1.74B+14.2%
Net income$1.85B$1.91B$60.0M+3.3%
Operating cash flow$11.20B$11.98B$785.0M+7.0%
Capex$442.0M$371.0M$-71.0M-16.1%
Total assets$42.45B$48.08B$5.63B+13.3%
Total liabilities$35.45B$41.57B$6.12B+17.2%
Long-term debt$20.0M
Cash & equivalents$8.59B$8.44B$-146.0M-1.7%
Stockholders equity$6.93B$6.49B$-444.0M-6.4%
Accounts receivable$4.06B$3.77B$-287.0M-7.1%
Interest expense$380.0M$431.0M$51.0M+13.4%
XBRL disclosure changes (new vs dropped concepts)
TypeConcepts
RemovedAllocatedShareBasedCompensationExpense, AmortizationOfIntangibleAssets, AvailableForSaleDebtSecuritiesAccumulatedGrossUnrealizedGainBeforeTax, AvailableForSaleDebtSecuritiesAccumulatedGrossUnrealizedLossBeforeTax, ContractWithCustomerLiabilityCurrent, CurrentFederalTaxExpenseBenefit, CurrentForeignTaxExpenseBenefit, CurrentIncomeTaxExpenseBenefit, CurrentStateAndLocalTaxExpenseBenefit, DeferredCompensationLiabilityCurrentAndNoncurrent
Risk language in filing text (EDGAR full-text search)
TermSeverityRecentPriorStatus
Going concern doubthigh151Ongoing
Material weakness in internal controlshigh202Ongoing
Restatement of financial statementshigh61Ongoing
Impairment chargemedium272Ongoing
Restructuringmedium330NEW
Off-balance sheet arrangementsmedium360NEW
Related party transactionslow60NEW
Filing signal breakdown
Red flags: 3
Positive: 1
Watch: 2
Red flags
Positive
Watch

Unlock the rest

  • Valuation
    Market cap $66.09B at $539.39 per share.
    Pro
  • Price & Technicals
    Price $539.39 — uptrend (above 200-DMA); 1-month momentum positive.
    Pro
  • Macro & Rates
    Market regime: Risk-on · Supportive.
    Pro
  • Risk Scorecard
    Composite risk: Moderate.
    Pro

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3 sections free · 4 Pro sections locked · composite 8

Macro exposure

Rate-sensitive · High sensitivity
Neutral

Macro regime: Risk-on · Supportive. Mastercard Inc. is a rate-sensitive name (high macro sensitivity) — a supportive backdrop, though defensives lag risk-on tapes.

Macro regime
Risk-on · Supportive
Yield curve
Normal
VIX
16.59
Fed funds
3.63%
CPI YoY
+4.2%

Analytical read

deterministic preview

Market cap $66.09B at $539.39 per share..

Risk
Moderate
Macro regime
Risk-on · Supportive
Macro exposure
Neutral
Descriptive analytics from public filings and macro data — not investment advice.

Peer comparison

Rate-sensitive group

How MA stacks up against tracked peers with similar macro sensitivity — by analytical score and macro exposure.

CompanyScoreMacro
Chubb Ltd. CB23Neutral
U.S. Bancorp USB17Neutral
Prologis Inc. PLD14Neutral
JPMorgan Chase & Co. JPM13Neutral
Bank of America Corp. BAC13Neutral
American Express Co. AXP11Neutral
Visa Inc. V8Neutral
Mastercard Inc. MA● you8Neutral
Public Storage PSA8Neutral
Dominion Energy D6Neutral
Charles Schwab Corp. SCHW6Neutral
Realty Income Corp. O4Neutral
NextEra Energy NEE0Neutral
Duke Energy Corp. DUK0Neutral
Wells Fargo & Co. WFC-1Neutral
Digital Realty Trust DLR-6Neutral
Allstate Corp. ALL-7Neutral
American Water Works AWK-9Neutral
Goldman Sachs Group GS-10Neutral
Citigroup Inc. C-11Neutral
Morgan Stanley MS-13Neutral
BlackRock Inc. BLK-14Neutral
Crown Castle Inc. CCI-18Neutral
American Tower Corp. AMT-35Neutral
S&P Global SPGINeutral
Moody's Corp. MCONeutral
PNC Financial Services PNCNeutral
MetLife Inc. METNeutral
American International Group AIGNeutral
Southern Company SONeutral
American Electric Power AEPNeutral
Equinix Inc. EQIXNeutral
Simon Property Group SPGNeutral
Truist Financial TFCNeutral
Bank of New York Mellon BKNeutral
Capital One Financial COFNeutral
Travelers Cos. TRVNeutral
Marsh & McLennan MMCNeutral
CME Group Inc. CMENeutral
Exelon Corp. EXCNeutral
Xcel Energy XELNeutral
Welltower Inc. WELLNeutral
Equity Residential EQRNeutral