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IAC InterActive Corp. (IAC) 10-Year Financial Performance & Capital Metrics

IAC • • Industrial / General
TechnologyInternet ServicesDigital Content & Services MarketplacesDigital Content & Service Platforms
AboutIAC/InterActiveCorp operates as a media and internet company worldwide. The company publishes original and engaging digital content in the form of articles, illustrations, and videos and images across entertainment, food, home, beauty, travel, health, family, luxury, and fashion areas; and magazines related to women and lifestyle. It also operates a digital marketplace that connects home service professionals with consumers for repairing, remodeling, cleaning, landscaping, maintenance, and enhancement services under the Angi Ads, Angi Leads, and Angi Services brands. In addition, the company operates websites that offer general search services and information, including Ask.com, a search site with a variety of fresh and contemporary content; Reference.com that offers content across select vertical categories; Consumersearch.com, which offers content designed to simplify the product research process; and Shopping.net, a vertical shopping search site that contains a mix of search services and/or content targeted to various user or segment demographics, as well as offers direct-to-consumer downloadable desktop applications. Further, it offers Care.com, an online destination for families to connect with caregivers for their children, aging parents, pets, and homes; develops and provides subscription mobile applications across the communication, language, weather, business, health, and lifestyle verticals; a technology driven staffing platform for flexible W-2 work under the Bluecrew name; a platform to connect healthcare professionals with job opportunities under the Vivian Health name; The Daily Beast, a website dedicated to news, commentary, culture, and entertainment that publishes original reporting and opinion; and production and producer services for feature films for sale and distribution through theatrical releases and video-on-demand services. The company was formerly known as IAC HOLDINGS, INC. IAC/InterActiveCorp is headquartered in New York, New York.Show more
  • Revenue $3.81B -12.8%
  • EBITDA $267M -14.4%
  • Net Income -$540M -303.0%
  • EPS (Diluted) -6.49 -318.5%
  • Gross Margin 72.16% +4.2%
  • EBITDA Margin 7.02% -1.8%
  • Operating Margin -0.11% +98.1%
  • Net Margin -14.18% -332.8%
  • ROE -8.25% -307.6%
  • ROIC -0.05% +98.3%
  • Debt/Equity 0.31 +4.7%
  • Interest Coverage -0.03 +98.4%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Share count reduced 3.8% through buybacks
  • ✓Trading near 52-week high
  • ✓Trading at only 0.5x book value

✗Weaknesses

No significant weaknesses identified

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y2.05%
5Y8.69%
3Y0.96%
TTM-23.36%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-1617.61%

EPS CAGR

10Y-
5Y-
3Y-
TTM-536%

ROCE

10Y Avg-0.84%
5Y Avg-3.59%
3Y Avg-2.51%
Latest-0.05%

Peer Comparison

Digital Content & Service Platforms
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
IACIAC InterActive Corp.2.91B40.58-6.25-12.78%-8.27%-4.67%9.94%0.31

