S&P 500 6,976.44 ▲ 37.41 (+0.54%)
DOW 49,407.66 ▲ 515.19 (+1.05%)
NASDAQ 23,592.11 ▲ 130.29 (+0.56%)
US Markets Closed

WTCHF

WiseTech Global Limited

Price Chart
Latest Quote

$41.10

Current Price
Previous Close $41.80
Open $41.80
Day High $41.80
Day Low $41.05
Volume 649
Fetched: 2026-02-03T09:07:28
Stock Information
Quarterly Dividend / Yield $0.15 / 0.37%
Shares Outstanding 336.04M
Total Debt $111.50M
Cash Equivalents $168.30M
Revenue $778.70M
Net Income $200.70M
Sector Technology
Industry Software - Application
Market Cap $13.81B
P/E Ratio 68.50
EPS (TTM) $0.60
Exchange PNK
🌐 Visit Website
📊 Custom Metrics & Score
Score: 13/42
Debt to Equity 0.05
Current Ratio 1.02
Quick Ratio 0.81
Avg Revenue Growth 20.65%
Avg FCF Growth 21.14%
FCF Yield 1.21%
Score Explanation: The perfect score is 42/42 based on debt levels, profitability, growth rates, and cash flow metrics. FCF Yield is weighted most heavily as it shows what return the business currently generates.
Recent Price History
Date Close Volume
2026-02-02 $41.05 0
2026-01-30 $41.05 5,361
2026-01-29 $41.80 357
2026-01-28 $43.19 0
2026-01-27 $43.19 0
2026-01-26 $43.19 0
2026-01-23 $43.19 141
2026-01-22 $42.93 214
2026-01-21 $43.15 0
2026-01-20 $43.15 500
2026-01-16 $44.75 378
2026-01-15 $45.00 145
2026-01-14 $46.00 0
2026-01-13 $46.00 0
2026-01-12 $46.00 1,082
2026-01-09 $44.16 709
2026-01-08 $43.50 0
2026-01-07 $43.50 0
2026-01-06 $43.50 175
2026-01-05 $45.00 150
About WiseTech Global Limited

WiseTech Global Limited engages in the development and provision of software solutions to the logistics execution industry in the Americas, the Asia Pacific, Europe, the Middle East, and Africa. It develops, sells, and implements software solutions that enable and empower logistics service providers to facilitate the movement and storage of goods and information. The company offers various software solutions for forwarding and customs, landside logistics, digital documents, transport and specialist warehouse management system, carrier and rates, and enterprise. WiseTech Global Limited was incorporated in 1994 and is based in Alexandria, Australia.

