Symbols / WIX $74.38 -8.16% Wix.com Ltd.

Technology • Software - Infrastructure • Israel • NMS
WIX Chart
About

Wix.com Ltd. operates a cloud-based web development platform for registered users and creators in the United States, Europe, Israel, and internationally. The company offers Wix Editor, a drag-and-drop visual development and website editing environment platform; and Wix Studio, a unified website and application development platform. It also provides Velo by Wix, a full-stack, no-code/low-code development environment to create content-rich websites and web applications; Wix App Market, which offers registered users various free and paid web applications for building, growing, and managing their businesses; Wix Marketplace, which connects users seeking help in creating and managing a website; Wix App, which allows users to manage their websites and Wix operating systems on the go and run their businesses; Spaces by Wix, a mobile app that serves as an interface between site owners and customers; and Wix Customer Care, which provides support and guidance to users throughout the Wix platform. In addition, the company offers Payments by Wix that enables users to accept payments for goods and services both online and in-person; Wix Logo Maker that generates a logo using artificial intelligence; Wix POS, an end-to-end omnichannel solution for online and in-person sales; Branded App by Wix, a native mobile app builder; Base44, an AI-powered platform that builds fully functioning apps; Wixel, an AI-powered visual design platform; Wix Stores; Wix Restaurants; Wix Events; Wix Fitness; Wix Hotels; Wix Music; Wix Showcase; Wix Video; Wix Blog and Wix Forms; Wix Groups; Wix Proposals; Wix Donations; Wix AI Website Builder; Wix AI Text Creator; Wix AI Image Generator; Wix Premium Subscriptions; Email Marketing Subscriptions; Paid Ad Campaigns; Domains; Google Workspace; Gift Cards; and Wix Commerce Solutions, a commerce platform for business owners. The company was formerly known as Wixpress Ltd. Wix.com Ltd. was incorporated in 2006 and is headquartered in Tel Aviv-Yafo, Israel.

Fundamentals
Scroll to Statements
Sector Technology Industry Software - Infrastructur Market Cap 4.34B
Enterprise Value 4.50B Income 50.65M Sales 1.99B
Book/sh -6.66 Cash/sh 21.45 Dividend Yield
Payout 0.00% Employees 4397 IPO
P/E 84.52 Forward P/E 9.39 PEG
P/S 2.18 P/B -11.17 P/C
EV/EBITDA 131.01 EV/Sales 2.26 Quick Ratio 1.10
Current Ratio 1.19 Debt/Eq LT Debt/Eq
EPS (ttm) 0.88 EPS next Y 7.92 EPS Growth
Revenue Growth 13.90% Earnings 2026-05-20 ROA 0.08%
ROE ROIC Gross Margin 68.07%
Oper. Margin -13.66% Profit Margin 2.54% Shs Outstand 58.31M
Shs Float 46.25M Short Float 9.11% Short Ratio 1.54
Short Interest 52W High 191.24 52W Low 60.22
Beta 1.26 Avg Volume 2.75M Volume 3.05M
Target Price $120.30 Recom Buy Prev Close $80.99
Price $74.38 Change -8.16%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$120.30