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+3.23B1.75B3.31B2.53B2.51B2.76B3.7B5.24B4.37B3.81B
Revenue Growth %0.04%-0.46%0.89%-0.23%-0.01%0.1%0.34%0.42%-0.17%-0.13%
Cost of Goods Sold+778.16M383.57M651.01M501.15M547.66M745.37M1.3B1.93B1.34B1.06B
COGS % of Revenue0.24%0.22%0.2%0.2%0.22%0.27%0.35%0.37%0.31%0.28%
Gross Profit+2.45B1.36B2.66B2.03B1.96B2.02B2.4B3.3B3.02B2.75B
Gross Margin %0.76%0.78%0.8%0.8%0.78%0.73%0.65%0.63%0.69%0.72%
Gross Profit Growth %0.09%-0.44%0.95%-0.24%-0.03%0.03%0.19%0.37%-0.08%-0.09%
Operating Expenses+2.28B1.67B2.47B2B1.96B2.56B2.54B3.78B3.28B2.75B
OpEx % of Revenue0.71%0.96%0.75%0.79%0.78%0.92%0.69%0.72%0.75%0.72%
Selling, General & Admin1.86B1.2B2.1B1.67B1.69B1.91B2.16B2.91B2.47B2.16B
SG&A % of Revenue0.58%0.69%0.64%0.66%0.67%0.69%0.58%0.56%0.57%0.57%
Research & Development196.62M128.76M250.88M177.3M132.64M185.34M230.81M318.03M334.49M323.69M
R&D % of Revenue0.06%0.07%0.08%0.07%0.05%0.07%0.06%0.06%0.08%0.09%
Other Operating Expenses222.91M437.17M-16.21M-3.83M133M460.81M149.85M551.46M480.07M271.4M
Operating Income+172.89M-57.8M188.47M35.84M5.73M-537.66M-137.07M-474.77M-260.76M-4.23M
Operating Margin %0.05%-0.03%0.06%0.01%0%-0.19%-0.04%-0.09%-0.06%-0%
Operating Income Growth %-0.45%-1.33%4.26%-0.81%-0.84%-94.77%0.75%-2.46%0.45%0.98%
EBITDA+375.05M36.09M304.87M185.31M135.42M-342M12.79M-36.07M312M267.17M
EBITDA Margin %0.12%0.02%0.09%0.07%0.05%-0.12%0%-0.01%0.07%0.07%
EBITDA Growth %-0.13%-0.9%7.45%-0.39%-0.27%-3.53%1.04%-3.82%9.65%-0.14%
D&A (Non-Cash Add-back)202.16M93.89M116.41M149.47M129.69M195.66M149.85M438.7M572.76M271.4M
EBIT216.53M-57.8M172.25M318.63M46.22M260.33M764.07M-1.42B524.77M-536.51M
Net Interest Income+00-105.3M-3.93M3.25M-8.99M-32.91M-85.25M-86.52M-69.39M
Interest Income0009.13M15.16M7.18M1.35M24.92M71.11M86.5M
Interest Expense73.64M109.11M105.3M13.06M11.9M16.17M34.26M110.17M157.63M155.89M
Other Income/Expense-30M56.17M-121.51M269.74M28.58M781.82M866.87M-1.05B627.9M-688.17M
Pretax Income+142.89M-277M66.96M305.57M34.32M244.16M729.81M-1.53B367.13M-692.4M
Pretax Margin %0.04%-0.16%0.02%0.12%0.01%0.09%0.2%-0.29%0.08%-0.18%
Income Tax+29.52M-89.53M-291.05M13.2M-47.35M-45.71M138.99M-331.09M108.82M-159.07M
Effective Tax Rate %0.84%0.66%4.55%0.81%0.67%1.1%0.82%0.77%0.72%0.78%
Net Income+119.47M-182.94M304.92M246.77M22.89M269.73M597.55M-1.17B265.94M-539.9M
Net Margin %0.04%-0.1%0.09%0.1%0.01%0.1%0.16%-0.22%0.06%-0.14%
Net Income Growth %-0.71%-2.53%2.67%-0.19%-0.91%10.78%1.22%-2.96%1.23%-3.03%
Net Income (Continuing)119.47M-187.47M358.01M292.37M81.67M289.87M590.82M-1.2B258.32M-533.33M
Discontinued Operations0000-49.48M-21.28M-1.83M2.69M00
Minority Interest00293.19M774.36M513.94M785.35M592.48M668.15M710.52M726.49M
EPS (Diluted)+1.45-2.260.422.900.272.976.37-13.552.97-6.49
EPS Growth %-0.69%-2.56%1.19%5.9%-0.91%10%1.14%-3.13%1.22%-3.19%
EPS (Basic)1.45-2.260.422.900.273.166.76-13.553.07-6.49
Diluted Shares Outstanding82.5M80.8M88.4M85.13M85.13M90.95M94.71M86.36M86.46M83.19M
Basic Shares Outstanding82.5M80.8M88.4M85.13M85.13M85.36M89.25M86.36M89.46M83.19M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+1.95B1.84B1.06B2.76B1.23B4.12B3.08B2.56B2.24B2.49B
Cash & Short-Term Investments1.52B1.42B757.2M2.26B839.8M3.59B2.14B1.66B1.45B1.8B
Cash Only1.48B1.33B757.2M2.13B839.8M3.37B2.12B1.42B1.3B1.8B