Income Statement (Annual)
Revenue
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Reconciled Cost Of Revenue - $111,288,608 $83,138,615 $63,631,611
Cost Of Revenue - $111,288,608 $83,138,615 $63,631,611
Total Revenue - $696,272,333 $540,731,964 $434,965,054
Operating Revenue - $696,272,333 $540,731,964 $434,965,054
Expenses
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Interest Expense - $10,560,721 $3,905,397 $1,926,146
Other Income Expense - $200,520 $-18,203,120 $-619,118
Other Non Operating Income Expenses - $200,520 $-17,474,996 $0
Net Non Operating Interest Income Expense - $-9,558,121 $463,352 $-1,857,355
Total Other Finance Cost - $735,240 $794,318 $894,282
Interest Expense Non Operating - $10,560,721 $3,905,397 $1,926,146
Operating Expense - $355,388,307 $259,940,559 $240,561,884
Selling And Marketing Expense - $60,423,365 $45,871,863 $34,395,465
General And Administrative Expense - $99,457,928 $71,753,391 $62,530,956
Total Expenses - - - -
Other Operating Expenses - - - -
Income & Earnings
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Net Income From Continuing Operation Net Minority Interest - $175,655,533 $140,461,896 $133,935,942
Net Interest Income - $-9,558,121 $463,352 $-1,857,355
Interest Income - $1,737,840 $5,163,067 $963,073
Normalized Income - $175,655,533 $140,975,212 $134,413,526
Net Income From Continuing And Discontinued Operation - $175,655,533 $140,461,896 $133,935,942
Net Income Common Stockholders - $175,655,533 $140,461,896 $133,935,942
Net Income - $175,655,533 $140,461,896 $133,935,942
Net Income Including Noncontrolling Interests - $175,655,533 $140,461,896 $133,935,942
Net Income Continuous Operations - $175,655,533 $140,461,896 $133,935,942
Pretax Income - $245,102,299 $199,241,426 $173,628,309
Interest Income Non Operating - $1,737,840 $5,163,067 $963,073
Operating Income - $229,595,417 $197,652,790 $130,771,559
Depreciation Amortization Depletion Income Statement - $24,864,482 $19,328,404 $45,333,223
Depreciation And Amortization In Income Statement - $24,864,482 $19,328,404 $45,333,223
Depreciation Income Statement - $24,864,482 $19,328,404 $15,753,123
Gross Profit - $584,983,724 $457,593,349 $371,333,443
Special Income Charges - - $-728,125 $-619,118
Amortization Of Intangibles Income Statement - - - $29,580,100
Total Operating Income As Reported - - - -
Per Share Metrics
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Diluted EPS $0.60 $0.53 $0.43 $0.41
Basic EPS $0.60 $0.53 $0.43 $0.41
Other
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Diluted Average Shares $332,200,000 $333,079,848 $328,482,972 $326,000,000
Basic Average Shares $332,200,000 $331,000,000 $327,500,000 $326,000,000
Tax Effect Of Unusual Items - $0 $-214,809 $-141,534
Tax Rate For Calcs - $0 $0 $0
Normalized EBITDA (Bullshit earnings) - $280,527,501 $223,203,352 $221,506,797
Reconciled Depreciation - $24,864,482 $19,328,404 $45,333,223
EBITDA (Bullshit earnings) - $280,527,501 $222,475,227 $220,887,678
EBIT - $255,663,019 $203,146,823 $175,554,455
Tax Provision - $69,446,765 $58,779,530 $39,692,367
Research And Development - $170,642,533 $122,986,900 $98,302,240
Selling General And Administration - $159,881,292 $117,625,254 $96,926,421
Other Gand A - $99,457,928 $71,753,391 $62,530,956
Total Unusual Items - - $-728,125 $-619,118
Total Unusual Items Excluding Goodwill - - $-728,125 $-619,118
Restructuring And Mergern Acquisition - - $728,125 $619,118
Amortization - - - $29,580,100
Diluted NI Availto Com Stockholders - - - -
Otherunder Preferred Stock Dividend - - - -
Fetched: 2026-02-02
Balance Sheet (Annual)
Assets
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Net Tangible Assets $-117,772,089 $-196,990,859 $243,519,894 $151,394,482
Total Assets $1,889,633,784 $1,762,922,561 $1,144,337,131 $1,051,797,199
Total Non Current Assets $1,668,460,207 $1,518,537,396 $725,400,363 $740,292,721
Other Non Current Assets $7,352,401 $5,295,453 $4,471,410 $3,982,088
Non Current Deferred Assets $7,419,241 $3,442,045 $6,535,138 $8,264,711
Non Current Deferred Taxes Assets $7,419,241 $3,442,045 $6,535,138 $8,264,711
Goodwill And Other Intangible Assets $1,597,208,761 $1,451,020,368 $661,218,425 $679,584,661
Other Intangible Assets $484,590,037 $424,364,380 $216,691,431 $204,739,436
Current Assets $221,173,577 $244,385,165 $418,936,767 $311,504,478
