S&P 500 7,459.94 â–ŧ 73.83 (-0.98%) DOW 52,169.10 â–ŧ 383.87 (-0.73%) NASDAQ 25,535.42 â–ŧ 346.53 (-1.34%) US Markets Closed â€ĸ 08:57 PM ET

WSE

Wise Group plc

Price Chart
Latest Quote

$12.62

-0.30 (-2.32%)
Current Price
Previous Close $12.92
Open $12.23
Day High $12.70
Day Low $12.06
Volume 2,105,138
Fetched: 2026-07-18T00:57:58
Stock Information
Shares Outstanding 987.46M
Total Debt $483.70M
Cash Equivalents $5.39B
Revenue $2.50B
Net Income $498.70M
Sector Technology
Industry Information Technology Services
Market Cap $12.46B
P/E Ratio 26.29
EPS (TTM) $0.48
Exchange NMS
🌐 Visit Website
📊 Comprehensive Analysis
Company Data
Enterprise Value$8.04B
Sales$2.50B
Income$498.70M
Book/sh$1.88
Cash/sh$5.45
Employees9K
Financial Ratios
Quick Ratio0.19
Current Ratio1.07
Debt/Eq25.12
EPS Growth TTM-6.70%
Returns & Margins
ROA2.41%
ROE27.23%
Gross Margin84.15%
Operating Margin59.77%
Profit Margin19.93%
Ownership
Insider Ownership25.19%
Institutional Ownership46.61%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E15.98
PEG4.22
P/S4.98
P/B6.72
Analyst Data
Recommendationstrong_buy
Target Price$16.98
Technical Indicators
SMA20$12.26
RSI56.50
ATR0.4100
Shares Float713.99M
Short Ratio2.22
Volatility0.52
Rel Volume1.57
Performance History
Week-2.02%
Month+10.90%
YTD-18.05%
10 Years-18.05%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
⭐ Premium Feature

Sign up for free to view detailed scoring breakdown — premium is free during our trial period!

Recent Price History
Date Close Volume
2026-07-17 $12.62 2,136,583
2026-07-16 $12.92 911,000
2026-07-15 $12.90 927,300
2026-07-14 $12.55 843,300
2026-07-13 $13.00 1,573,100
2026-07-10 $12.88 560,100
2026-07-09 $12.77 870,400
2026-07-08 $12.89 842,300
2026-07-07 $13.03 893,400
2026-07-06 $13.14 1,082,000
2026-07-02 $12.95 1,455,600
2026-07-01 $12.32 1,692,800
2026-06-30 $11.91 2,009,400
2026-06-29 $12.23 1,456,400
2026-06-26 $12.19 3,482,300
2026-06-25 $11.06 1,359,900
2026-06-24 $10.94 2,061,500
2026-06-23 $11.15 1,288,600
2026-06-22 $10.84 1,286,000
2026-06-18 $10.84 539,300
About Wise Group plc

Wise Group plc provides cross-border and domestic financial services in the United Kingdom, the rest of Europe, the Asia-Pacific, North America, and internationally. It offers money transfers, currency conversions, and account services. The company's products include Wise Account, a solution for individual customers to send, spend, hold, and get paid in one or more currencies; Wise Business, which offers the main features of the Wise Account product along with business-specific functionalities designed to enable businesses to operate internationally, including managing their accounting and accounts payable and receivables; and Wise Platform, which enables banks, financial institutions, and enterprises to integrate into a global payment infrastructure, allowing institutional partners to send and receive payments. Wise Group plc was founded in 2010 and is based in London, the United Kingdom.

