Recent News
On February 5, 2026 the company scheduled its second-quarter 2026 results release and related investor call.
Market filings and reporting in March 2026 show notable institutional rebalancing, including a reduction in American Century Companies’ disclosed stake.
Several market write-ups in early 2026 highlighted the company’s continued emphasis on scaling AI-driven CX solutions and reiterated analyst coverage and price-target dispersion.
Technical Analysis
ADX / DI+/DI-: ADX at 16.23 indicates no established trend in strength; DI+ equals 16.43 and trends downward, while DI- at 25.34 has experienced a dip-and-reversal, which signals directional pressure skewed toward sellers and implies bearish directional momentum.
MACD: MACD sits at -1.18 with a peak-and-reversal pattern and the MACD line remains just below the signal line (-1.17), indicating waning bullish momentum and a bearish momentum profile.
MRO (Momentum/Regression Oscillator): MRO at 6.86 registers positive, indicating the current price sits above the model target and therefore carries potential downward pressure toward that target in the near term.
RSI: RSI at 37.49 with a peak-and-reversal shows recent loss of buying strength and places the indicator nearer to lower-range levels, reinforcing short-term selling bias.
Price vs. Moving Averages & Ichimoku: Last close $26.79 trades below the 20-day average ($28.02), 50-day average ($31.39) and 200-day average ($33.44); the 12-day EMA trends downward. Ichimoku Senkou A and B sit near $34.61–$34.75 above the market price, implying the cloud offers resistive overhead and a bearish posture for short-term price action.
Bollinger & SuperTrend: The price sits below the 1x Bollinger upper band and beneath the super-trend upper boundary ($28.81), consistent with contraction and likely range-bound or lower price movement unless momentum indicators shift.
Volume & Volatility: Daily volume near 147,854 compares with a 10‑day average of 142,097 and a 50‑day average of 151,168, showing average participation; 42‑day and 52‑week volatility at 3% suggest relatively low realized volatility versus larger-cap peers, which can compress directional moves.
Fundamental Analysis
Profitability & Margins: EBIT of $15,346,000 implies an EBIT margin of 9.35%, up 2.91 percentage points QoQ and up 7.41 percentage points YoY. That margin sits below the industry peer mean of 14.99% and median of 16.18% but above the industry peer low of -2.08% and below the industry peer high of 22.69%.
Revenue & Growth: Total revenue reported $164,221,000 with revenue growth shown as 8.63% (overall) and a year-over-year revenue growth of 2.06%; the quarter-over-quarter revenue figure in the dataset reads as 214.17% (reported as provided), indicating sharp sequential variability in the period-to-period comparisons.
Earnings & Cash Flow: Reported EPS $0.87 versus an estimate of $0.79 produced an EPS surprise of 10.13%. Operating cash flow stands at $6,644,000 while free cash flow registers negative $5,088,000 and a free cash flow yield of -1.03%, reflecting cash conversion pressure despite positive operating income.
Leverage & Liquidity: Total debt $64,341,000 yields debt-to-assets of 21.75% and debt-to-equity of 0.42; interest coverage remains elevated (61.88), indicating ample earnings cushion for interest. Current ratio at 1.83 improved modestly QoQ and sits slightly above the industry peer mean of 1.65.
Efficiency & Returns: Asset turnover 0.5666 increased YoY; return on equity at 7.91% and return on assets at 4.22% sit near or modestly above industry peer means in some categories, but earnings growth metrics show contraction in some periods (earnings growth negative on the provided YoY and QoQ lines), reflecting mixed operational leverage.
Valuation: Price-to-earnings at 42.55 sits below the industry peer mean P/E of 62.57, while price-to-book of 3.21 sits below the industry peer mean book multiple of 4.11. Enterprise multiple reads 27.09 with an EV/Revenue-like ratio at 3.32. Despite some multiples below peer means, cash-flow negatives, compressed free-cash yield, and margin positioning led WMDST to classify the current valuation as over-valued.
