Workday Inc. (WDAY)

Workday Inc. NASDAQ

$124.21 10.44 (9.18%)
At close: Jun 26, 4:00 PM EDT
AI Analyst Consensus
Hold
55 / 100

Workday Inc. (WDAY) is currently trading at $124.21, below key moving averages and exhibiting bearish momentum as indicated by its RSI and MACD. The company operates in the Software - Application industry within the Technology sector, a space characterized by robust growth but also intense competition from players like ORCL and SAP. Despite the current technical weakness, Workday continues to demonstrate solid revenue growth of 13.5%, underscoring its persistent demand in the enterprise cloud application market. However, a significant factor influencing sentiment is the substantial insider selling, primarily driven by DUFFIELD DAVID A. as part of a parent divestiture, which, while not necessarily a reflection of operational concerns, contributes to a cautious outlook.

The company's market capitalization stands at $30.68 billion, with a P/E ratio of 38.82 based on an EPS of $3.20. While this valuation is elevated compared to broader market averages, it is somewhat in line with the high-growth software sector. The current technical setup presents immediate challenges, but the underlying business fundamentals remain a key consideration for long-term investors.

Insiders are NET SELLERS with $0 in total purchases vs $679.5M in total sales across 153 transactions. However, 95% of total selling ($648.8M) comes from parent/institutional stake reductions by DUFFIELD DAVID A., which represents a corporate restructuring or divestiture - NOT a bearish signal from company management. Actual officer/director selling totals $30.8M. (Note: 414 older transactions beyond 18 months were excluded from this analysis.)

Price Analysis

Market Metrics

Open
$116.58
Day Range
$115.05 $125.21
Prev Close
$113.77

Peer Benchmarking

Valuation vs Sector (Technology)

Performance vs XLK

Sector Position Analysis
The stock's valuation metrics position it within the sector's competitive landscape, reflecting its market standing and growth trajectory relative to industry peers.

WDAY Analysis

Company's Health 3/5
AI Analyst Target +24.79% Upside
Target Price
$155.00
AI Technical Analysis Hold

Workday Inc. (WDAY) is currently exhibiting a bearish technical profile. The stock is trading below its 20-day EMA ($125.94), 50-day SMA ($127.66), and 200-day SMA ($176.77), indicating a downtrend across multiple timeframes. The Relative Strength Index (RSI) at 30.55 is in oversold territory, signaling potential for a short-term bounce, but the MACD at -3.89 suggests persistent downward momentum. The Commodity Channel Index (CCI) at -39.39 further reinforces the bearish sentiment.

Key support levels are being tested, with the current price of $124.21 hovering near recent lows. Resistance is expected around the 50-day SMA of $127.66 and the 20-day EMA of $125.94. Given the confluence of bearish indicators and price action below critical moving averages, the near-term outlook for WDAY remains cautious, with a potential for further downside pressure unless a significant shift in momentum occurs.

ProTips
  • Monitor insider transaction filings closely for any changes in selling patterns or the emergence of insider buying, as this could signal a shift in sentiment.
  • Given the bearish technicals, consider employing a tighter stop-loss strategy, potentially below the 50-day SMA, to mitigate downside risk.
  • The substantial insider selling, while framed as a parent divestiture, warrants caution. Investors should ensure they understand the strategic rationale behind these sales and monitor for any impact on operational execution.
Key Catalysts
Neutral Parent Company Stake Reduction

Insiders are NET SELLERS with $0 in total purchases vs $679.5M in total sales across 153 transactions. However, 95% of total selling ($648.8M) comes from parent/institutional stake reductions by DUFFIELD DAVID A., which represents a corporate restructuring or divestiture - NOT a bearish signal from company management. Actual officer/director selling totals $30.8M. (Note: 414 older transactions beyond 18 months were excluded from this analysis.)