Mean price target
2. Current target
$74.38
Latest analyst target
3. DCF / Fair value
$138.12
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$74.38
Low
$90.00
High
$180.00
Mean
$120.30

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-07 down Citizens Market Outperform → Market Perform
2026-04-02 down UBS Buy → Neutral $96
2026-03-27 down JP Morgan Neutral → Underweight $91
2026-03-09 down Baird Outperform → Neutral $90
2026-03-05 main Citigroup Buy → Buy $105
2026-03-05 main Benchmark Buy → Buy $130
2026-03-05 main Wells Fargo Overweight → Overweight $137
2026-03-05 main Scotiabank Sector Outperform → Sector Outperform $125
2026-03-05 main Barclays Overweight → Overweight $160
2026-03-05 main RBC Capital Outperform → Outperform $112
2026-03-05 main Needham Buy → Buy $115
2026-03-02 main Benchmark Buy → Buy $140
2026-02-23 main Jefferies Buy → Buy $130
2026-02-02 main Oppenheimer Outperform → Outperform $130
2026-01-22 main Citizens Market Outperform → Market Outperform $125
2026-01-21 main Barclays Overweight → Overweight $205
2026-01-15 main Morgan Stanley Overweight → Overweight $160
2025-12-19 main Wells Fargo Overweight → Overweight $176
2025-12-11 main Cantor Fitzgerald Overweight → Overweight $140
2025-11-20 main Citigroup Buy → Buy $150
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
1,993.04
+13.20%
1,760.65
+12.74%
1,561.66
+12.54%
1,387.67
Operating Revenue
1,993.04
+13.20%
1,760.65
+12.74%
1,561.66
+12.54%
1,387.67
Cost Of Revenue
636.35
+12.70%
564.63
+10.17%
512.53
-2.60%
526.23
Reconciled Cost Of Revenue
636.35
+12.70%
564.63
+10.17%
512.53
-2.60%
526.23
Gross Profit
1,356.69
+13.43%
1,196.02
+14.00%
1,049.14
+21.79%
861.44
Operating Expense
1,354.94
+23.64%
1,095.87
+5.28%
1,040.90
-9.23%
1,146.79
Research And Development
645.50
+30.33%
495.28
+2.91%
481.29
-0.32%
482.86
Selling General And Administration
709.44
+18.12%
600.59
+7.32%
559.61
-15.71%
663.93
Selling And Marketing Expense
514.28
+20.88%
425.46
+6.48%
399.58
-18.93%
492.89
General And Administrative Expense
195.16
+11.43%
175.14
+9.44%
160.03
-6.44%
171.04
Other Gand A
195.16
+11.43%
175.14
+9.44%
160.03
-6.44%
171.04
Total Expenses
1,991.29
+19.92%
1,660.51
+6.89%
1,553.43
-7.15%
1,673.02
Operating Income
1.75
-98.25%
100.14
+1116.19%
8.23
+102.89%
-285.35
Total Operating Income As Reported
1.75
-98.25%
100.14
+510.75%
-24.38
+91.46%
-285.35
EBITDA
36.37
-80.47%
186.21
+171.92%
68.48
+115.57%
-439.77
Normalized EBITDA
85.51
-50.42%
172.48
+118.37%
78.98
+132.53%
-242.78
Reconciled Depreciation
31.45
+1.09%
31.11
+17.65%
26.45
+15.70%
22.86
EBIT
4.92
-96.83%
155.09
+268.97%
42.03
+109.09%
-462.63
Total Unusual Items
-49.14
-457.90%
13.73
+230.72%
-10.50
+94.67%
-196.99
Total Unusual Items Excluding Goodwill
-49.14
-457.90%
13.73
+230.72%
-10.50
+94.67%
-196.99
Special Income Charges
0.00
0.00
+100.00%
-32.61
0.00
Write Off
0.00
0.00
-100.00%
32.61
0.00
Net Income
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Pretax Income