Short-Term Investments39.2M89.34M0123.67M0224.98M19.79M239.37M149M0
Accounts Receivable276.87M261.49M187.25M289.32M237.13M257.67M695.51M607.81M536.65M519.69M
Days Sales Outstanding31.2854.6820.6741.6934.4834.0268.6242.3844.8749.82
Inventory000158.77M0317K30.71M000
Days Inventory Outstanding---115.63-0.168.65---
Other Current Assets147.49M162.72M77.55M162.53M110.4M224.09M138M216.52M166.38M115.37M
Total Non-Current Assets+3.24B2.8B2.12B4.11B2.87B5.04B9.23B7.83B8.13B7.06B
Property, Plant & Equipment302.82M306.25M253.55M318.8M305.41M274.93M570.52M510.61M455.28M392.76M
Fixed Asset Turnover10.67x5.70x13.04x7.95x8.22x10.06x6.48x10.25x9.59x9.69x
Goodwill2.25B1.92B1.31B2.73B1.62B1.66B3.23B3.03B3.02B2.88B
Intangible Assets440.83M355.45M433.39M631.42M350.15M394.99M1.41B1.17B874.71M722.13M
Long-Term Investments137.39M122.81M53.84M235.06M347.98M2.16B2.98B2.5B3.3B2.68B
Other Non-Current Assets-231.49M-134.22M27M134.92M80.69M554.57M1.04B625.77M473.27M388.94M
Total Assets+5.19B4.65B3.17B6.87B4.1B9.16B12.3B10.39B10.37B9.55B
Asset Turnover0.62x0.38x1.04x0.37x0.61x0.30x0.30x0.50x0.42x0.40x
Asset Growth %0.22%-0.1%-0.32%1.17%-0.4%1.24%0.34%-0.16%-0%-0.08%
Total Current Liabilities+768.55M713.39M473.57M883.56M585.32M750.9M1.38B1.08B950.49M886.19M
Accounts Payable86.88M62.86M61.3M74.91M72.45M88.85M203.17M133.1M105.51M71.99M
Days Payables Outstanding40.7559.8234.3754.5648.2943.5157.2125.1228.6724.79
Short-Term Debt33.03M5.79M13.75M13.75M13.75M030M30M30M35M
Deferred Revenue (Current)1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Current Liabilities390.22M359.12M253.78M329.37M230.63M429.4M690.7M555.72M496.95M499.46M
Current Ratio2.53x2.58x2.23x3.13x2.10x5.49x2.23x2.37x2.36x2.80x
Quick Ratio2.53x2.58x2.23x2.95x2.10x5.49x2.20x2.37x2.36x2.80x
Cash Conversion Cycle---102.77--9.3320.06---
Total Non-Current Liabilities+2.62B2.06B405.16M2.37B463.12M1.03B3.15B2.71B2.63B2.36B
Long-Term Debt1.73B1.58B258.31M2.25B231.95M712.28M2.05B2.02B1.99B1.93B
Capital Lease Obligations0000000000
Deferred Tax Liabilities348.77M228.8M35.07M23.6M44.46M78.79M385.89M76.28M164.61M13.87M
Other Non-Current Liabilities539.89M251.98M146.84M66.81M186.72M236.82M721.26M617.84M474.54M410.87M
Total Liabilities3.38B2.78B878.73M3.26B1.05B1.78B4.53B3.79B3.58B3.24B
Total Debt+1.77B1.6B272.06M2.26B245.7M712.28M2.08B2.05B2.02B1.97B
Net Debt285.51M273.3M-485.14M127.67M-594.1M-2.65B-42.49M632.37M725.71M168.68M
Debt / Equity0.98x0.86x0.12x0.62x0.08x0.10x0.27x0.31x0.30x0.31x
Debt / EBITDA4.71x44.40x0.89x12.19x1.81x-162.37x-6.48x7.36x
Net Debt / EBITDA0.76x7.57x-1.59x0.69x-4.39x--3.32x-2.33x0.63x
Interest Coverage2.35x-0.53x1.79x2.74x0.48x-33.26x-4.00x-4.31x-1.65x-0.03x
Total Equity+1.8B1.87B2.29B3.62B3.05B7.38B7.77B6.6B6.79B6.3B
Equity Growth %-0.09%0.04%0.23%0.58%-0.16%1.42%0.05%-0.15%0.03%-0.07%
Book Value per Share21.8723.1325.9442.4935.8181.1882.0176.4278.5175.78
Total Shareholders' Equity1.8B1.87B2B2.84B2.54B6.6B7.18B5.93B6.08B5.58B
Common Stock270K272K2.01B278K2.55B89K9K9K9K9K
Retained Earnings331.39M290.11M595.04M1.26B0694.04M905.15M-265.02M923K-538.97M
Treasury Stock000-10.31B-10.31B00-85.32M-252.44M-252.44M
Accumulated OCI-152.1M-166.12M-7.5M-128.72M-12.23M-6.17M4.4M-13.13M-10.94M-11.4M
Minority Interest00293.19M774.36M513.94M785.35M592.48M668.15M710.52M726.49M

