DXC Technology Co (DXC)

Price$11.66Cached quote
DXCNYSE
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Financial charts

Revenue

Net income

Total cash / debt

CashTotal debt

Financial statements

11 annual periodsNewest to oldest
20262025202420232022202120202019201820172016
Revenue$12.64B$12.87B$13.67B$14.43B$16.27B$17.73B$19.58B$20.75B$21.73B$7.61B$7.11B
Gross profit$3.03B$3.10B$3.09B$3.18B$3.58B$3.64B$4.68B$5.81B$3.79B$2.06B$1.92B
Gross margin23.97%24.09%22.62%22.07%22.02%20.55%23.89%27.98%17.43%27.11%27.03%
Operating expenses$2.06B$2.08B$2.08B$2.05B$2.21B$2.54B$2.62B$19.24B$20.43B$7.78B$7.10B
Operating income$970.0M$1.02B$1.01B$1.14B$1.38B$1.10B$2.06B$3.27B$2.99B$618.0M$405.0M
Operating margin7.67%7.92%7.38%7.87%8.45%6.22%10.53%15.75%13.75%8.12%5.70%
EBITDA$2.15B$2.33B$2.44B$2.69B$3.12B$3.09B$4.02B$5.29B$5.00B$1.28B$1.17B
EBITDA margin17.02%18.12%17.87%18.62%19.16%17.43%20.54%25.50%23.02%16.77%16.49%
Net income$18.0M$389.0M$91.0M−$568.0M$718.0M−$149.0M−$5.37B$1.26B$1.75B−$123.0M$251.0M
Net profit margin0.14%3.02%0.67%−3.94%4.41%−0.84%−27.43%6.06%8.06%−1.62%3.53%
Basic EPSper basic share$0.10$2.15$0.46-$2.48$2.87-$0.59-$20.76$4.53$6.15-$0.88$1.82
Diluted EPSper diluted share$0.10$2.10$0.46-$2.48$2.81-$0.59-$20.76$4.47$6.04-$0.88$1.78

Owners

Reported shareholders

Reference date Jun 30, 2026
BlackRock, Inc. · 16.80% of listed sharesVANGUARD PORTFOLIO MANAGEMENT LLC · 7.86% of listed sharesAMERICAN CENTURY COMPANIES INC · 6.20% of listed sharesDIMENSIONAL FUND ADVISORS LP · 4.79% of listed sharesSTATE STREET CORP · 4.57% of listed sharesVANGUARD CAPITAL MANAGEMENT LLC · 4.30% of listed sharesMILLENNIUM MANAGEMENT LLC · 3.88% of listed sharesAQR CAPITAL MANAGEMENT LLC · 3.58% of listed sharesNykredit A/S · 3.46% of listed sharesD. E. Shaw & Co., Inc. · 3.43% of listed sharesGEODE CAPITAL MANAGEMENT, LLC · 2.67% of listed sharesLSV ASSET MANAGEMENT · 2.29% of listed sharesCITADEL ADVISORS LLC · 1.96% of listed sharesFIRST TRUST ADVISORS LP · 1.88% of listed sharesMORGAN STANLEY · 1.66% of listed sharesInvesco Ltd. · 1.62% of listed sharesCHARLES SCHWAB INVESTMENT MANAGEMENT INC · 1.56% of listed sharesUBS Group AG · 1.44% of listed sharesJUPITER ASSET MANAGEMENT LTD · 1.42% of listed sharesCastleKnight Management LP · 1.29% of listed shares
16.80%of listed shares
BlackRock, Inc.28.28M shares · Jun 30, 2026
View holders
Top 20 reported holders of DXC
Holder% owned
BlackRock, Inc.
16.80%28.28M shares
VANGUARD PORTFOLIO MANAGEMENT LLC
7.86%13.23M shares
AMERICAN CENTURY COMPANIES INC
6.20%10.44M shares
DIMENSIONAL FUND ADVISORS LP
4.79%8.06M shares
STATE STREET CORP
4.57%7.68M shares
VANGUARD CAPITAL MANAGEMENT LLC
4.30%7.23M shares
MILLENNIUM MANAGEMENT LLC
3.88%6.54M shares
AQR CAPITAL MANAGEMENT LLC
3.58%6.03M shares
Nykredit A/S
3.46%5.83M shares
D. E. Shaw & Co., Inc.
3.43%5.77M shares
GEODE CAPITAL MANAGEMENT, LLC
2.67%4.5M shares
LSV ASSET MANAGEMENT
2.29%3.85M shares
CITADEL ADVISORS LLC
1.96%3.3M shares
FIRST TRUST ADVISORS LP
1.88%3.16M shares
MORGAN STANLEY
1.66%2.8M shares
Invesco Ltd.
1.62%2.73M shares
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
1.56%2.63M shares
UBS Group AG
1.44%2.43M shares
JUPITER ASSET MANAGEMENT LTD
1.42%2.38M shares
CastleKnight Management LP
1.29%2.17M shares

Percentages use 168.28M shares of this listed class outstanding on Jun 30, 2026.

Gray completes the 100% scale. Reported positions may overlap; holders have different reporting dates.

Source: SEC Form 13F ↗Updated Sep 29, 2026 · Quarterly data

Insider buys & sells

Jul 1, 2024–Jun 30, 2026
Buys3$500.3K disclosed value
Sells (SEC code S)15$1.75M disclosed value
18 recent transactions
TransactionInsiderTypeSharesPriceValueOwned after
May 11, 2026Form 4FERNANDEZ RAUL JPresident and CEOBuyCommon Stock0.85$9.00$7.65844.1K
May 11, 2026Form 4FERNANDEZ RAUL JPresident and CEOBuyCommon Stock28.1K$8.90$249.6K844.1K
Feb 2, 2026Form 4FERNANDEZ RAUL JPresident and CEOBuyCommon Stock16.4K$15.24$250.6K816.0K
Dec 11, 2025Form 4Voci Christopher AnthonySVP, Controller and PAOSellCommon Stock200$15.17$3.0K88.6K
Dec 11, 2025Form 4Voci Christopher AnthonySVP, Controller and PAOSellCommon Stock200$15.16$3.0K88.8K

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