Source: Insider Filings
Bearish Bearish Technical Momentum

Workday Inc. is trading below key moving averages (20-day EMA, 50-day SMA, 200-day SMA) with a bearish RSI and MACD, indicating a negative short-to-medium term outlook for the stock.

Source: Technical Analysis
Bullish Potential for Oversold Bounce

The current RSI of 30.55 suggests the stock is oversold, which could lead to a short-term technical bounce if buying interest emerges.

Source: Technical Analysis
Neutral Sustained Revenue Growth

Workday Inc. continues to report solid revenue growth of 13.5%, demonstrating ongoing demand for its enterprise cloud solutions and underpinning its fundamental value.

Source: Company Financials
Market Outlook

The base case scenario for Workday Inc. If the stock can break above its key resistance levels, particularly the 50-day SMA ($127.66), it could signal a shift towards a more positive trend, potentially targeting previous highs. A valuation around $155.00, aligning with the median analyst target price, appears achievable if the company can demonstrate sustained revenue growth and manage its operational costs effectively.

Upside potential could be unlocked by stronger-than-expected earnings reports, significant new contract wins, or positive developments in the broader cloud enterprise software market. Conversely, continued bearish technical momentum, increased insider selling, or intensified competitive pressures could push the stock lower, potentially testing support levels near $110.00. Investors should closely monitor insider activity and technical chart patterns for directional cues.

Insiders are NET SELLERS with $0 in total purchases vs $679.5M in total sales across 153 transactions. However, 95% of total selling ($648.8M) comes from parent/institutional stake reductions by DUFFIELD DAVID A., which represents a corporate restructuring or divestiture - NOT a bearish signal from company management. Actual officer/director selling totals $30.8M. (Note: 414 older transactions beyond 18 months were excluded from this analysis.)

Key Statistics

Market Cap 30.68B
P/E Ratio 38.82
EPS (TTM) 3.20
Dividend Yield 0.00%
52 Week High 249.85
52 Week Low 110.36

Workday Inc. (WDAY) presents a mixed fundamental picture. Its P/E ratio of 38.82, while high, is somewhat justifiable within the context of the Software - Application industry, where growth expectations often command premium valuations. The company's revenue growth of 13.5% demonstrates continued expansion, though it lags behind some sector averages. The EPS of $3.20 indicates profitability, but the high P/E suggests that future growth is heavily priced in.

Compared to sector averages (P/E: 45.20, Revenue Growth: 15.00%), Workday's valuation is slightly more conservative on a P/E basis but shows slower revenue growth. The lack of dividend yield means that returns are solely dependent on capital appreciation. Investors should consider the company's ability to sustain its growth trajectory and maintain its market position against competitors like ORCL and SAP to justify its current valuation.

Earnings & Growth Analysis

While specific recent earnings data (EPS beat/miss, forward guidance) is not provided in the current dataset, Workday Inc.'s reported EPS of $3.20 and revenue growth of 13.5% suggest a company that is expanding its top line and remains profitable. Investors should look to recent quarterly reports for detailed insights into customer acquisition, subscription renewals, and management's outlook on future revenue streams and profitability margins. The sustained revenue growth indicates a healthy demand for its cloud-based enterprise solutions.

Key Risks

The primary risks for Workday Inc. include significant insider selling, which, despite the 'parent divestiture' narrative, can weigh on investor sentiment and signal potential future selling pressure. Additionally, the stock's current bearish technical setup, with prices trading below key moving averages and exhibiting weak momentum indicators, poses a risk of further price depreciation in the short term. Competition within the enterprise software market from established players like ORCL and SAP also presents an ongoing challenge to market share and pricing power.

Technical Indicators i

RSI (14) 30.55
MACD -3.89
SMA 50 127.66
SMA 200 176.77
Technical Rating Bearish
RSI
Bearish
SMA Cross
Bearish
Price vs SMA
Bearish
MACD
Bearish
Moving averages show a lagging Death Cross (50-day: $127.66, 200-day: $176.77), price is trading below the 50-day SMA.