1.09
-99.28%
151.93
+301.50%
37.84
+108.09%
-467.84
Net Non Operating Interest Income Expense
44.12
+15.84%
38.09
-5.63%
40.36
+199.41%
13.48
Interest Expense Non Operating
3.83
+21.00%
3.17
-24.51%
4.19
-19.55%
5.21
Net Interest Income
44.12
+15.84%
38.09
-5.63%
40.36
+199.41%
13.48
Interest Expense
3.83
+21.00%
3.17
-24.51%
4.19
-19.55%
5.21
Interest Income Non Operating
48.90
+16.56%
41.95
-7.15%
45.19
+132.65%
19.42
Interest Income
48.90
+16.56%
41.95
-7.15%
45.19
+132.65%
19.42
Other Income Expense
-44.79
-427.06%
13.69
+227.29%
-10.76
+94.51%
-195.97
Other Non Operating Income Expenses
4.35
+12188.89%
-0.04
+85.88%
-0.26
-124.93%
1.02
Gain On Sale Of Security
-49.14
-457.90%
13.73
-37.90%
22.11
+111.22%
-196.99
Tax Provision
-51.05
-475.26%
13.60
+189.30%
4.70
+110.94%
-42.98
Tax Rate For Calcs
0.00
+134.54%
0.00
-27.94%
0.00
+35.26%
0.00
Tax Effect Of Unusual Items
-10.32
-939.40%
1.23
+194.19%
-1.31
+92.79%
-18.10
Net Income Including Noncontrolling Interests
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Net Income From Continuing Operation Net Minority Interest
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Net Income From Continuing And Discontinued Operation
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Net Income Continuous Operations
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Normalized Income
89.47
-28.89%
125.82
+197.21%
42.33
+117.21%
-245.97
Net Income Common Stockholders
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Diluted EPS
0.88
-62.71%
2.36
+314.04%
0.57
+107.78%
-7.33
Basic EPS
0.91
-63.45%
2.49
+329.31%
0.58
+107.91%
-7.33
Basic Average Shares
55.55
-0.05%
55.58
-2.20%
56.83
-2.01%
57.99
Diluted Average Shares
57.72
-3.73%
59.95
+2.65%
58.41
+0.72%
57.99
Diluted NI Availto Com Stockholders
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Earnings From Equity Interest Net Of Tax
-1.49
0.00
0.00
Total Other Finance Cost
0.95
+35.53%
0.70
+11.15%
0.63
-13.74%
0.73
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
2,610.97
+36.48%
1,913.04
+6.04%
1,804.14
+2.60%
1,758.37
Current Assets
1,324.01
+3.41%
1,280.40
+19.64%
1,070.20
-6.76%
1,147.74
Cash Cash Equivalents And Short Term Investments
1,180.49
+6.70%
1,106.38
+14.90%
962.89
-9.46%
1,063.46
Cash And Cash Equivalents
311.36
-52.89%
660.94
+8.42%
609.62
+149.14%
244.69
Other Short Term Investments
869.14
+95.12%
445.44
+26.09%
353.27
-56.85%
818.78
Receivables
44.53
-61.92%
116.94
+83.69%
63.66
+51.26%
42.09
Accounts Receivable
41.52
-7.05%
44.67
-22.16%
57.39
+36.37%
42.09
Other Receivables
3.00
-95.84%
72.27
+1053.29%
6.27
Prepaid Assets
44.77
+114.11%
20.91
+16.88%
17.89
+32.04%
13.55
Restricted Cash
5.74
+642.82%
0.77
-63.62%
2.12
-84.45%
13.67
Hedging Assets Current
22.13
+68.35%
13.14
+100.00%
6.57
0.00
Other Current Assets
26.35
+18.39%
22.26
+30.44%
17.07
+13.99%
14.97
Total Non Current Assets
1,286.96
+103.43%
632.64
-13.80%
733.93