Period:
Loading...
Income Statement (Annual)
Metric 2026-03-31 2025-03-31 2024-03-31 2023-03-31
Revenue
Reconciled Cost Of Revenue - $644,785,697 $561,559,438 $431,126,304
Cost Of Revenue - $644,785,697 $561,559,438 $431,126,304
Total Revenue - $2,336,701,295 $1,940,713,059 $1,221,545,169
Operating Revenue - $2,336,701,295 $1,940,713,059 $1,221,545,169
Expenses
Interest Expense - $19,923,154 $25,628,724 $12,385,128
Total Expenses - $1,615,069,149 $1,331,936,168 $1,030,318,793
Net Non Operating Interest Income Expense - $23,933,658 $-1,009,999 $-9,784,251
Total Other Finance Cost - $129,371 $252,500 $866,959
Interest Expense Non Operating - $19,923,154 $25,628,724 $12,385,128
Operating Expense - $970,283,452 $770,376,730 $599,192,490
Selling And Marketing Expense - $69,601,666 $46,081,204 $46,320,378
General And Administrative Expense - $352,148,208 $234,698,515 $177,974,288
Other Operating Expenses - - - -
Income & Earnings
Net Income From Continuing Operation Net Minority Interest - $539,089,486 $447,682,052 $141,190,458
Net Interest Income - $23,933,658 $-1,009,999 $-9,784,251
Interest Income - $43,986,183 $24,871,225 $3,467,836
Normalized Income - $548,962,836 $447,682,052 $141,190,458
Net Income From Continuing And Discontinued Operation - $539,089,486 $447,682,052 $141,190,458
Total Operating Income As Reported - $749,835,052 $633,648,116 $194,694,211
Net Income Common Stockholders - $539,089,486 $447,682,052 $141,190,458
Net Income - $539,089,486 $447,682,052 $141,190,458
Net Income Including Noncontrolling Interests - $539,089,486 $447,682,052 $141,190,458
Net Income Continuous Operations - $539,089,486 $447,682,052 $141,190,458
Pretax Income - $730,688,125 $607,766,892 $181,442,124
Special Income Charges - $-14,877,680 $0 -
Interest Income Non Operating - $43,986,183 $24,871,225 $3,467,836
Operating Income - $721,632,146 $608,776,891 $191,226,375
Depreciation And Amortization In Income Statement - $23,804,287 $23,103,727 $28,733,497
Depreciation Income Statement - $23,804,287 $23,103,727 $28,733,497
Gross Profit - $1,691,915,598 $1,379,153,621 $790,418,865
Per Share
Diluted EPS $0.48 $0.51 $0.43 $0.14
Basic EPS $0.49 $0.52 $0.43 $0.14
Other
Diluted Average Shares $1,029,700,000 $1,048,700,000 $1,051,400,000 $1,042,400,000
Basic Average Shares $1,019,500,000 $1,032,200,000 $1,036,700,000 $988,600,000
Tax Effect Of Unusual Items - $-5,004,330 $0 $0
Tax Rate For Calcs - $0 $0 $0
Normalized EBITDA (Bullshit earnings) - $789,293,246 $656,499,344 $222,560,749
Total Unusual Items - $-14,877,680 $0 -
Total Unusual Items Excluding Goodwill - $-14,877,680 $0 -
Reconciled Depreciation - $23,674,916 $23,103,727 $28,733,497
EBITDA (Bullshit earnings) - $774,415,566 $656,499,344 $222,560,749
EBIT - $750,611,279 $633,395,617 $193,827,252
Diluted NI Availto Com Stockholders - $539,089,486 $447,682,052 $141,190,458
Otherunder Preferred Stock Dividend - $0 $0 $0
Tax Provision - $191,598,639 $160,084,840 $40,251,666
Impairment Of Capital Assets - $14,877,680 $0 -
Selling General And Administration - $421,749,874 $280,779,719 $224,294,667
Research And Development - - - $42,700,000
Fetched: 2026-07-06
Balance Sheet (Annual)
Metric 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Assets
Net Tangible Assets $1,788,167,717 $1,228,916,271 $700,378,985 $510,856,858
Total Assets $24,899,025,835 $19,110,948,389 $14,743,504,000 $9,936,553,391
Total Non Current Assets $314,889,323 $222,073,528 $202,620,693 $224,361,922
Non Current Prepaid Assets $8,409,123 $3,534,996 $2,972,431 $919,516
Non Current Deferred Taxes Assets $109,577,345 $130,037,370 $140,199,648 $149,224,323
Goodwill And Other Intangible Assets $5,174,845 $8,206,242 $14,119,046 $26,665,966
Other Intangible Assets $5,174,845 $8,206,242 $14,119,046 $26,665,966
Current Assets $24,584,136,512 $18,888,874,861 $14,540,883,307 $9,712,191,470
Other Current Assets $12,937 - - -