Other Current Assets $23,728,202 $45,143,738 $1,100,655 $676,204
Current Deferred Assets $3,943,560 $4,765,908 $8,805,239 $1,051,872
Current Deferred Taxes Assets $3,943,560 $4,765,908 $8,805,239 $1,051,872
Prepaid Assets $17,378,401 $16,614,484 $11,488,085 $12,021,398
Receivables $94,779,127 $82,145,718 $63,287,656 $57,777,845
Receivables Adjustments Allowances $-3,743,040 $-3,706,817 $-2,270,101 $-2,704,815
Accounts Receivable $98,522,167 $83,800,547 $62,806,120 $58,378,914
Cash Cash Equivalents And Short Term Investments $81,344,286 $95,715,316 $333,154,477 $237,798,281
Cash And Cash Equivalents $81,344,286 $94,656,226 $332,535,359 $236,671,275
Cash Financial $81,344,286 $94,656,226 $332,535,359 $236,671,275
Other Receivables - $2,051,988 $2,751,637 $2,103,745
Financial Assets - - $412,746 $300,535
Hedging Assets Current - - $1,100,655 $2,178,878
Non Current Prepaid Assets - - - $2,000,000
Taxes Receivable - - - $1,400,000
Allowance For Doubtful Accounts Receivable - - - $-3,600,000
Gross Accounts Receivable - - - $77,700,000
Debt
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Total Debt $69,780,965 $169,719,275 $23,044,962 $26,296,808
Long Term Debt And Capital Lease Obligation $62,629,085 $13,569,599 $16,509,823 $18,933,702
Long Term Debt $53,472,004 - - -
Current Debt And Capital Lease Obligation $7,151,881 $156,149,676 $6,535,138 $7,363,106
Net Debt - $54,278,395 - -
Current Debt - $148,934,621 - $0
Other Current Borrowings - $148,934,621 - -
Liabilities
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Total Liabilities Net Minority Interest $410,197,111 $505,781,973 $239,598,811 $220,818,056
Total Non Current Liabilities Net Minority Interest $193,167,615 $121,464,458 $96,995,212 $79,566,629
Other Non Current Liabilities $34,222,083 $20,056,529 $15,821,914 $12,021,398
Derivative Product Liabilities $66,840 $2,780,113 $5,572,065 $3,230,751
Non Current Deferred Liabilities $86,089,927 $77,512,196 $55,720,654 $43,802,969
Non Current Deferred Taxes Liabilities $86,089,927 $77,512,196 $55,720,654 $43,802,969
Current Liabilities $217,029,496 $384,317,515 $142,603,599 $141,251,428
Other Current Liabilities $88,362,487 $100,348,838 $45,883,551 $47,183,987
Current Deferred Liabilities $37,564,083 $36,803,400 $16,922,569 $25,019,535
Current Deferred Taxes Liabilities $16,041,601 $16,349,712 $8,323,703 $5,635,030
Payables And Accrued Expenses $55,343,524 $56,462,770 $51,937,153 $44,554,307
Payables $55,343,524 $56,462,770 $51,937,153 $44,554,307
Other Payable $20,854,082 $24,491,471 $21,118,816 $19,008,836
Accounts Payable $34,489,443 $31,971,299 $30,818,337 $25,545,471
Total Tax Payable - - - $15,400,000
Equity
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Common Stock Equity $1,479,436,672 $1,254,029,509 $904,738,319 $830,979,143
Total Equity Gross Minority Interest $1,479,436,672 $1,254,029,509 $904,738,319 $830,979,143
Stockholders Equity $1,479,436,672 $1,254,029,509 $904,738,319 $830,979,143
Gains Losses Not Affecting Retained Earnings $-18,514,681 $-22,240,903 $5,640,856 $-50,790,407
Other Equity Adjustments $-20,854,082 $-31,838,912 $27,516,372 $-20,286,109
Retained Earnings $587,323,125 $445,744,772 $350,764,955 $259,812,466
Other Equity Interest - - - $47,800,000
Other
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Ordinary Shares Number $333,447,000 $331,857,000 $326,346,000 $324,914,000
Share Issued $333,447,000 $331,857,000 $326,346,000 $324,914,000
Tangible Book Value $-117,772,089 $-196,990,859 $243,519,894 $151,394,482
Invested Capital $1,532,908,677 $1,402,964,130 $904,738,319 $830,979,143
Working Capital $4,144,080 $-139,932,351 $276,333,168 $170,253,050
Capital Lease Obligations $16,308,961 $20,784,654 $23,044,962 $26,296,808
Total Capitalization $1,532,908,677 $1,254,029,509 $904,738,319 $830,979,143
Foreign Currency Translation Adjustments $2,339,400 $9,598,009 $-21,875,516 $-30,504,298
Capital Stock $910,628,229 $830,525,640 $548,332,508 $621,957,084
Common Stock $910,628,229 $830,525,640 $548,332,508 $621,957,084
Employee Benefits $10,159,681 $7,546,021 $3,370,756 $1,577,808
Non Current Pension And Other Postretirement Benefit Plans $10,159,681 $7,546,021 $3,370,756 $1,577,808
Long Term Capital Lease Obligation $9,157,081 $13,569,599 $16,509,823 $18,933,702
Current Deferred Revenue $21,522,482 $20,453,688 $8,598,866 $19,384,504
Current Capital Lease Obligation $7,151,881 $7,215,055 $6,535,138 $7,363,106