Actionable Trade Plans

Specific entry, exit, and risk management levels

Select Your Trade Bias
Risk Tolerance
Conservative 2% Aggressive
Portfolio Value
$
Position Size: Enter portfolio size →

Entry Strategies (click to switch)

CONSERVATIVE
$127.66
Above 50 SMA resistance (Breakout entry)
Lower risk, wait for pullback
AGGRESSIVE
$124.21
At or near current price
Higher risk, immediate entry

Risk Management

STOP LOSS
$110.75
MAX LOSS
-13.2%
Volatility-Adjusted Stop Loss
Calculated based on RSI (30.6) and current market volatility

Profit Targets (Based on Conservative Entry)

TARGET 1
$134.04
+5% (Conservative)
+7.9% (Aggressive)
TARGET 2
$140.42
+10% (Conservative)
+13.1% (Aggressive)
TARGET 3
$146.81
+15% (Conservative)
+18.2% (Aggressive)
Consider scaling out: Take 50% profit at Target 1, 30% at Target 2, let 20% run to Target 3
⚠️ High-Volatility Risk Disclaimer
WDAY is classified as a high-volatility asset (Daily Vol: 4.36%). Aggressive price swings can lead to rapid capital loss. Liquidity risks may prevent exiting trades at desired prices. This AI-generated analysis is for educational purposes only and is not financial advice. Generated on June 27, 2026.

Growth of $10,000

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Monte Carlo Projection (10yr)

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WDAY
124.21
9.18%
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Risk & Volatility i

Risk Level
Daily Volatility
4.36%
30-day average
Risk Considerations
Monitor position sizing
Set appropriate stop-loss
Diversify holdings

Market Correlations

How this stock moves relative to other assets

Based on 1 year of daily price data. Correlations may vary over different time periods.

Check Custom Correlation

Risk & Volatility i

Risk Level Very High
Daily Volatility
4.36%
30-day average
52-Week Range
$110.36 13% from low $249.85
Risk Considerations
Monitor position sizing based on current volatility levels
Consider stop-loss placement beyond recent price range
Diversification helps mitigate single-stock risk exposure

Insider Trading Analysis

Source: SEC Form 4
Bought
$0.00
0 Transactions
Sold
$679.5M
71 Transactions
Insiders
20
Active Traders
$
Avg Transaction
$9.6M
Large trades
Date Insider Type Shares Value

Frequently Asked Questions

Workday Inc. is trading below its 200-day moving average due to a combination of bearish technical momentum, indicated by its RSI and MACD, and significant insider selling activity. This suggests a prevailing negative sentiment in the market regarding the stock's near-term prospects.
The substantial selling by DUFFIELD DAVID A., identified as a parent divestiture, represents a significant portion of insider transactions. While the narrative suggests corporate restructuring rather than a lack of confidence, such large-scale divestitures can create downward pressure on the stock price and warrant close observation for any follow-on effects.
Workday Inc.'s P/E ratio of 38.82 is below the sector average of 45.20 for Software - Application companies. This suggests that, on a valuation basis, WDAY might be considered relatively more attractive than some of its peers, assuming similar growth prospects.
An RSI at 30.6 for Workday Inc. indicates that the stock is in oversold territory. Historically, this level can precede a short-term price bounce or reversal, although it does not guarantee a recovery and should be considered alongside other technical and fundamental indicators.
Based on the provided data, there are no immediate strong bullish catalysts. The technical indicators are bearish, and insider activity is dominated by selling. Any potential upside would likely stem from a significant shift in market sentiment or a strong upcoming earnings report.
Key risks for Workday Inc. include its bearish technical setup, substantial insider selling, and intense competition within the enterprise software market. These factors could lead to continued price pressure and hinder potential upside.
Workday Inc.'s revenue growth of 13.5% is solid but slightly below the sector average of 15.00%. While demonstrating continued expansion, this suggests that the company may be facing challenges in outperforming the broader industry growth rate.