Intrinsic value of Wix.com - WIX

Previous Close

$59.80

  Intrinsic Value

$3.58

stock screener

  Rating & Target

str. sell

-94%

  Value-price divergence*

+5000%

Previous close

$59.80

 
Intrinsic value

$3.58

 
Up/down potential

-94%

 
Rating

str. sell

 
Value-price divergence*

+5000%

*Intrinsic value change (in %) minus stock price change (in %) in the past 12 months.

We calculate the intrinsic value of WIX stock by summing up the current values of future distributable cash flows generated by the company and dividing the sum by the number of outstanding shares. As such, the intrinsic value calculation depends entirely on projections. The more accurate your projections of the company's performance are - the more reliable is the intrinsic value calculation result. Please make sure to check the stock valuation input data below and adjust it if necessary. The quality of the output (intrinsic valuation result) is only as good as the quality of the input. See also DISCLAIMERS.

STOCK VALUATION INPUT DATA

Revenue (in 2016), $M
Initial revenue growth rate, %
Terminal revenue growth rate, %
Revenue decline factor
Initial discount rate, %
Discount rate multiplier
Variable cost ratio, %
Fixed operating expenses, $M
Interest rate on debt, %
Effective corporate tax rate, %
Production assets / Revenue, %
Life of production assets, yrs
Working capital / Revenue, %
Revenue / Adjusted assets
Adjusted equity ratio
Cash flow adjustment, % of Revenue
Book value of equity, $M
Shares outstanding, mln
Market capitalization, $bln 2.5

 

FINANCIAL STATEMENTS FORECAST and PRESENT VALUE CALCULATION

Fiscal year
2016(a)
   2017
   2018
   2019
   2020
   2021
   2022
   2023
   2024
   2025
   2026
   2027
   2028
   2029
   2030
   2031
   2032
   2033
   2034
   2035
   2036
   2037
   2038
   2039
   2040
   2041
   2042
   2043
   2044
   2045
   2046

INCOME STATEMENT

 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Revenue growth rate, %
  42.16
  50.00
  45.50
  41.45
  37.81
  34.52
  31.57
  28.91
  26.52
  24.37
  22.43
  20.69
  19.12
  17.71
  16.44
  15.29
  14.27
  13.34
  12.50
  11.75
  11.08
  10.47
  9.92
  9.43
  8.99
  8.59
  8.23
  7.91
  7.62
  7.36
  7.12
Revenue, $m
  290
  435
  633
  895
  1,234
  1,660
  2,184
  2,815
  3,562
  4,430
  5,424
  6,546
  7,797
  9,178
  10,687
  12,321
  14,079
  15,957
  17,952
  20,063
  22,285
  24,619
  27,062
  29,614
  32,276
  35,048
  37,933
  40,932
  44,050
  47,290
  50,657
Variable operating expenses, $m
 
  415
  604
  855
  1,178
  1,584
  2,084
  2,687
  3,399
  4,228
  5,176
  6,247
  7,441
  8,759
  10,199
  11,758
  13,436
  15,228
  17,132
  19,146
  21,267
  23,494
  25,825
  28,261
  30,801
  33,447
  36,200
  39,062
  42,038
  45,129
  48,342
Fixed operating expenses, $m
 