MOST-RECENT QUARTERLY REPORT
| REPORT PERIOD ENDING: | 2025-12-31 |
| REPORT DATE: | 2026-02-05 |
| NEXT REPORT DATE: | 2026-05-07 |
| CASH FLOW | Begin Period Cash Flow | $ 22.7 M |
| Operating Cash Flow | $ 6.6 M | |
| Capital Expenditures | $ -11.73 M | |
| Change In Working Capital | $ -14.73 M | |
| Dividends Paid | — | |
| Cash Flow Delta | $ -7.23 M | |
| End Period Cash Flow | $ 15.5 M | |
| INCOME STATEMENT | REVENUE | |
| Total Revenue | $ 164.2 M | |
| Forward Revenue | $ 41.3 M | |
| COSTS | ||
| Cost Of Revenue | $ 116.6 M | |
| Depreciation | $ 4.8 M | |
| Depreciation and Amortization | $ 4.8 M | |
| Research and Development | — | |
| Total Operating Expenses | $ 148.9 M | |
| PROFITABILITY | ||
| Gross Profit | $ 47.6 M | |
| EBITDA | $ 20.1 M | |
| EBIT | $ 15.3 M | |
| Operating Income | $ 15.3 M | |
| Interest Income | $ 59.0 K | |
| Interest Expense | $ 248.0 K | |
| Net Interest Income | $ -189.00 K | |
| Income Before Tax | $ 15.1 M | |
| Tax Provision | $ 2.9 M | |
| Tax Rate | 19.1 % | |
| Net Income | $ 12.2 M | |
| Net Income From Continuing Operations | $ 12.2 M | |
| EARNINGS | ||
| EPS Estimate | $ 0.79 | |
| EPS Actual | $ 0.87 | |
| EPS Difference | $ 0.08 | |
| EPS Surprise | 10.127 % | |
| Forward EPS | $ 0.92 | |
| BALANCE SHEET | ASSETS | |
| Total Assets | $ 295.8 M | |
| Intangible Assets | $ 11.8 M | |
| Net Tangible Assets | $ 142.7 M | |
| Total Current Assets | $ 158.5 M | |
| Cash and Short-Term Investments | $ 15.5 M | |
| Cash | $ 15.5 M | |
| Net Receivables | $ 130.5 M | |
| Inventory | — | |
| Long-Term Investments | $ 15.5 M | |
| LIABILITIES | ||
| Accounts Payable | $ 24.6 M | |
| Short-Term Debt | — | |
| Total Current Liabilities | $ 86.5 M | |
| Net Debt | — | |
| Total Debt | $ 64.3 M | |
| Total Liabilities | $ 141.3 M | |
| EQUITY | ||
| Total Equity | $ 154.5 M | |
| Retained Earnings | $ 50.0 M | |
| VALUATION & PER-SHARE METRICS | EQUITY & PER-SHARE METRICS | |
| Book Value Per-Share | $ 11.54 | |
| Shares Outstanding | 13.440 M | |
| Revenue Per-Share | $ 12.27 | |
| VALUATION | Market Capitalization | $ 495.6 M |
| Enterprise Value | $ 544.5 M | |
| Enterprise Multiple | 27.093 | |
| Enterprise Multiple QoQ | -5.961 % | |
| Enterprise Multiple YoY | 55.778 % | |
| Enterprise Multiple IPRWA | high: 105.534 median: 46.929 mean: 40.32 IBEX: 27.093 low: -7.239 |
|
| EV/R | 3.315 | |
| CAPITAL STRUCTURE | ||
| Asset To Equity | 1.914 | |
| Asset To Liability | 2.094 | |
| Debt To Capital | 0.294 | |
| Debt To Assets | 0.218 | |
| Debt To Assets QoQ | -7.209 % | |
| Debt To Assets YoY | 82.376 % | |
| Debt To Assets IPRWA | high: 0.976 IBEX: 0.218 mean: 0.196 median: 0.127 low: 0.005 |
|
| Debt To Equity | 0.416 | |
| Debt To Equity QoQ | -10.121 % | |
| Debt To Equity YoY | 39.576 % | |