+20.19%
610.63
Net PPE
512.68
-2.90%
528.02
-5.29%
557.49
+80.22%
309.35
Gross PPE
589.13
-0.45%
591.77
-2.99%
610.03
+64.90%
369.94
Accumulated Depreciation
-76.45
-19.90%
-63.76
-21.36%
-52.54
+13.29%
-60.59
Properties
0.00
0.00
0.00
0.00
Machinery Furniture Equipment
59.66
-4.68%
62.59
-2.80%
64.39
+17.22%
54.93
Other Properties
398.26
-0.40%
399.86
-4.92%
420.56
+109.64%
200.61
Leases
131.21
+1.46%
129.33
+3.40%
125.08
+9.33%
114.40
Goodwill And Other Intangible Assets
166.83
+133.43%
71.47
-7.59%
77.34
-7.15%
83.29
Goodwill
135.02
+173.72%
49.33
+0.00%
49.33
+0.00%
49.33
Other Intangible Assets
31.81
+43.67%
22.14
-20.95%
28.01
-17.53%
33.96
Investments And Advances
479.05
+7708.46%
6.13
-90.53%
64.81
-66.76%
194.96
Non Current Deferred Assets
94.55
0.00
Non Current Deferred Taxes Assets
94.55
0.00
Non Current Prepaid Assets
Other Non Current Assets
33.85
+25.26%
27.02
-21.21%
34.30
+48.94%
23.03
Total Liabilities Net Minority Interest
2,976.98
+49.46%
1,991.83
+7.17%
1,858.62
-8.06%
2,021.61
Current Liabilities
1,112.66
-26.58%
1,515.41
+92.06%
789.03
-33.72%
1,190.47
Payables And Accrued Expenses
238.47
+7.39%
222.06
+68.75%
131.59
-38.12%
212.65
Payables
74.81
+58.91%
47.08
+22.90%
38.30
-60.13%
96.07
Accounts Payable
74.81
+58.91%
47.08
+22.90%
38.30
-60.13%
96.07
Current Accrued Expenses
163.66
-6.47%
174.99
+87.58%
93.29
-19.98%
116.58
Pensionand Other Post Retirement Benefit Plans Current
29.52
0.00
Total Tax Payable
0.00
Current Debt And Capital Lease Obligation
43.26
-92.80%
600.79
+2304.98%
24.98
-93.61%
390.89
Current Debt
572.88
361.62
Other Current Borrowings
572.88
361.62
Current Capital Lease Obligation
43.26
+55.02%
27.91
+11.71%
24.98
-14.65%
29.27
Current Deferred Liabilities
737.35
+11.52%
661.17
+11.57%
592.61
+11.98%
529.21
Current Deferred Revenue
737.35
+11.52%
661.17
+11.57%
592.61
+11.98%
529.21
Other Current Liabilities
64.06
+104.08%
31.39
-21.23%
39.85
-30.97%
57.73
Total Non Current Liabilities Net Minority Interest
1,864.32
+291.32%
476.42
-55.46%
1,069.59
+28.69%
831.14
Long Term Debt And Capital Lease Obligation
1,543.35
+318.07%
369.16
-61.99%
971.34
+31.34%
739.55
Long Term Debt
1,125.77
569.71
+0.56%
566.57
Long Term Capital Lease Obligation
417.58
+13.12%
369.16
-8.08%
401.63
+132.18%
172.98
Non Current Deferred Liabilities
120.91
+32.53%
91.24
+0.76%
90.55
+5.91%
85.50
Non Current Deferred Revenue
116.99
+31.05%
89.27
+7.06%
83.38
+18.12%
70.59
Non Current Deferred Taxes Liabilities
3.92
+99.64%
1.97
-72.58%
7.17
-51.91%
14.90
Other Non Current Liabilities
200.05
+1148.70%
16.02
+108.09%
7.70
+26.36%
6.09
Stockholders Equity
-366.00
-364.55%
-78.79
-44.60%
-54.48
+79.30%
-263.24
Common Stock Equity
-366.00
-364.55%
-78.79
-44.60%
-54.48
+79.30%
-263.24
Capital Stock
0.10
-2.80%
0.11
-2.73%
0.11
+1.85%
0.11
Common Stock
0.10
-2.80%
0.11
-2.73%
0.11
+1.85%
0.11
Share Issued
67.14
+3.75%
64.72
+4.07%
62.19
+3.69%
59.97
Ordinary Shares Number
54.99
-1.99%