  59
  61
  62
  64
  66
  67
  69
  71
  72
  74
  76
  78
  80
  82
  84
  86
  88
  90
  93
  95
  97
  100
  102
  105
  108
  110
  113
  116
  119
  122
Total operating expenses, $m
  334
  474
  665
  917
  1,242
  1,650
  2,151
  2,756
  3,470
  4,300
  5,250
  6,323
  7,519
  8,839
  10,281
  11,842
  13,522
  15,316
  17,222
  19,239
  21,362
  23,591
  25,925
  28,363
  30,906
  33,555
  36,310
  39,175
  42,154
  45,248
  48,464
Operating income, $m
  -44
  -40
  -32
  -22
  -8
  10
  32
  59
  92
  130
  173
  223
  278
  339
  406
  479
  557
  641
  730
  824
  923
  1,027
  1,137
  1,251
  1,370
  1,494
  1,623
  1,757
  1,897
  2,042
  2,193
EBITDA, $m
  -38
  -38
  -29
  -18
  -2
  17
  42
  72
  107
  149
  197
  251
  312
  379
  452
  532
  618
  709
  807
  910
  1,019
  1,133
  1,253
  1,378
  1,509
  1,645
  1,786
  1,933
  2,086
  2,245
  2,411
Interest expense (income), $m
  0
  0
  3
  7
  13
  21
  31
  43
  58
  76
  96
  119
  145
  174
  207
  242
  280
  321
  365
  412
  461
  513
  567
  624
  684
  746
  811
  878
  948
  1,021
  1,097
Earnings before tax, $m
  -44
  -40
  -35
  -29
  -21
  -11
  1
  16
  34
  54
  78
  104
  133
  165
  200
  237
  277
  320
  365
  412
  462
  515
  569
  626
  686
  748
  812
  879
  949
  1,021
  1,096
Tax expense, $m
  3
  0
  0
  0
  0
  0
  0
  4
  9
  15
  21
  28
  36
  45
  54
  64
  75
  86
  98
  111
  125
  139
  154
  169
  185
  202
  219
  237
  256
  276
  296
Net income, $m
  -47
  -40
  -35
  -29
  -21
  -11
  1
  12
  25
  40
  57
  76
  97
  120
  146
  173
  202
  233
  266
  301
  337
  376
  416
  457
  501
  546
  593
  642
  693
  745
  800

BALANCE SHEET

 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Cash and short-term investments, $m
  171
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
Total assets, $m
  215
  322
  469
  664
  915
  1,230
  1,619
  2,087
  2,640
  3,284
  4,020
  4,852
  5,780
  6,804
  7,922
  9,134
  10,437
  11,829
  13,308
  14,872
  16,520
  18,250
  20,061
  21,953
  23,926
  25,981
  28,119
  30,343
  32,654
  35,056
  37,551
Adjusted assets (=assets-cash), $m
  44
  322
  469
  664
  915
  1,230
  1,619
  2,087
  2,640
  3,284
  4,020
  4,852
  5,780
  6,804
  7,922
  9,134
  10,437
  11,829
  13,308
  14,872
  16,520
  18,250
  20,061
  21,953
  23,926
  25,981
  28,119
  30,343
  32,654
  35,056
  37,551
Revenue / Adjusted assets
  6.591
  1.351
  1.350
  1.348
  1.349
  1.350
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
  1.349
Average production assets, $m
  13
  19
  27
  38
  53
  71
  94
  121
  153
  190
  233
  281
  335
  395
  460
  530
  605
  686
  772
  863
  958
  1,059
  1,164
  1,273
  1,388
  1,507
  1,631
  1,760
  1,894
  2,033
  2,178
Working capital, $m
  -9
  -44
  -63
  -90
  -123
  -166
  -218
  -282
  -356
  -443
  -542
  -655
  -780
  -918
  -1,069
  -1,232
  -1,408
  -1,596
  -1,795
  -2,006
  -2,229
  -2,462
  -2,706
  -2,961
  -3,228
  -3,505
  -3,793
  -4,093
  -4,405
  -4,729
  -5,066
Total debt, $m
  0
  73
  205
  380
  606
  890
  1,240
  1,661
  2,159
  2,738
  3,401
  4,150
  4,985
  5,906
  6,913
  8,003
  9,176
  10,429
  11,760
  13,168
  14,651
  16,208
  17,838
  19,540
  21,316
  23,166
  25,090
  27,092
  29,172
  31,333
  33,579
Total liabilities, $m
  217
  290
  422
  597
  823
  1,107
  1,457
  1,878
  2,376
  2,955
  3,618
  4,367
  5,202
  6,123
  7,130
  8,220
  9,393
  10,646
  11,977
  13,385
  14,868
  16,425
  18,055
  19,757
  21,533
  23,383
  25,307
  27,309
  29,389
  31,550
  33,796
Total equity, $m
  -2
  32
  47
  66
  91
  123
  162
  209
  264
  328
  402
  485
  578
  680
  792
  913
  1,044
  1,183
  1,331
  1,487
  1,652
  1,825
  2,006
  2,195
  2,393
  2,598
  2,812
  3,034
  3,265
  3,506
  3,755
Total liabilities and equity, $m
  215
  322
  469
  663
  914
  1,230
  1,619
  2,087
  2,640
  3,283
  4,020
  4,852
  5,780
  6,803
  7,922
  9,133
  10,437
  11,829
  13,308
  14,872
  16,520
  18,250
  20,061
  21,952
  23,926
  25,981
  28,119
  30,343
  32,654
  35,056
  37,551
Debt-to-equity ratio
  0.000
  2.270
  4.370
  5.730
  6.630
  7.240
  7.660
  7.960
  8.180
  8.340
  8.460
  8.550
  8.620
  8.680
  8.730
  8.760
  8.790
  8.820
  8.840
  8.850
  8.870
  8.880
  8.890
  8.900
  8.910
  8.920
  8.920
  8.930
  8.930
  8.940
  8.940
Adjusted equity ratio
  -3.932
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100
  0.100