| Debt To Equity IPRWA | high: 4.036 mean: 0.562 IBEX: 0.416 median: 0.266 low: -2.661 |
|
| PRICE-BASED VALUATION | ||
| Price To Book (P/B) | 3.207 | |
| Price To Book QoQ | -3.594 % | |
| Price To Book YoY | 27.002 % | |
| Price To Book IPRWA | high: 10.768 median: 5.108 mean: 4.112 IBEX: 3.207 low: -0.523 |
|
| Price To Earnings (P/E) | 42.546 | |
| Price To Earnings QoQ | 7.919 % | |
| Price To Earnings YoY | 20.27 % | |
| Price To Earnings IPRWA | high: 83.682 median: 64.904 mean: 62.57 IBEX: 42.546 low: -20.675 |
|
| PE/G Ratio | -12.765 | |
| Price To Sales (P/S) | 3.018 | |
| Price To Sales QoQ | -4.521 % | |
| Price To Sales YoY | 54.318 % | |
| Price To Sales IPRWA | high: 12.784 median: 8.413 mean: 6.693 IBEX: 3.018 low: 0.003 |
|
| FORWARD MULTIPLES | ||
| Forward P/E | 39.886 | |
| Forward PE/G | -11.967 | |
| Forward P/S | 12.038 | |
| EFFICIENCY | OPERATIONAL | |
| Operating Leverage | 1.365 | |
| ASSET & SALES | ||
| Asset Turnover Ratio | 0.567 | |
| Asset Turnover Ratio QoQ | 4.396 % | |
| Asset Turnover Ratio YoY | 16.555 % | |
| Asset Turnover Ratio IPRWA | IBEX: 0.567 high: 0.464 median: 0.288 mean: 0.273 low: 0.129 |
|
| Receivables Turnover | 1.332 | |
| Receivables Turnover Ratio QoQ | 2.736 % | |
| Receivables Turnover Ratio YoY | 7.303 % | |
| Receivables Turnover Ratio IPRWA | high: 4.195 mean: 1.568 median: 1.388 IBEX: 1.332 low: 0.373 |
|
| Inventory Turnover | — | |
| Inventory Turnover Ratio QoQ | — | |
| Inventory Turnover Ratio YoY | — | |
| Inventory Turnover Ratio IPRWA | — | |
| Days Sales Outstanding (DSO) | 68.495 | |
| CASH CYCLE | ||
| Cash Conversion Cycle Days (CCC) | 47.08 | |
| Cash Conversion Cycle Days QoQ | -6.642 % | |
| Cash Conversion Cycle Days YoY | — | |
| Cash Conversion Cycle Days IPRWA | high: 79.668 IBEX: 47.08 median: 44.147 mean: 36.375 low: -51.73 |
|
| CAPITAL DEPLOYMENT | ||
| Cash Conversion Ratio | 2.28 | |
| CapEx To Revenue | -0.071 | |
| CapEx To Depreciation | -2.47 | |
| CAPITAL, LIQUIDITY & COVERAGE | CAPITAL STRUCTURE | |
| Total Capital | $ 154.5 M | |
| Net Invested Capital | $ 154.5 M | |
| Invested Capital | $ 154.5 M | |
| Net Tangible Assets | $ 142.7 M | |
| Net Working Capital | $ 72.0 M | |
| LIQUIDITY | ||
| Cash Ratio | 0.179 | |
| Current Ratio | 1.833 | |
| Current Ratio QoQ | 0.785 % | |
| Current Ratio YoY | 27.507 % | |
| Current Ratio IPRWA | high: 3.119 IBEX: 1.833 mean: 1.651 median: 1.411 low: 0.675 |
|
| Quick Ratio | — | |
| Quick Ratio QoQ | — | |
| Quick Ratio YoY | — | |
| Quick Ratio IPRWA | — | |
| COVERAGE & LEVERAGE | ||
| Debt To EBITDA | 3.202 | |
| Cost Of Debt | 0.307 % | |
| Interest Coverage Ratio | 61.879 | |
| Interest Coverage Ratio QoQ | -2.194 % | |
| Interest Coverage Ratio YoY | 213.465 % | |
| Interest Coverage Ratio IPRWA | IBEX: 61.879 high: 56.412 median: 46.402 mean: 29.842 low: -28.708 |
