WixCom Key Fundamental And Technical Indicators

WIX Stock  USD 80.12  -0.22  -0.27%   
Financial ratios for WixCom include profitability, liquidity, leverage, and capital-structure metrics. WixCom has a profit margin of 2.54%. The current ratio is 1.1, showing the ability to cover short-term obligations. Using the latest data, the price momentum oscillator for WixCom is 0, signaling extreme oversold conditions. Readings below 20 are commonly associated with potential stabilization zones.
Momentum
OversoldOverbought
0 · Capitulated
As of the 10th of May, shares of WixCom change hands at 80.12 per share. Momentum and volatility readings indicate Mean Deviation of 3.08, downside deviation of 3.69, and Market Risk Adjusted Performance of -0.45. The system measures statistical relationships between price fluctuations and trading activity. Indicator values are assessed relative to historical performance bands.
A thorough review of WixCom's financial statements uncovers patterns in revenue and profitability. Core fundamentals used to assess intrinsic value are listed below: WixCom's financial disclosures separate accounting earnings from economic reality. Key fundamentals are provided below:
 Gross Profit
1.36 billion
 Profit Margin
2.7%
 Market Capitalization
4.67 billion
 Enterprise Value Revenue
2.54
 Revenue
1.99 billion
Across one hundred twenty fundamental ratios, WixCom offers a broad dataset for trend analysis and peer comparison. It may be useful to review WixCom's up-to-date fundamental drivers against all of the trends between 2010 and 2026. Using the latest reported data from December 31, 2025, Market Cap is holding steady around $5.19 billion. In addition to that, Enterprise Value is holding steady around $6.34 billion. Use Equity Screeners to access broader equity screening tools. For screening beyond WixCom's immediate peer group, this offers broader coverage.

Balance Sheet Accounts

Current ValueLast YearHistorical Average 10 Year Trend
Common Stock Shares Outstanding50.19 million57.72 million45.9 M
Consistent Growth
Total Assets$2.74 billion$2.61 billionB
Consistent Growth
Other Current Liabilities$145.08 million$257.24 million125.2 M
Moderate Growth
Total Current Liabilities$560.64 million$1.11 billion483.6 M
Consistent Growth
Other Liabilities$110.59 million$105.33 million45 M
Consistent Growth
Property Plant And Equipment Net$538.32 million$512.68 million171 M
Consistent Growth
Current Deferred Revenue$774.21 million$737.35 million272.1 M
Moderate Growth
Accounts Payable$44.94 million$74.81 million38.8 M
Moderate Growth
Cash$251.02 million$311.58 million216.7 M
Moderate Growth
Non Current Assets Total$1.35 billion$1.29 billion391.5 M
Consistent Growth
Non Current Assets Other$19.63 million$33.85 million16.9 M
Moderate Growth
Other Assets$1.09$1.156.6 M
High Variability
Cash And Short Term Investments$646.72 million$1.18 billion557.4 M
Consistent Growth
Net Receivables$22.06 million$41.52 million19 M
Consistent Growth
Common Stock Total Equity$77,550$123,05079.4 K
Moderate Growth
Short Term Investments$912.6 million$869.14 million371.9 M
Consistent Growth
Liabilities And Stockholders Equity$2.74 billion$2.61 billionB
Consistent Growth
Non Current Liabilities Total$1.96 billion$1.86 billion538.4 M
Consistent Growth
Other Current Assets$106.86 million$101.77 million31.2 M
Moderate Growth
Other Stockholder Equity$513.83 million$467.25 million445.2 M
Moderate Growth
Total Liabilities$3.13 billion$2.98 billion1.1 B
Consistent Growth
Property, Plant and Equipment (Gross)$618.59 million$589.13 million187 M
Consistent Growth
Preferred Stock Total Equity$16,800$18,90020.6 K
Stable
Total Current Assets$707.43 million$1.32 billion610 M
Consistent Growth
Short Term Debt$41.1 million$43.26 million84 M
High Variability
Common Stock$87,193.34$104,00076.1 K
Consistent Growth
Property Plant Equipment$373.54 million$355.75 million124.6 M
Consistent Growth
Good Will$141.77 million$135.02 million33.2 M
Moderate Growth
Deferred Long Term Liabilities$9.31 million$17.36 million10.5 M
Moderate Growth
Intangible Assets$175.17 million$166.83 million34.6 M
Moderate Growth
Capital Surplus$402.24 million$702.75 million409 M
Consistent Growth
Short and Long Term Debt Total$923.91 million$1.59 billion525.3 M
Consistent Growth
Long Term Debt$648.95 million$1.29 billion392.5 M
Consistent Growth
Long Term Debt Total$256.72 million$413.92 million187 M
Consistent Growth
Net Invested Capital$697.93 million$759.77 million382.1 M
Moderate Growth
Short and Long Term Debt$343.1 million$658.81 million233.3 M
Consistent Growth
Long Term Investments$260.38 million$479.05 million148.9 M
High Variability
Capital Stock$113,988$104,00096.9 K
Consistent Growth
Capital Lease Obligations$279.31 million$460.84 million165 M
Moderate Growth
Non Current Liabilities Other$210.06 million$200.05 million27.5 M
Moderate Growth