56.11
-1.86%
57.17
+1.54%
56.31
Treasury Shares Number
12.15
+41.16%
8.61
+71.63%
5.02
+36.77%
3.67
Additional Paid In Capital
2,067.41
+12.32%
1,840.57
+19.52%
1,539.95
+20.78%
1,274.97
Retained Earnings
-850.90
+5.62%
-901.54
+13.30%
-1,039.86
+3.09%
-1,073.00
Gains Losses Not Affecting Retained Earnings
17.54
+142.18%
7.24
+72.76%
4.19
+112.53%
-33.45
Treasury Stock
1,600.16
+56.09%
1,025.17
+83.43%
558.88
+29.41%
431.86
Other Equity Adjustments
17.54
+142.18%
7.24
+72.76%
4.19
+112.53%
-33.45
Total Equity Gross Minority Interest
-366.00
-364.55%
-78.79
-44.60%
-54.48
+79.30%
-263.24
Total Capitalization
759.77
+1064.34%
-78.79
-115.29%
515.23
+69.86%
303.32
Working Capital
211.35
+189.93%
-235.01
-183.58%
281.17
+757.95%
-42.73
Invested Capital
759.77
+53.77%
494.09
-4.10%
515.23
-22.52%
664.95
Total Debt
1,586.61
+63.58%
969.95
-2.65%
996.32
-11.86%
1,130.44
Net Debt
814.41
683.50
Capital Lease Obligations
460.84
+16.06%
397.07
-6.92%
426.61
+110.93%
202.25
Net Tangible Assets
-532.83
-254.62%
-150.26
-13.98%
-131.82
+61.96%
-346.54
Tangible Book Value
-532.83
-254.62%
-150.26
-13.98%
-131.82
+61.96%
-346.54
Available For Sale Securities
479.05
+7708.46%
6.13
-90.53%
64.81
-66.76%
194.96
Investmentin Financial Assets
479.05
+7708.46%
6.13
-90.53%
64.81
-66.76%
194.96
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
582.86
+17.18%
497.42
+100.37%
248.25
+568.19%
37.15
Cash Flow From Continuing Operating Activities
582.86
+17.18%
497.42
+100.37%
248.25
+568.19%
37.15
Net Income From Continuing Operations
50.65
-63.39%
138.32
+317.42%
33.14
+107.80%
-424.86
Depreciation Amortization Depletion
31.45
+1.09%
31.11
+17.65%
26.45
+15.70%
22.86
Depreciation
24.49
-2.99%
25.25
+23.20%
20.49
+23.36%
16.61
Amortization Cash Flow
6.96
+18.62%
5.87
-1.43%
5.95
-4.67%
6.25
Depreciation And Amortization
31.45
+1.09%
31.11
+17.65%
26.45
+15.70%
22.86
Amortization Of Intangibles
6.96
+18.62%
5.87
-1.43%
5.95
-4.67%
6.25
Other Non Cash Items
3.83
+21.00%
3.17
-24.51%
4.19
-19.55%
5.21
Stock Based Compensation
237.38
-1.39%
240.72
+7.17%
224.62
-5.16%
236.84
Asset Impairment Charge
0.00
0.00
-100.00%
26.70
0.00
Deferred Tax
-91.74
-1665.63%
-5.20
+40.85%
-8.78
+84.82%
-57.87
Deferred Income Tax
-91.74
-1665.63%
-5.20
+40.85%
-8.78
+84.82%
-57.87
Operating Gains Losses
-16.73
-528.44%
3.91
200.34
Unrealized Gain Loss On Investment Securities
-0.11
+95.66%
-2.54
+91.71%
-30.61
-115.28%
200.34
Net Foreign Currency Exchange Gain Loss
-18.23
-566.59%
3.91
0.00
0.00
Change In Working Capital
409.38
+304.14%
101.30
+382.88%
-35.81
-174.01%
48.38
Change In Receivables
3.22
-74.69%
12.72
+183.09%
-15.31
-30.63%
-11.72
Changes In Account Receivables
3.22
-74.69%
12.72
+183.09%
-15.31
-30.63%
-11.72
Change In Prepaid Assets
39.00
+149.07%
-79.48
-295.34%
-20.11
-240.07%
-5.91
Change In Payables And Accrued Expense
197.91
+93.18%
102.45
+241.34%
-72.49
-807.95%
10.24
Change In Accrued Expense
170.95
+88.93%