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+405.67M120.85M416.7M369.44M251.8M154.58M136.95M-82.79M189.53M354.52M
Operating CF Margin %0.13%0.07%0.13%0.15%0.1%0.06%0.04%-0.02%0.04%0.09%
Operating CF Growth %-0.04%-0.7%2.45%-0.11%-0.32%-0.39%-0.11%-1.6%3.29%0.87%
Net Income119.47M-182.94M358.01M292.37M22.89M289.87M596.58M-1.2B258.32M-533.33M
Depreciation & Amortization202.16M93.89M116.41M149.47M129.69M195.66M149.85M438.7M471.07M271.4M
Stock-Based Compensation050.66M264.62M148.41M130.23M189M79.49M123.48M117.18M112.52M
Deferred Taxes-59.79M-119.18M-285.28M8.77M0-18.36M135.22M-337.76M88.79M-181.04M
Other Non-Cash Items-276.09M162.64M57.9M-223.97M70.24M-389.02M-712.81M1.28B-518.97M727.32M
Working Capital Changes314.46M-3.4M-94.96M-5.61M-101.25M-112.57M-111.38M-387.3M-226.86M-42.35M
Change in Receivables-29.68M7.78M-115.17M-52.13M-72.11M-131.7M-156.97M-66.71M-37.3M-51.78M
Change in Inventory-841.31M-1.13B5.69M-29.8M0-547K-61.19M000
Change in Payables8.99M-52.36M-25.29M35.61M06.12M78.03M-247.91M-120.26M-9.33M
Cash from Investing+-582.72M34.81M42.05M-44.68M-421.87M-1.87B-2.9B-494.81M-87.47M276.82M
Capital Expenditures-62.05M-26.27M-75.52M-54.68M-95.1M-60.73M-90.21M-139.75M-141.36M-65.51M
CapEx % of Revenue0.02%0.02%0.02%0.02%0.04%0.02%0.02%0.03%0.03%0.02%
Acquisitions----------
Investments----------
Other Investing171.4M77.8M2.99M13.17M-298.33M43.33M-327.21M-16.41M51M28.84M
Cash from Financing+678.39M68.39M-196.87M-197.74M124.09M4.35B1.41B-112.65M-223.01M-129.1M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing678.39M68.39M-415.44M-186.49M175.62M2.53B160.7M-23.88M-16.46M-40.49M
Net Change in Cash----------
Free Cash Flow+343.62M94.58M341.18M314.75M156.7M93.86M46.74M-222.54M48.16M289.01M
FCF Margin %0.11%0.05%0.1%0.12%0.06%0.03%0.01%-0.04%0.01%0.08%
FCF Growth %-0.06%-0.72%2.61%-0.08%-0.5%-0.4%-0.5%-5.76%1.22%5%
FCF per Share4.171.173.863.701.841.030.49-2.580.563.47
FCF Conversion (FCF/Net Income)3.40x-0.66x1.37x1.50x11.00x0.57x0.23x0.07x0.71x-0.66x
Interest Paid000010.04M021.7M98.15M156.17M0
Taxes Paid0000009.88M16.41M18.78M30.64M