Income Statement

Current ValueLast YearHistorical Average 10 Year Trend
Depreciation And Amortization$33.03 million$31.45 million13.8 M
Consistent Growth
Interest Expense$6.14 million$5.01 million5.6 M
High Variability
Selling General Administrative$744.91 million$709.44 million148.1 M
Moderate Growth
Selling And Marketing Expenses$257.99 million$489.28 million250.9 M
Consistent Growth
Total Revenue$2.09 billion$1.99 billion801.8 M
Consistent Growth
Gross Profit$1.42 billion$1.36 billion552.5 M
Consistent Growth
Other Operating Expenses$2.09 billion$1.99 billion867.5 M
Consistent Growth
Research Development$677.78 million$645.5 million261.2 M
Consistent Growth
Cost Of Revenue$668.17 million$636.35 million249.4 M
Consistent Growth
Total Operating Expenses$1.42 billion$1.35 billion618.1 M
Consistent Growth
Interest Income$51.35 million$48.9 million15.6 M
Consistent Growth
Reconciled Depreciation$22.38 million$31.45 million15.5 M
Consistent Growth

Cash Flow Statement Items

Current ValueLast YearHistorical Average 10 Year Trend
Stock Based Compensation$249.24 million$237.38 million109.5 M
Consistent Growth
Begin Period Cash Flow$694.8 million$661.71 million224.3 M
Consistent Growth
Depreciation$33.03 million$31.45 million13.8 M
Consistent Growth
Capital Expenditures$8.13 million$8.55 million17.7 M
High Variability
End Period Cash Flow$235.64 million$311.58 million215.5 M
Moderate Growth
Change To Netincome$465.56 million$443.4 million158.7 M
Consistent Growth
Change To Liabilities$77.85 million$42.4 million56 M
High Variability
Dividends Paid$2 million$2.11 million10 M
Moderate Decline

Financial Ratios

Current ValueLast YearHistorical Average 10 Year Trend
Price To Sales Ratio2.75x2.9x10.0096
Moderate Decline
Days Sales Outstanding6.667.67.9932
High Variability
Stock Based Compensation To Revenue0.1x0.12x0.122
High Variability
Capex To Depreciation$0.26$0.271.9866
High Variability
EV To Sales3.36x3.54x8.301
Moderate Decline
Inventory Turnover2,694.852,566.52652
Moderate Growth
Days Of Inventory On Hand0.140.15101
Consistent Decline
Payables Turnover4.388.515.4059
High Variability
Sales General And Administrative To Revenue0.7x0.36x0.6395
Moderate Decline
Research And Ddevelopement To Revenue0.43x0.32x0.3894
Moderate Decline
Capex To Revenue0x0x0.034
Moderate Decline
Cash Per Share22.3221.2511.0857
Consistent Growth
Days Payables Outstanding40.7642.9184.567
High Variability
Intangibles To Total Assets$0.05$0.060.0507
High Variability
Current Ratio1.021.191.2545
High Variability
Receivables Turnover58.834855.643
High Variability
Capex Per Share0.280.150.343
Moderate Growth
Revenue Per Share37.6735.8814.9954
Consistent Growth
Interest-Bearing Debt Per Share30.0828.659.7597
Consistent Growth
Debt To Assets0.37x0.61x0.2651
Consistent Growth
Short Term Coverage Ratios14.15x13.47x1.8056
Moderate Growth
Operating Cycle$7.22$7.6109
Consistent Decline
Days Of Payables Outstanding40.7642.9184.567
High Variability
Long Term Debt To Capitalization0.75x1.33x0.6026
Moderate Growth
Total Debt To Capitalization0.7x1.3x0.5435
Consistent Growth
Quick Ratio0.971.191.1637
High Variability
Cash Ratio0.270.280.5536
High Variability
Days Of Inventory Outstanding0.140.15101
Consistent Decline
Days Of Sales Outstanding6.667.67.9932
High Variability
Cash Flow Coverage Ratios0.35x0.37x32.2037
Consistent Decline
Fixed Asset Turnover3.693.8913.6278
Moderate Decline
Debt Ratio0.370.610.2651
Consistent Growth
Cash Flow To Debt Ratio0.350.3732.2037
Consistent Decline
Price Sales Ratio2.75x2.9x10.0096
Moderate Decline
Asset Turnover1.160.761.0751
High Variability
Gross Profit Margin83.00%68.07%0.7527
Moderate Decline