Hedging Assets Current $3,234,278 $2,019,998 $0 -
Restricted Cash $7,546,088,464 $6,710,812,039 $4,802,581,061 $6,520,419,825
Prepaid Assets $34,153,978 $38,001,212 $24,027,148 $10,902,833
Other Receivables $257,060,429 $323,325,927 $74,186,916 $34,416,173
Taxes Receivable $19,405,669 $5,049,995 $8,298,036 $9,589,239
Accounts Receivable $125,619,364 $166,144,834 $155,928,761 $91,294,810
Allowance For Doubtful Accounts Receivable $-60,286,945 $-52,141,198 $-39,013,153 -
Gross Accounts Receivable $185,906,309 $218,286,032 $194,941,914 $91,294,810
Cash Cash Equivalents And Short Term Investments $16,598,561,393 $11,643,520,856 $9,475,861,386 $3,045,568,589
Cash And Cash Equivalents $10,576,464,805 $6,550,727,199 $4,763,939,461 $1,479,238,641
Cash Equivalents $7,752,176,669 $4,767,321,483 $3,306,333,754 $371,615,852
Cash Financial $2,824,288,135 $1,783,405,717 $1,457,605,707 $1,107,622,788
Debt
Total Debt $240,112,812 $283,052,217 $327,462,783 $125,710,983
Long Term Debt And Capital Lease Obligation $225,105,761 $269,164,731 $9,660,400 $118,486,214
Long Term Debt $126,913,076 $250,479,750 $0 $103,117,159
Current Debt And Capital Lease Obligation $15,007,051 $13,887,486 $317,802,383 $7,224,769
Current Debt $1,681,825 $5,428,745 $309,504,347 $0
Liabilities
Total Liabilities Net Minority Interest $23,105,683,274 $17,873,825,876 $14,029,005,970 $9,399,030,567
Total Non Current Liabilities Net Minority Interest $304,927,746 $338,349,662 $51,150,578 $142,656,351
Tradeand Other Payables Non Current $59,251,976 $58,201,192 $36,783,830 $20,623,432
Non Current Deferred Taxes Liabilities $5,174,845 $3,029,997 $1,362,364 $656,797
Current Liabilities $22,800,755,527 $17,535,476,215 $13,977,855,391 $9,256,374,217
Payables $22,597,772,229 $17,395,465,105 $13,582,398,256 $9,204,881,317
Other Payable $22,557,149,695 $17,363,018,887 $13,553,540,908 $9,171,647,379
Total Tax Payable $18,888,185 $22,472,478 $18,701,543 $19,572,556
Accounts Payable $21,734,349 $9,973,740 $10,155,805 $13,661,382
Equity
Common Stock Equity $1,793,342,562 $1,237,122,513 $714,498,031 $537,522,824
Total Equity Gross Minority Interest $1,793,342,562 $1,237,122,513 $714,498,031 $537,522,824
Stockholders Equity $1,793,342,562 $1,237,122,513 $714,498,031 $537,522,824
Other Equity Interest $387,337,154 $386,955,863 $306,408,065 $263,375,675
Retained Earnings $1,510,666,649 $937,910,312 $443,139,878 $294,901,940
Other
Treasury Shares Number $14,600,000 $0 $0 -
Ordinary Shares Number $1,010,400,252 $1,024,777,252 $1,024,677,252 $1,024,589,856
Share Issued $1,025,000,252 $1,024,777,252 $1,024,677,252 $1,024,589,856
Tangible Book Value $1,788,167,717 $1,228,916,271 $700,378,985 $510,856,858
Invested Capital $1,921,937,462 $1,493,031,007 $1,024,002,378 $640,639,983
Working Capital $1,783,380,985 $1,353,398,647 $563,027,916 $455,817,253
Capital Lease Obligations $111,517,911 $27,143,723 $17,958,436 $22,593,823
Total Capitalization $1,920,255,637 $1,487,602,262 $714,498,031 $640,639,983
Treasury Stock $86,419,913 $70,068,680 $12,880,533 $525,438
Capital Stock $13,195,855 $12,877,487 $12,632,830 $13,398,663
Common Stock $13,195,855 $12,877,487 $12,632,830 $13,398,663
Long Term Capital Lease Obligation $98,192,685 $18,684,981 $9,660,400 $15,369,054
Long Term Provisions $15,395,164 $7,953,742 $3,343,985 $2,889,908
Current Capital Lease Obligation $13,325,226 $8,458,742 $8,298,036 $7,224,769
Current Provisions $33,377,751 $11,488,739 $3,096,282 $2,101,751
Net PPE $149,941,136 $43,303,707 $26,132,620 $29,687,233
Accumulated Depreciation $-61,968,770 $-42,293,708 $-35,173,763 $-24,695,575
Gross PPE $211,909,906 $85,597,414 $61,306,383 $54,382,808
Construction In Progress $1,164,340 $6,691,243 $619,256 $262,719
Other Properties $131,182,323 $49,237,451 $36,412,276 $33,890,735
Machinery Furniture Equipment $20,052,525 $10,226,240 $8,174,184 $6,436,613