Pensionand Other Post Retirement Benefit Plans Current $25,800,242 $23,829,539 $16,028,287 $15,552,684
Current Provisions $2,807,280 $10,723,293 $5,296,902 $1,577,808
Goodwill $1,112,618,725 $1,026,655,988 $444,526,994 $474,845,224
Net PPE $56,479,804 $58,779,530 $52,143,525 $48,160,726
Accumulated Depreciation $-88,295,647 $-71,951,970 $-56,683,727 $-50,489,872
Gross PPE $144,775,451 $130,731,501 $108,827,252 $98,650,598
Leases $8,555,521 $7,744,600 $7,223,048 $6,987,438
Other Properties $41,841,843 $41,569,308 $38,110,176 $38,393,340
Machinery Furniture Equipment $94,378,087 $81,417,593 $63,494,029 $53,269,820
Other Short Term Investments - $1,059,091 $619,118 $1,127,006
Investments And Advances - - $619,118 -
Other Investments - - $619,118 -
Treasury Shares Number - - - $1,978,217
Treasury Stock - - - $55,000,000
Buildings And Improvements - - - $9,300,000
Properties - - - $0
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Free Cash Flow
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Free Cash Flow $167,501,053 $157,936,891 $140,677,453 $90,761,556
Operating Activities
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Cash Flowsfromusedin Operating Activities Direct $299,911,103 $251,864,992 $210,981,784 $158,982,990
Classesof Cash Receiptsfrom Operating Activities $714,519,654 $568,400,707 $447,485,004 $402,416,301
Other Cash Receiptsfrom Operating Activities - $66,193 $68,791 -
Investing Activities
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Capital Expenditure $-132,410,050 $-93,928,101 $-70,304,331 $-68,221,434
Investing Cash Flow $-160,616,532 $-578,660,648 $-71,748,941 $-71,602,452
Cash Flow From Continuing Investing Activities $-160,616,532 $-578,660,648 $-71,748,941 $-71,602,452
Net Other Investing Changes $-66,840 - $-68,791 $100,000
Financing Activities
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Repurchase Of Capital Stock $-45,518,043 $-25,418,175 $-48,772,770 $-26,973,012
Issuance Of Capital Stock $45,451,203 $25,153,403 $48,703,979 $26,897,878
Financing Cash Flow $-150,724,211 $111,601,676 $-26,278,135 $-18,332,632
Cash Flow From Continuing Financing Activities $-150,724,211 $111,601,676 $-26,278,135 $-18,332,632
Net Other Financing Charges $-15,506,881 $-12,841,474 $-10,662,594 $-13,073,270
Cash Dividends Paid $-35,291,523 $-27,536,357 $-18,229,597 $-9,917,653
Common Stock Dividend Paid $-35,291,523 $-27,536,357 $-18,229,597 $-9,917,653
Net Common Stock Issuance $-66,840 $-264,773 $-68,791 $-75,134
Common Stock Issuance $45,451,203 $25,153,403 $48,703,979 $26,897,878
Other
Metric 2024-06-30 2023-06-30 2022-06-30 2021-06-30
Repayment Of Debt $-314,148,024 - - $0
Issuance Of Debt $217,230,017 $148,934,621 - -
Income Tax Paid Supplemental Data $55,076,164 $35,016,184 $22,632,216 $13,824,608
End Cash Position $81,344,286 $94,656,226 $332,535,359 $236,671,275
Beginning Cash Position $95,581,207 $319,977,759 $216,691,431 $168,074,172
Effect Of Exchange Rate Changes $-2,807,280 $-10,127,554 $2,889,219 $-450,802
Changes In Cash $-11,429,641 $-215,193,979 $112,954,708 $69,047,905
Interest Paid Cff $-10,694,401 $-3,111,079 $-2,682,846 $-1,803,210
Common Stock Payments $-45,518,043 $-25,418,175 $-48,772,770 $-26,973,012
Net Issuance Payments Of Debt $-96,918,007 $148,934,621 - $0
Net Long Term Debt Issuance $-96,918,007 $148,934,621 - $0
Long Term Debt Payments $-314,148,024 - - $0
Long Term Debt Issuance $217,230,017 $148,934,621 - -
Interest Received Cfi $1,737,840 $5,163,067 $963,073 $976,739
Net Business Purchase And Sale $-29,877,482 $-489,895,613 $-2,338,892 $-4,357,757
Purchase Of Business $-29,877,482 $-489,895,613 $-2,338,892 $-4,357,757
Net Intangibles Purchase And Sale $-115,700,049 $-75,923,560 $-51,868,362 $-55,974,635
Purchase Of Intangibles $-115,700,049 $-75,923,560 $-51,868,362 $-55,974,635
Net PPE Purchase And Sale $-16,710,001 $-18,004,541 $-18,435,969 $-12,246,799
Purchase Of PPE $-16,710,001 $-18,004,541 $-18,435,969 $-12,246,799
Taxes Refund Paid Direct $-55,076,164 $-35,016,184 $-22,632,216 $-13,824,608
Classesof Cash Payments $-359,532,387 $-281,519,530 $-213,871,003 $-229,608,703
Paymentsto Suppliersfor Goodsand Services $-359,532,387 $-281,519,530 $-213,871,003 $-229,608,703
Receiptsfrom Customers $714,519,654 $568,334,514 $447,416,213 $402,416,301
Other Cash Adjustment Outside Changein Cash - - - $-100,000
Fetched: 2026-02-02