90.48
+551.70%
-20.03
-169.67%
28.75
Change In Payable
26.96
+125.30%
11.97
+122.81%
-52.45
-183.33%
-18.51
Change In Account Payable
26.96
+125.30%
11.97
+122.81%
-52.45
-183.33%
-18.51
Change In Other Working Capital
103.87
+39.52%
74.45
-2.29%
76.19
+37.56%
55.39
Change In Other Current Assets
19.92
-17.84%
24.25
-10.96%
27.23
-40.07%
45.44
Change In Other Current Liabilities
45.45
+237.37%
-33.09
-5.59%
-31.33
+30.45%
-45.05
Investing Cash Flow
-902.15
-2443.70%
-35.47
-106.26%
566.71
+1136.84%
-54.66
Cash Flow From Continuing Investing Activities
-902.15
-2443.70%
-35.47
-106.26%
566.71
+1136.84%
-54.66
Net PPE Purchase And Sale
-8.55
+51.98%
-17.81
+71.73%
-63.02
+8.07%
-68.55
Purchase Of PPE
-8.55
+51.98%
-17.81
+71.73%
-63.02
+8.07%
-68.55
Capital Expenditure
-9.90
+48.79%
-19.34
+70.72%
-66.05
+6.53%
-70.66
Capital Expenditure Reported
-1.35
+11.49%
-1.52
+49.70%
-3.03
-43.51%
-2.11
Net Investment Purchase And Sale
-857.91
-5043.34%
-16.68
-102.64%
632.87
+3715.71%
16.59
Purchase Of Investment
-1,392.97
-216.08%
-440.70
-41.14%
-312.25
+67.81%
-969.93
Sale Of Investment
535.06
+26.19%
424.02
-55.14%
945.13
-4.20%
986.52
Net Business Purchase And Sale
-23.88
0.00
0.00
-100.00%
51.60
Purchase Of Business
-23.88
0.00
0.00
0.00
Net Other Investing Changes
-10.46
-2001.45%
0.55
+595.50%
-0.11
+80.86%
-0.58
Financing Cash Flow
-43.00
+89.43%
-406.73
+9.62%
-450.02
-137.90%
-189.16
Cash Flow From Continuing Financing Activities
-43.00
+89.43%
-406.73
+9.62%
-450.02
-137.90%
-189.16
Net Issuance Payments Of Debt
575.00
0.00
+100.00%
-362.67
0.00
Issuance Of Debt
1,150.00
0.00
0.00
0.00
Repayment Of Debt
-575.00
0.00
+100.00%
-362.67
0.00
Long Term Debt Issuance
1,150.00
0.00
0.00
0.00
Long Term Debt Payments
-575.00
0.00
+100.00%
-362.67
0.00
Net Long Term Debt Issuance
575.00
0.00
+100.00%
-362.67
0.00
Net Common Stock Issuance
-575.00
-23.31%
-466.30
-267.12%
-127.02
+45.22%
-231.87
Common Stock Payments
-575.00
-23.31%
-466.30
-267.12%
-127.02
+45.22%
-231.87
Repurchase Of Capital Stock
-575.00
-23.31%
-466.30
-267.12%
-127.02
+45.22%
-231.87
Proceeds From Stock Option Exercised
54.82
-7.99%
59.58
+50.22%
39.66
-7.14%
42.71
Net Other Financing Charges
-97.82
Changes In Cash
-362.29
-756.05%
55.22
-84.87%
364.94
+276.58%
-206.67
Effect Of Exchange Rate Changes
18.23
+566.59%
-3.91
0.00
0.00
Beginning Cash Position
660.94
+8.42%
609.62
+149.14%
244.69
-45.79%
451.36
End Cash Position
316.88
-52.06%
660.94
+8.42%
609.62
+149.14%
244.69
Free Cash Flow
572.96
+19.85%
478.08
+162.40%
182.20
+643.68%
-33.51
Income Tax Paid Supplemental Data
3.56
-68.61%
11.33
-8.73%
12.41
+8.65%
11.42
Amortization Of Securities
-41.24
-208.22%
-13.38
-260.33%
8.35
+33.49%
6.25
Change In Interest Payable
-0.31
-136.15%
0.85
+135.28%
-2.42
-2708.14%
-0.09
Earnings Losses From Equity Investments
1.49
0.00
0.00
-100.00%
200.34
Sale Of Business
51.60
SEC Filings

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