Valuation Indicators

Current ValueLast YearHistorical Average 10 Year Trend
Market Cap$3.63 billion$5.19 billion4.2 B
Moderate Growth
Enterprise Value$4.21 billion$6.34 billion4.5 B
Moderate Growth

Core Fundamental Drivers

Forward Price Earnings12.2399
Cash And Short Term Investments1.18 billion

Shares Outstanding Driver Correlations

The correlation data quantifies how Shares Outstanding at WixCom relates to other financial line items. These relationships describe association across reporting periods, not causation.
Competition

WixCom Common Stock Shares Outstanding

Common Stock Shares Outstanding

$50.19 million
Common Stock Shares Outstanding stood at 57.72 million as of December 31, 2025.

WixCom Fundamental Drivers Relationships

ROE stood at -0.13 as of December 31, 2025. Related reported metric: Return On Asset TTM at 2.04% as of December 31, 2025.

Main Technical Indicators as of May 10, 2026

Daily Market Strength Indicators

Market strength indicators for WixCom stock provide a framework for assessing security responsiveness. A rising Accumulation/Distribution line alongside rising price confirms institutional buying interest in WixCom. Median and Typical Price smooth out intraday extremes, providing a cleaner reference level for evaluating WixCom sessions. Persistent divergence between momentum indicators and price often precedes trend reversals in WixCom.

Basic Forecasting Models

The distribution of WixCom's daily returns is typically non-normal, with fatter tails than a Gaussian model predicts. This reveals hidden support and resistance zones in WixCom's chart that simple price charts miss. The slope of WixCom's linear regression channel quantifies trend direction and strength over a chosen lookback period. Divergences between OBV and price foreshadow trend changes in WixCom.

WixCom Related Equities

Sizing up WixCom against these stocks within the Information Technology space shows how it compares on key financial measures. Key comparison metrics include price-to-earnings, profit margin, and revenue growth across WixCom's peer group.
 Risk & Return  Correlation

Shares Outstanding Peer Comparison

Comparing WixCom's Shares Outstanding to that of its competitors is a reliable method for assessing relative value. Comparing WixCom's Shares Outstanding to peer stocks determines whether it trades at a premium or discount. Tracking WixCom's Shares Outstanding rank within the peer group over time reveals shifts in competitive dynamics. The Shares Outstanding peer framework provides a practical lens for evaluating WixCom's relative standing.
WixCom is currently under evaluation in shares outstanding among leading competitors.

Important Fundamentals

Financial Metrics, Fundamentals & Methodology

A financial review of WixCom starts with revenue scale, margin durability, and liquidity flexibility. Operating margins help show whether the business still holds structural pricing or cost advantages. As of the latest reporting period, WixCom reports revenue of 1.99 billion, positive EPS of 0.88, negative operating margin of 13.66%.

WixCom inputs come from periodic company reporting and market reference feeds and are mapped into a consistent reporting framework. Where analyst coverage exists, consensus estimates are factored in. Reported income, balance-sheet, and cash-flow fields adhere to GAAP or IFRS presentation rules.

Editorial review and methodology oversight provided by: Vlad Skutelnik, Macroaxis Contributor