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TransUnion (TRU)

Fair Value
Financial ServicesFinancial Data & Stock ExchangesUnited States

Fundamental

71

Price

$61.12

Market Cap

$12.68B

Part 1 · What the company is worth

Overview

TransUnion operates as a global consumer credit reporting agency that provides risk and information solutions. The company operates in two segments, U.S. Markets and International. The U.S. Markets segment provides credit reporting, credit marketing, analytics and consulting, identity verification, and authentication and debt recovery solutions for financial services industry; and onboarding and transaction processing products, scoring and analytic products, marketing solutions, fraud and identity management solutions, and customer retention solutions, as well select market-specific solutions for insurance, technology, retail and e-commerce, telecommunications, media, tenant and employment screening, collections, and public sectors. It also offers credit reports, scores, and freezes credit monitoring, identity protection and resolution, and financial management for consumers, as well as helps businesses respond to data breach events through its own websites, as well as channels. The International segment offers credit reports, analytics, technology solutions, and other value-added risk management services; consumer services, which helps consumers to manage their personal finances; credit bureaus; and consumer and business credit reporting, insurance and auto information solutions, and commercial credit information services. This segment serves customers in financial services, retail credit, insurance, automotive, collections, public sector, and communications industries through direct and indirect channels. The company was formerly known as TransUnion Holding Company, Inc. and changed its name to TransUnion in March 2015. TransUnion was founded in 1968 and is headquartered in Chicago, Illinois.

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Direct competitors

Who this company fights with for the same customers

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No competitor list for this company yet.

Balance Sheet & Liquidity

Revenue

$4.73B

Trailing 12 months (through 3/31/2026)

Net Income

$704M

Trailing 12 months (through 3/31/2026)

Free Cash Flow

$662M

Total Equity

$4.44B

Total Liabilities

$6.57B

Current Ratio

1.93

Interest Coverage

3.51

Debt/EBITDA

3.97

Earnings Per Share

Revenue & Net Income

Free Cash Flow

Income Breakdown

Historical statement

Margins over time

Debt over time

How heavy the debt is

Growth grid

Growth — Revenue

Fair Value Estimation

General caseFairly Valued

Fair Value

$62.86

Current Price

$61.12

Margin of Safety

+2.8%

Fair Value Range

$40.86 - $84.86

Spread across the valuation methods used, not a statistically calibrated confidence interval.

Estimation Methods

Analyst price target:$97.29
Discounted cash flow (DCF):$37.80
Earnings multiple (P/E):$51.05
Graham growth formula:$63.97
Earnings power value (EPV):$34.64
Justified P/B:$29.78
Dividend discount (Gordon):$5.25
P/FFO, funds from operations:$85.49
Mid-cycle earnings:$47.24
Revenue multiple:$66.14
Analyst Consensus:Strong Buy (20B / 6H / 0S)
Last Earnings Surprise:+6.50%

Valuation Metrics

P/E Ratio

16.93

ROE

10.3%

P/B Ratio

2.48

P/FCF

16.92

Gross Margin

-

ROIC

6.1%

Profitability Radar

Value Creation (Economic Moat)

ROIC

6.1%

WACC

10.2%

ROIC − WACC

-4.1 pp

ROIC is below the cost of capital — the company is destroying value for every dollar invested.

Fundamental Analysis Criteria

Passed (20)

  • EPS shows upward trend
  • Price CAGR 9.65%
  • ROIC 6.1%
  • P/FCF 16.92
  • P/B Ratio 2.48
  • Debt/Equity ratio
  • Operating Margin 17.9%
  • Positive Free Cash Flow
  • Current Ratio
  • Interest Coverage
  • Debt/EBITDA
  • Return on Tangible Assets
  • ROE 16.0%
  • Revenue Growth 5Y 12.6%
  • Analyst Consensus 77% Buy
  • Earnings Surprise avg 5.4%
  • Earnings Quality (OCF/NI) 1.45
  • Share Dilution 0.1%
  • Net Margin Trend 14.9% vs 8.6%
  • Piotroski F-Score 8/9

Failed (5)

  • CapEx intensity
  • Low reliance on intangibles
  • Price below Graham Number
  • DCF valuation (Overvalued)
  • PEG Ratio 3.22

Unavailable (2)

  • Gross Margin NaN%
  • Dividend Payout NaN%

Piotroski F-Score

8/9

Strong financial health

score
criteria

Earnings Quality

1.45

High quality: earnings backed by cash

Share Dilution

0.1%

Share count is stable

Institutional Holdings

Governance

Executive Team

NameTitleAge
Mr. Christopher A. CartwrightPresident, CEO & Director60
Mr. Todd M. Cello CPAExecutive VP & CFO49
Ms. Tiffani L. ChambersExecutive VP & COO47
Ms. Alicia B. ZuikerExecutive VP & Chief Human Resources Officer43
Mr. Mohamed F. AbdelsadekExecutive VP & Chief Global Solutions Officer49
Ms. Jennifer A. WilliamsSenior VP & Chief Accounting Officer51
Mr. Venkat AchantaExecutive VP and Chief Technology, Data & Analytics Officer52
Mr. Gregory R. Bardi C.F.A.Vice President of Investor Relations-
Ms. Heather J. Russell J.D.Executive VP & Chief Legal Officer53
Mr. Clayton F. Ruebensaal IIIExecutive VP & Chief Marketing and Communications Officer-

Audit Risk

1

Board Risk

1

Compensation Risk

4

Shareholder Rights Risk

1

Part 2 · The price and when to enter

This part won't tell you whether the company is worth owning: it helps you choose when to buy it, once the fundamentals have convinced you. Inside: technical analysis, potential, historical drawdowns, gamma exposure.

Documents

  • Annual Report (10-K)

    A yearly overview of the business, its financial results, and the risks it faces.

    Filed on 2026-02-27

    View document
  • Quarterly Report (10-Q)

    A snapshot of financial performance for the most recent three-month period.

    Filed on 2026-07-28

    View document
  • Current Report (8-K)

    An announcement of a major event, such as a leadership change or big news.

    Filed on 2026-09-23

    View document

via SEC EDGAR

Income History

via SEC EDGAR

Latest News

Recent headlines for TRU, sourced from Markets Gazette.

No recent news for TRU.