Loading...
Buy now. WSBF is in a bullish technical structure (SMA_5 > SMA_20 > SMA_200 with a positive, expanding MACD histogram), options positioning is strongly skewed bullish (very low put/call), and the latest quarter (2025/Q4) shows strong YoY acceleration in revenue, EPS, and net income. With no negative news flow and earnings upcoming (2026-02-03), this setup favors upside continuation despite being near first resistance (~18.42).
Trend/structure: Bullish. Moving averages are stacked positively (SMA_5 > SMA_20 > SMA_200), which typically signals an established uptrend. Momentum: MACD histogram is positive (0.0378) and expanding, supporting ongoing upside momentum. RSI_6 at ~63.7 is neutral-to-slightly-warm (not overbought), implying room for continuation. Levels: Pivot 17.785 is the key line to hold for the bull case. Immediate resistance is R1 18.419 (price 18.29 is just below it). A clean push above ~18.42 would open a path toward R2 18.811. Key supports: S1 17.151 then S2 16.759. Near-term pattern stats: Similar-pattern study suggests mild weakness next day/week (-0.09% next day; -1.78% next week) but stronger 1-month upside bias (+13.84% next month), aligning with a “small dip then trend higher” profile.

Strong latest quarter (2025/Q
growth: revenue +18.58% YoY, net income +48.04% YoY, EPS +57.14% YoY.
Bullish technical trend (MA stack + positive MACD) supports continuation.
Call-skewed options open interest (put/call OI 0.
indicates bullish positioning.
Upcoming earnings (2026-02-03 after hours) can act as an upside catalyst if results/guide confirm momentum.
Price is just below first resistance (R1 18.42); a rejection here could cause a pullback toward the pivot (17.79).
No recent news flow: limited near-term narrative catalysts until earnings.
Pattern-based next-week bias is slightly negative (-1.78%), suggesting potential short-term chop/pullback risk before any larger move.
Latest reported quarter: 2025/Q4. Growth: Revenue rose to 34.998M (+18.58% YoY). Profitability accelerated sharply with net income 7.713M (+48.04% YoY) and EPS 0.44 (+57.14% YoY). This is a clear positive trend in operating performance and earnings power heading into the next earnings date (2026-02-03).
No analyst rating/price target change data was provided, so there is no observable recent trend in upgrades/downgrades or target revisions. With limited Street visibility in the dataset, the pro case rests on measurable fundamentals (strong 2025/Q4 growth) and technical strength; the con case is the lack of a clear consensus catalyst or fresh coverage into a nearby resistance area.