CASH FLOW

 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Net income, $m
  -47
  -40
  -35
  -29
  -21
  -11
  1
  12
  25
  40
  57
  76
  97
  120
  146
  173
  202
  233
  266
  301
  337
  376
  416
  457
  501
  546
  593
  642
  693
  745
  800
Depreciation, amort., depletion, $m
  6
  2
  3
  4
  6
  7
  10
  12
  16
  19
  24
  28
  34
  39
  46
  53
  61
  69
  77
  86
  96
  106
  116
  127
  139
  151
  163
  176
  189
  203
  218
Funds from operations, $m
  95
  -38
  -32
  -25
  -16
  -4
  10
  24
  40
  59
  80
  104
  131
  160
  192
  226
  263
  302
  343
  387
  433
  482
  532
  585
  639
  697
  756
  818
  882
  949
  1,018
Change in working capital, $m
  54
  -15
  -20
  -26
  -34
  -43
  -52
  -63
  -75
  -87
  -99
  -112
  -125
  -138
  -151
  -163
  -176
  -188
  -200
  -211
  -222
  -233
  -244
  -255
  -266
  -277
  -288
  -300
  -312
  -324
  -337
Cash from operations, $m
  41
  -23
  -12
  1
  18
  39
  63
  87
  115
  146
  179
  216
  256
  298
  343
  389
  439
  490
  543
  598
  656
  715
  776
  840
  906
  974
  1,044
  1,118
  1,194
  1,273
  1,355
Maintenance CAPEX, $m
  0
  -1
  -2
  -3
  -4
  -5
  -7
  -9
  -12
  -15
  -19
  -23
  -28
  -34
  -39
  -46
  -53
  -61
  -69
  -77
  -86
  -96
  -106
  -116
  -127
  -139
  -151
  -163
  -176
  -189
  -203
New CAPEX, $m
  -5
  -6
  -9
  -11
  -15
  -18
  -23
  -27
  -32
  -37
  -43
  -48
  -54
  -59
  -65
  -70
  -76
  -81
  -86
  -91
  -96
  -100
  -105
  -110
  -114
  -119
  -124
  -129
  -134
  -139
  -145
Cash from investing activities, $m
  -8
  -7
  -11
  -14
  -19
  -23
  -30
  -36
  -44
  -52
  -62
  -71
  -82
  -93
  -104
  -116
  -129
  -142
  -155
  -168
  -182
  -196
  -211
  -226
  -241
  -258
  -275
  -292
  -310
  -328
  -348
Free cash flow, $m
  33
  -31
  -22
  -13
  0
  15
  33
  51
  71
  93
  118
  145
  174
  205
  238
  273
  310
  348
  389
  430
  474
  519
  565
  614
  664
  716
  770
  826
  884
  944
  1,007
Issuance/(repayment) of debt, $m
  0
  73
  132
  175
  226
  284
  350
  421
  498
  579
  663
  749
  835
  921
  1,007
  1,090
  1,173
  1,253
  1,331
  1,408
  1,483
  1,557
  1,630
  1,703
  1,776
  1,850
  1,925
  2,001
  2,080
  2,162
  2,246
Issuance/(repurchase) of shares, $m
  22
  74
  49
  48
  46
  43
  38
  35
  31
  25
  17
  7
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
Cash from financing (excl. dividends), $m  
  22
  147
  181
  223
  272
  327
  388
  456
  529
  604
  680
  756
  835
  921
  1,007
  1,090
  1,173
  1,253
  1,331
  1,408
  1,483
  1,557
  1,630
  1,703
  1,776
  1,850
  1,925
  2,001
  2,080
  2,162
  2,246
Total cash flow (excl. dividends), $m
  54
  117
  159
  211
  272
  342
  421
  507
  599
  697
  798
  901
  1,009
  1,126
  1,245
  1,364
  1,483
  1,601
  1,720
  1,838
  1,957
  2,076
  2,195
  2,317
  2,440
  2,565
  2,694
  2,827
  2,964
  3,105
  3,253
Retained Cash Flow (-), $m
  -2
  -74
  -49
  -48
  -46
  -43
  -39
  -47
  -55
  -64
  -74
  -83
  -93
  -102
  -112
  -121
  -130
  -139
  -148
  -156
  -165
  -173
  -181
  -189
  -197
  -206
  -214
  -222
  -231
  -240
  -250
Prev. year cash balance distribution, $m
 