|
| Operating Cash Flow Ratio | 0.02 | |
| TIMING / LIQUIDITY | ||
| Days Payables Outstanding (DPO) | 21.415 | |
| DIVIDENDS | ||
| Dividend Coverage Ratio | — | |
| Dividend Payout Ratio | — | |
| Dividend Rate | — | |
| Dividend Yield | — | |
| PERFORMANCE | GROWTH | |
| Asset Growth Rate | 4.206 % | |
| Revenue Growth | 8.627 % | |
| Revenue Growth QoQ | 214.166 % | |
| Revenue Growth YoY | 2.058 % | |
| Revenue Growth IPRWA | high: 20.145 % IBEX: 8.627 % median: 6.512 % mean: 3.557 % low: -9.343 % |
|
| Earnings Growth | -3.333 % | |
| Earnings Growth QoQ | -196.665 % | |
| Earnings Growth YoY | -124.759 % | |
| Earnings Growth IPRWA | high: 120.149 % median: 30.033 % mean: 18.714 % IBEX: -3.333 % low: -80.0 % |
|
| MARGINS | ||
| Gross Margin | 28.98 % | |
| Gross Margin QoQ | -1.773 % | |
| Gross Margin YoY | -2.745 % | |
| Gross Margin IPRWA | high: 77.989 % median: 33.065 % mean: 32.981 % IBEX: 28.98 % low: 2.672 % |
|
| EBIT Margin | 9.345 % | |
| EBIT Margin QoQ | 2.907 % | |
| EBIT Margin YoY | 7.414 % | |
| EBIT Margin IPRWA | high: 22.688 % median: 16.183 % mean: 14.991 % IBEX: 9.345 % low: -2.078 % |
|
| Return On Sales (ROS) | 9.309 % | |
| Return On Sales QoQ | 2.737 % | |
| Return On Sales YoY | 7.0 % | |
| Return On Sales IPRWA | high: 19.071 % median: 16.974 % mean: 14.691 % IBEX: 9.309 % low: -0.483 % |
|
| CASH FLOW | ||
| Free Cash Flow (FCF) | $ -5.09 M | |
| Free Cash Flow Yield | -1.027 % | |
| Free Cash Flow Yield QoQ | -161.095 % | |
| Free Cash Flow Yield YoY | -11.082 % | |
| Free Cash Flow Yield IPRWA | high: 23.799 % mean: 1.791 % median: 0.956 % IBEX: -1.027 % low: -6.181 % |
|
| Free Cash Growth | -163.355 % | |
| Free Cash Growth QoQ | 152.317 % | |
| Free Cash Growth YoY | -7.663 % | |
| Free Cash Growth IPRWA | high: 126.42 % mean: -33.218 % median: -37.215 % IBEX: -163.355 % low: -206.016 % |
|
| Free Cash To Net Income | -0.416 | |
| Cash Flow Margin | 1.057 % | |
| Cash Flow To Earnings | 0.142 | |
| VALUE & RETURNS | ||
| Economic Value Added | $ 0.04 | |
| Return On Assets (ROA) | 4.215 % | |
| Return On Assets QoQ | -2.498 % | |
| Return On Assets YoY | 31.595 % | |
| Return On Assets IPRWA | high: 5.495 % IBEX: 4.215 % median: 3.174 % mean: 2.878 % low: -2.323 % |
|
| Return On Capital Employed (ROCE) | 7.332 % | |
| Return On Equity (ROE) | 0.079 | |
| Return On Equity QoQ | -5.689 % | |
| Return On Equity YoY | -7.064 % | |
| Return On Equity IPRWA | high: 0.195 IBEX: 0.079 median: 0.072 mean: 0.063 low: -0.048 |
|
| DuPont ROE | 8.195 % | |
| Return On Invested Capital (ROIC) | 8.037 % | |
| Return On Invested Capital QoQ | -5.658 % | |
| Return On Invested Capital YoY | -89.879 % | |
| Return On Invested Capital IPRWA | high: 10.135 % IBEX: 8.037 % median: 6.362 % mean: 5.09 % low: -0.921 % |
|
