
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 |
|---|---|---|---|---|---|---|
| Cash and cash equivalents | $273.0M-20.4% | $343.0M+5.9% | $324.0M+29.6% | $250.0M-32.8% | $372.0M | — |
| Receivables, net | $387.0M-17.8% | $471.0M+8.3% | $435.0M-35.8% | $678.0M+31.7% | $515.0M | — |
| Other current assets | $234.0M+9.3% | $214.0M-17.7% | $260.0M-31.4% | $379.0M+25.5% | $302.0M | — |
| Fiduciary assets | $248.0M+3.8% | $239.0M+2.1% | $234.0M-84.5% | $1.51B+17.9% | $1.28B | — |
| Total Current Assets | $1.14B-9.9% | $1.27B-54.4% | $2.78B-1.4% | $2.82B+14.1% | $2.47B | — |
| Goodwill | $83.0M-97.4% | $3.21B+0.0% | $3.21B-12.7% | $3.68B+1.1% | $3.64B | — |
| Intangible assets, net | $2.57B-9.9% | $2.85B-9.0% | $3.14B-19.0% | $3.87B-7.1% | $4.17B | — |
| Fixed assets, net | $378.0M-4.5% | $396.0M+19.6% | $331.0M+3.4% | $320.0M+35.6% | $236.0M | — |
| Deferred tax assets, net | $15.0M-63.4% | $41.0M+7.9% | $38.0M+533.3% | $6.0M+100.0% | $3.0M | — |
| Other assets | $377.0M-10.7% | $422.0M+23.8% | $341.0M-37.1% | $542.0M+14.8% | $472.0M | — |
| Total Assets | $4.57B-44.2% | $8.19B-24.0% | $10.78B-4.0% | $11.23B+2.2% | $10.99B | — |
| Accounts payable and accrued liabilities | $253.0M-28.7% | $355.0M+9.2% | $325.0M-36.0% | $508.0M+25.1% | $406.0M | — |
| Current portion of long-term debt, net | $20.0M-20.0% | $25.0M+0.0% | $25.0M-19.4% | $31.0M-18.4% | $38.0M | — |
| Other current liabilities | $353.0M+29.3% | $273.0M+17.2% | $233.0M-22.3% | $300.0M-25.2% | $401.0M | — |
| Fiduciary liabilities | $248.0M+3.8% | $239.0M+2.1% | $234.0M-84.5% | $1.51B+17.9% | $1.28B | — |
| Total Current Liabilities | $874.0M-2.0% | $892.0M-59.2% | $2.19B-6.9% | $2.35B+10.5% | $2.13B | — |
| Deferred tax liabilities | $14.0M-36.4% | $22.0M-31.3% | $32.0M-46.7% | $60.0M+66.7% | $36.0M | — |
| Long-term debt, net | $1.99B-0.8% | $2.00B-27.8% | $2.77B-0.8% | $2.79B-1.3% | $2.83B | — |
| Long-term tax receivable agreement | $508.0M-32.9% | $757.0M+3.3% | $733.0M+29.0% | $568.0M-2.2% | $581.0M | — |
| Financial instruments | $0-100.0% | $51.0M-53.2% | $109.0M+12.4% | $97.0M-28.1% | $135.0M | — |
| Other liabilities | $141.0M-10.8% | $158.0M+11.3% | $142.0M-49.5% | $281.0M-20.4% | $353.0M | — |
| Total Liabilities | $3.52B-9.2% | $3.88B-35.8% | $6.04B-1.7% | $6.15B+1.4% | $6.06B | — |
| Preferred stock at $0.0001 par value: 1.0 shares authorized, none issued and outstanding | $0 | $0 | $0 | — | — | — |
| Treasury stock, at cost (42.6 and 28.8 shares at December 31, 2025 and December 31, 2024, respectively) | -$284.0M-29.7% | -$219.0M-321.2% | -$52.0M-333.3% | -$12.0M | — | — |
| Additional paid-in-capital | $5.07B-1.5% | $5.14B+3.9% | $4.95B+9.6% | $4.51B+6.8% | $4.23B | — |
| Accumulated deficit | -$3.76B-469.2% | -$660.0M-31.2% | -$503.0M-218.4% | -$158.0M-64.6% | -$96.0M | — |
| Accumulated other comprehensive income | $20.0M-57.4% | $47.0M-33.8% | $71.0M-25.3% | $95.0M+1087.5% | $8.0M | — |
| Total Alight, Inc. Stockholders' Equity | $1.04B-75.8% | $4.31B-3.4% | $4.46B+0.5% | $4.44B+7.2% | $4.14B | — |
| Noncontrolling interest | $2.0M-50.0% | $4.0M-98.6% | $280.0M-56.9% | $650.0M-17.5% | $788.0M | — |
| Total Stockholders' Equity | $1.05B-75.7% | $4.31B-9.0% | $4.74B-6.8% | $5.09B+3.3% | $4.93B | — |
| Total Liabilities and Stockholders' Equity | $4.57B-44.2% | $8.19B-24.0% | $10.78B-4.0% | $11.23B+2.2% | $10.99B | — |
| Class A Common Stock | ||||||
| Common stock | $0 | $0 | $0 | — | — | — |
| Class B Common Stock | ||||||
| Class V Common Stock | ||||||
| Class Z Common Stock | ||||||
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.