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
Cash flow adjustment, $m
 
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
  0
Cash available for distribution, $m
 
  43
  110
  162
  226
  299
  382
  460
  544
  633
  724
  817
  916
  1,024
  1,133
  1,243
  1,352
  1,462
  1,572
  1,682
  1,792
  1,903
  2,014
  2,127
  2,242
  2,360
  2,480
  2,604
  2,733
  2,865
  3,003
Discount rate, %
 
  5.90
  6.20
  6.50
  6.83
  7.17
  7.53
  7.91
  8.30
  8.72
  9.15
  9.61
  10.09
  10.60
  11.13
  11.68
  12.27
  12.88
  13.52
  14.20
  14.91
  15.65
  16.44
  17.26
  18.12
  19.03
  19.98
  20.98
  22.03
  23.13
  24.29
PV of cash for distribution, $m
 
  40
  97
  134
  173
  212
  247
  270
  287
  298
  302
  298
  289
  276
  259
  237
  212
  186
  160
  135
  111
  90
  71
  55
  41
  30
  22
  15
  10
  7
  4
Current shareholders' claim on cash, %
  100
  50.0
  19.7
  9.7
  5.7
  3.9
  3.0
  2.4
  2.1
  2.0
  1.9
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8
  1.8

Wix.com Ltd. develops and markets an Internet service that allows users to create Web content. It offers Web development, design, and management solutions and apps through an online platform that enables its user base of businesses, organizations, professionals, and individuals to create a digital presence. The company’s principal product is the Wix Editor, a drag-and-drop visual development and Website editing environment. Its applications and value-added solutions comprise Wix App Market, an online platform that offers its users a range of software apps, which could be integrated as add-ons into its users’ Websites. In addition, the company provides WixShoutOut, which enables users to create and send customized newsletters, updates, promotions, and e-mail campaigns directly from their Wix dashboard. Further, it offers WixStores that allows its users to create an online store through which they may sell their products online and process payments using an integrated shopping cart app; Wix Bookings, an end-to-end online appointment booking solution; WixHotels, a Website for hotels, B&Bs, and vacation rentals; WixMusic, an advanced music player solution; and Wix Restaurants that provides various solutions for restauranteurs, including Wix Restaurants - Menus and Wix Restaurants - Orders. Additionally, the company provides customer support and services through Wix Support and Call Center; and Wix Premium Support. As of December 31, 2015, it had approximately 77 million registered users and 1,767,425 premium subscriptions in approximately 190 countries. The company was formerly known as Wixpress Ltd. Wix.com Ltd. was founded in 2006 and is headquartered in Tel Aviv, Israel.

FINANCIAL RATIOS  of  Wix.com (WIX)

Valuation Ratios
P/E Ratio -56.4
Price to Sales 9.1
Price to Book -1324.6
Price to Tangible Book
Price to Cash Flow 64.6
Price to Free Cash Flow 73.6
Growth Rates
Sales Growth Rate 42.2%
Sales - 3 Yr. Growth Rate %
EPS Growth Rate %
EPS - 3 Yr. Growth Rate %
Capital Spending Gr. Rate -28.6%
Cap. Spend. - 3 Yr. Gr. Rate 10.8%
Financial Strength
Quick Ratio NaN
Current Ratio 0
LT Debt to Equity 0%
Total Debt to Equity 0%
Interest Coverage 0
Management Effectiveness
Return On Assets -25.8%
Ret/ On Assets - 3 Yr. Avg. -37.7%
Return On Total Capital 1566.7%
Ret/ On T. Cap. - 3 Yr. Avg. 248.6%
Return On Equity 1566.7%
Return On Equity - 3 Yr. Avg. 248.6%
Asset Turnover 1.6
Profitability Ratios
Gross Margin 84.5%
Gross Margin - 3 Yr. Avg. 83%
EBITDA Margin -13.1%
EBITDA Margin - 3 Yr. Avg. -23.4%
Operating Margin -15.2%
Oper. Margin - 3 Yr. Avg. -25.8%
Pre-Tax Margin -15.2%
Pre-Tax Margin - 3 Yr. Avg. -25.7%
Net Profit Margin -16.2%
Net Profit Margin - 3 Yr. Avg. -27.1%
Effective Tax Rate -6.8%
Eff/ Tax Rate - 3 Yr. Avg. -5.5%
Payout Ratio 0%