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)6.29%-9.96%14.65%8.35%0.69%5.17%7.89%-16.29%3.97%-8.25%
Return on Invested Capital (ROIC)6.22%-2.05%7.16%0.97%0.14%-11.23%-1.65%-4.76%-2.65%-0.05%
Gross Margin75.92%78.03%80.32%80.22%78.18%73.04%64.96%63.06%69.23%72.16%
Net Margin3.7%-10.48%9.22%9.74%0.91%9.76%16.15%-22.35%6.09%-14.18%
Debt / Equity0.98x0.86x0.12x0.62x0.08x0.10x0.27x0.31x0.30x0.31x
Interest Coverage2.35x-0.53x1.79x2.74x0.48x-33.26x-4.00x-4.31x-1.65x-0.03x
FCF Conversion3.40x-0.66x1.37x1.50x11.00x0.57x0.23x0.07x0.71x-0.66x
Revenue Growth3.91%-45.97%89.47%-23.41%-0.91%10.14%33.82%41.51%-16.62%-12.78%

Revenue by Segment

2015201620172018201920202021202220232024
Angi---------1.19B
Angi Growth----------
Digital---------1B
Digital Growth----------
Print---------794.04M
Print Growth----------
Search-----613.27M873.35M731.43M629.04M387.7M
Search Growth------42.41%-16.25%-14.00%-38.37%
Services---------93.52M
Services Growth----------
Emerging & Other-----469.76M685.17M685.96M695.06M89.03M
Emerging & Other Growth------45.86%0.11%1.33%-87.19%
Angi Inc.------1.69B1.89B1.36B-
Angi Inc. Growth-------12.23%-28.17%-
Dotdash-----213.75M456.27M1.93B--
Dotdash Growth------113.46%324.02%--
Intersegment Eliminations-----248K-605K-8.33M--
Intersegment Eliminations Growth-------343.95%-1276.86%--
Publishing And Applications--740.7M-733.5M-----
Publishing And Applications Growth----------
Service---4.25B------
Service Growth----------
Product---13.66M------
Product Growth----------
Vimeo--49.4M-------
Vimeo Growth----------
Angie's List--37.7M-------
Angie's List Growth----------
Others184.09M178.95M23.98M-------
Others Growth--2.80%-86.60%-------
Electus--12.8M-------
Electus Growth----------
The Match Group1.02B1.22B--------
The Match Group Growth-19.80%--------
Publishing691.69M407.31M--------
Publishing Growth--41.11%--------
Video213.32M228.65M--------
Video Growth-7.19%--------

Revenue by Geography

2015201620172018201920202021202220232024
UNITED STATES2.38B2.32B2.32B2.82B-2.45B3.18B4.84B3.8B3.37B
UNITED STATES Growth--2.40%0.18%21.60%--30.03%51.90%-21.48%-11.15%
Non-US854.9M820.91M984.19M1.44B-598.42M514.97M397.91M567.01M432.51M
Non-US Growth--3.98%19.89%46.11%---13.94%-22.73%42.49%-23.72%

Frequently Asked Questions

Growth & Financials

IAC InterActive Corp. (IAC) reported $2.74B in revenue for fiscal year 2024. This represents a 33% increase from $2.06B in 2011.

IAC InterActive Corp. (IAC) saw revenue decline by 12.8% over the past year.

IAC InterActive Corp. (IAC) reported a net loss of $226.2M for fiscal year 2024.

Dividend & Returns

IAC InterActive Corp. (IAC) has a return on equity (ROE) of -8.2%. Negative ROE indicates the company is unprofitable.

IAC InterActive Corp. (IAC) generated $102.6M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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