Buildings And Improvements $59,510,718 $19,442,481 $16,100,666 $13,792,741
Properties $0 $0 $0 $0
Other Short Term Investments $6,022,096,588 $5,092,793,657 $4,711,921,924 $1,566,329,949
Non Current Accrued Expenses - - - $15,700,000
Fetched: 2026-07-06
Cash Flow Statement (Annual)
Metric 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Free Cash Flow
Free Cash Flow $5,768,658,551 $4,085,319,665 $4,843,947,388 $4,106,427,417
Operating Activities
Operating Cash Flow $5,814,455,930 $4,101,732,148 $4,854,846,301 $4,122,059,191
Investing Activities
Capital Expenditure $-45,797,379 $-16,412,484 $-10,898,913 $-15,631,773
Investing Cash Flow $-774,156,824 $-180,032,320 $-3,204,404,151 $-644,186,688
Net Other Investing Changes - $126,250 $247,703 $131,359
Financing Activities
Repurchase Of Capital Stock $-93,923,438 $-86,354,914 $-12,508,979 $0
Issuance Of Capital Stock $1,293,711 $1,262,499 $743,108 $4,466,221
Financing Cash Flow $-234,549,853 $-158,569,841 $190,607,119 $-1,707,673
Net Common Stock Issuance $-92,629,727 $-85,092,415 $-11,765,872 $4,466,221
Common Stock Issuance $1,293,711 $1,262,499 $743,108 $4,466,221
Other
Repayment Of Debt $-388,113,381 $-593,374,407 $-444,626,093 $-56,484,559
Issuance Of Debt $258,742,254 $530,249,470 $655,173,268 $56,484,559
End Cash Position $18,089,705,939 $13,229,976,770 $9,511,035,149 $7,955,521,694
Beginning Cash Position $13,557,059,136 $9,695,232,805 $7,500,805,033 $4,411,838,113
Effect Of Exchange Rate Changes $-273,102,449 $-228,386,022 $169,180,848 $67,518,752
Changes In Cash $4,805,749,253 $3,763,129,987 $1,841,049,268 $3,476,164,830
Interest Paid Cff $-4,657,361 $-1,388,749 $-866,959 $-1,182,235
Common Stock Payments $-93,923,438 $-86,354,914 $-12,508,979 $0
Net Issuance Payments Of Debt $-129,371,127 $-63,124,937 $210,547,175 $0
Net Long Term Debt Issuance $-129,371,127 $-63,124,937 $210,547,175 $0
Long Term Debt Payments $-388,113,381 $-593,374,407 $-444,626,093 $-56,484,559
Long Term Debt Issuance $258,742,254 $530,249,470 $655,173,268 $56,484,559
Net Investment Purchase And Sale $-728,359,445 $-163,746,086 $-3,193,752,941 $-628,686,274
Sale Of Investment $7,623,323,027 $11,896,020,604 $7,526,689,951 $512,039,093
Purchase Of Investment $-8,351,682,472 $-12,059,766,690 $-10,720,442,892 $-1,140,725,367
Net Intangibles Purchase And Sale $-1,164,340 $-3,029,997 $-6,440,267 $-9,589,239
Purchase Of Intangibles $-1,164,340 $-3,029,997 $-6,440,267 $-9,589,239
Net PPE Purchase And Sale $-44,633,039 $-13,382,487 $-4,458,646 $-6,042,534
Purchase Of PPE $-44,633,039 $-13,382,487 $-4,458,646 $-6,042,534
Taxes Refund Paid $-185,776,938 $-93,046,157 $-23,160,189 $-8,538,364
Interest Received Cfo $666,908,159 $434,804,565 $128,681,479 $27,716,842
Interest Paid Cfo $-19,017,556 $-21,083,729 $-15,357,559 $-14,055,460
Change In Working Capital $5,299,558,844 $3,640,288,860 $4,716,752,124 $3,935,791,506
Change In Other Current Liabilities $-135,192,828 $288,607,211 $97,470,957 $60,688,061
Change In Payable $5,346,520,564 $3,593,955,156 $4,738,054,544 $3,941,702,681
Change In Prepaid Assets $14,748,308 $-150,489,850 $-82,732,655 $-21,937,026
Change In Receivables $73,482,800 $-91,783,658 $-36,040,722 $-44,662,209
Other Non Cash Items $-792,656,895 $-609,155,641 $-158,158,084 $7,618,847
Stock Based Compensation $75,552,738 $91,531,158 $72,081,445 $55,433,683
Deferred Tax $191,598,639 $160,084,840 $40,251,666 $14,449,538
Depreciation And Amortization $23,674,916 $23,103,727 $28,733,497 $30,081,311
Amortization Cash Flow $4,398,618 $8,711,241 $16,843,774 $19,966,635
Depreciation $19,276,298 $14,392,486 $11,889,723 $10,114,677
Net Foreign Currency Exchange Gain Loss $517,485 $27,143,723 $-76,168,537 $24,038,777
Net Income From Continuing Operations $539,089,486 $447,682,052 $141,190,458 $43,217,255
Gain Loss On Investment Securities - $378,750 - $6,305,253
Change In Other Current Assets - - - $2,983,900,000
Fetched: 2026-07-06