WIX stock valuation input parameters

Revenue. Company's revenue (or sales) is always the starting point of any cash flow forecast. In the WIX stock intrinsic value calculation we used $290 million for the last fiscal year's total revenue generated by Wix.com. The default revenue input number comes from 2016 income statement of Wix.com. You may change it if you feel that it should be adjusted for some unusual circumstances that are not expected to be repeated in the future or if you already know (from interim financial statements, for example) that this year's revenue is going to be quite different.

Revenue growth rate. Forecasted future revenue growth rate is the most important input parameter for the intrinsic value calculation. Unlike other input parameters that are reasonably expected to be in line with their historic averages or their historic trends, the revenue growth rate by and large is a wild card: nobody really knows what the company's revenue will be in the future. Of course, the level of unpredictability is different for different industries (utility companies being the most predictable and, thus, less risky).
    We use three input parameters to forecast the revenue growth rate in our WIX stock valuation model: a) initial revenue growth rate of 50% whose default value is the revenue growth rate in the most recent quarter compared to the quarterly revenue a year ago; b) terminal revenue growth rate of 5% whose default value is chosen to be close to the average nominal (i.e. not adjusted for inflation) GDP growth rate; and c) revenue decline factor of 0.9, which stipulates that revenue growth rate in each forecasted year will be equal to the difference of the revenue growth rate in the preceding year and the terminal revenue growth rate multiplied by this revenue decline factor (with the passage of time the revenue growth rate will be approaching the terminal revenue growth rate, but not quite reaching it - though the difference could be infinitesimally small).
    At the revenue decline factor of 1, the future revenue growth rate is forecasted to be constant and equal to the initial revenue growth rate. The smaller the revenue decline factor, the faster the revenue growth rate will approach the terminal revenue growth.

Discount rate. The discount rate is used for determining the present value of future cash flows: future cash flows are "discounted" as at normal conditions (that translate into positive expected return on investment) one dollar today is worth more than the same dollar in the future. Unlike all other valuation models, we use variable discount rate, i.e. it increases for each consecutive year. This is done to account for higher risk of cash flows coming in further in the future.
    The initial discount rate of 5.9%, whose default value for WIX is calculated based on our internal credit rating of Wix.com, is applied to the cash flow expected to be received a year from now (well, actually, to be precise, in the financial year following the base year - the last year for which we have financial statements). For each consecutive year the discount rate is multiplied by the discount rate multiplier of 1.05, e.i. each year it increases by 5%. Feel free to change this number to correspond to your level of risk assessment of Wix.com.
    By the way, it is easy to set the discount rate to be constant (this would make comparison with other valuation models easier): just set the discount rate multiplier equal to 1 and chose the magnitude of the initial discount rate to your liking.

Variable cost ratio is the ratio of variable costs (i.e. costs that fluctuate with fluctuation of the volume of production) to the revenue expressed as a percentage. In the calculation of intrinsic value of WIX stock the variable cost ratio is equal to 95.5%.

Fixed operating expenses is just that - expenses that are not dependant on the volume of production. They are set to $58 million in the base year in the intrinsic value calculation for WIX stock. These expenses increase with the level of inflation in subsequent years.

Interest rate on debt is the average all-in rate of interest paid by the company on its debt. It is set at 3.5% for Wix.com.

Corporate tax rate of 27% is the nominal tax rate for Wix.com. In reality, companies find ways to pay much less taxes than that or not to pay them at all.

Cash flow adjustment could be used for any adjustment the investor deems necessary. Most commonly we use this field to account for stock options-related effects in excess of what is reported on the company's income statement. The cash flow adjustment is expressed as a percentage of the revenue, and in the current valuation of the WIX stock is equal to 0%.

