Transaction DateRecipientSharesTypePriceValue
13th October 2020Srikant M. Datar463Payment by withholding$225.63$104,466.69
13th October 2020Srikant M. Datar1,945Exercise of derivative$53.60$104,252.00
1st October 2020Cheryl W Grise1,007Grant/award etc.$37.26$37,520.82
1st October 2020Marilyn C Crouther1,459Grant/award etc.$0.00
17th September 2020Srikant M. Datar3,000Exercise of derivative$53.60$160,800.00
17th September 2020Srikant M. Datar746Payment by withholding$215.81$160,994.26
14th September 2020Cheryl W Grise715Grant/award etc.$38.84$27,770.60
4th September 2020Randall Mehl1,000Open or private purchase$63.50$63,500.00
4th September 2020Randall Mehl1,000Open or private purchase$64.50$64,500.00
2nd September 2020Sudhakar Kesavan1,421Bona fide gift$0.00
Icf International
Icf International logo

Based on disclosure changes, sentiment, insider trading and news impact we give a rating of 9/10.

ICF International, Inc. engages in the provision of technology-based solutions and services to government and commercial clients. The company serves the Energy, Environment, and Infrastructure; Health, Education, and Social Programs; Safety and Security; and Consumer and Financial markets.

Ticker: ICFI
Sector: Commercial Services
Industry: Miscellaneous Commercial Services
SEC Central Index Key (CIK): 1362004
Employees: 7000
Exchange: NASDAQ
Auditor Opinion:

Disclosure Language changes
Red Flags
Cash at Carrying Value: $9 M (0%)
Assets, Current: $419 M (-3%)
Property, Plant and Equipment, Net: $61 M (4%)
Other Assets, Noncurrent: $25 M (5%)
Assets: $2 B (15%)
Long-term Debt, Current Maturities: $10 M (0%)
Accounts Payable, Current: $77 M (-42%)
Liabilities, Current: $269 M (-20%)
Long-term Debt, Excluding Current Maturities: $441 M (0%)
Other Liabilities, Noncurrent: $40 M (79%)
Liabilities: $910 M (33%)
Common Stock, Value, Issued: $23 Th (0%)
Common Stock, Shares, Issued: $23 M (1%)
Additional Paid in Capital, Common Stock: $354 M (2%)
Retained Earnings (Accumulated Deficit): $563 M (3%)
Accumulated Other Comprehensive Income (Loss), Net of Tax: $23 M (92%)
Treasury Stock, Value: $2 M (14%)
Treasury Stock, Shares: $43 M (7%)
Stockholders' Equity (Parent): $705 M (0%)
Liabilities and Equity: $2 B (15%)
Revenue: $354 M (0%)
Cost of Revenue: $223 M (-50%)
Operating Income/Loss: $23 M (-41%)
Provision for income taxes: $6 M (-29%)
EPS (basic): $0.73 (0%)
EPS (diluted): $0.72 (0%)