Production assets are the company's assets used for manufacturing products or provision of services. In the valuation model input table they are expressed as a percentage of revenue and for WIX are equal to 4.3%.

Life of production assets of 10 years is the average useful life of capital assets used in Wix.com operations. It is used to calculate yearly capital expenditures needed to keep these assets in good order - we call it the maintenance CAPEX.

Working capital is the difference between the company's current assets and liabilities. In the model we use the ratio of working capital to revenue, which for WIX is equal to -10%. A negative number means that the company is apt at using financial resources of its suppliers and customers; a large positive number, on the other hand, means that it either provides in-kind financing to others or is not good at managing its inventories.

Book value of equity - $-2 million for Wix.com - is used in calculation of the "floor" for intrinsic valuation based on the discounted cash flow (DCF) method. Even if the prospects are very bad for a company, its assets could always be sold now for their current fair market value.

Shares outstanding of 41.275 million for Wix.com is needed to calculate the intrinsic value of one share.

Market capitalization is used here only for reference purposes and as a quick check that the share price and the number of shares outstanding numbers are correct - something especially to be cognizant about at stock splits. So, the market capitalization of Wix.com at the current share price and the inputted number of shares is $2.5 billion.

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COMPANY NEWS

▶ ETFs with exposure to Wix.com Ltd. : August 14, 2017   [Aug-14-17 05:26PM  Capital Cube]
▶ Why Wix.com Ltd. Stock Slipped 11% Last Month   [Aug-10-17 05:39PM  Motley Fool]
▶ Wix to Present at Upcoming Investor Conferences   [Aug-02-17 08:00AM  Business Wire]
▶ ETFs with exposure to Wix.com Ltd. : July 28, 2017   [Jul-28-17 04:44PM  Capital Cube]
▶ Why Wix.com Ltd. Stock Dropped Today   [02:18PM  Motley Fool]
▶ Israel's Wix.com launches web applications product   [Jul-25-17 06:00PM  Reuters]
▶ Wix Introduces Wix Code   [05:50PM  PR Newswire]
▶ Rev's Forum: Attractive Setups To Keep an Eye on   [Jul-19-17 10:00AM  TheStreet.com]
▶ ETFs with exposure to Wix.com Ltd. : July 18, 2017   [Jul-18-17 02:06PM  Capital Cube]
▶ Wix.com Ltd. Value Analysis (NASDAQ:WIX) : July 17, 2017   [Jul-17-17 02:01PM  Capital Cube]
▶ ETFs with exposure to Wix.com Ltd. : July 7, 2017   [Jul-07-17 03:44PM  Capital Cube]
▶ ETFs with exposure to Wix.com Ltd. : June 26, 2017   [Jun-26-17 05:14PM  Capital Cube]
▶ Karlie Kloss Creates a Website with Wix.com   [Jun-22-17 12:55PM  PR Newswire]
▶ ETFs with exposure to Wix.com Ltd. : June 15, 2017   [Jun-15-17 03:47PM  Capital Cube]
▶ Shorts Attack NVDA, TSLA and RLGT   [Jun-09-17 03:01PM  Zacks]
▶ Wix.com Ltd. Value Analysis (NASDAQ:WIX) : May 22, 2017   [May-22-17 02:44PM  Capital Cube]
▶ Wix Launches Worldwide Ambassador Program   [May-11-17 08:00AM  PR Newswire]
▶ Wix.com Narrows Loss, Revenue Edges Views, Stock Rises   [May-10-17 04:07PM  Investor's Business Daily]
▶ Wix.com reports 1Q loss   [05:03AM  Associated Press]
▶ Could Wix.coms Rally Finally Be Coming to an End?   [Apr-14-17 06:24AM  Investopedia]
▶ 3 Cloud Computing Stocks To Buy Right Now   [Apr-04-17 04:23PM  Zacks]
▶ Wix Stunning Awards Winners Announced   [Mar-28-17 08:00AM  PR Newswire]
▶ Wix Stunning Awards Winners Announced   [08:00AM  CNW Group]
▶ Why Wix.com Ltd. Stock Popped Today   [12:48PM  at Motley Fool]
Stock chart of WIX Financial statements of WIX
Valuation of Stocks

The paper VALUATION OF STOCKS: The Quest for Intrinsic Value provides a detailed description of our valuation model and discloses the calculation algorithm.

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