15 years of revenue, profit, cash flow and balance-sheet history through FY2025,
from SEC filings — with a computed, factual read of the trend.
Updated Overview →
Growth & profitability
Revenue has grown 48.8% per year over the past 5 years.
Operating margin has contracted, at -1.8% in the latest year.
Free cash flow has declined 2.3% per year over the past 5 years.
Financial health
Total debt has grown slower than revenue (-33.0% vs 48.8% per year).
Operating income covered interest expense -13.8× in the latest year, down from 11× 5 years ago.
Revenue & net income
RevenueNet income
Margins (gross / operating / net)
GrossOperatingNet
Free cash flow (CFO − capex)
Free cash flow
Cash vs total debt
CashTotal debt
Cash flow: operating / investing / financing
OperatingInvestingFinancing
Key annual figures
FY
Revenue
Net income
Gross M
Op M
FCF
Total debt
Cash
2025
$151M
-$3M
14.0%
-1.8%
$5M
—
$10M
2024
$143M
-$2M
13.3%
-1.3%
$2M
—
$7M
2023
$106M
-$4M
14.8%
-3.5%
$417046
—
$7M
2022
$94M
-$24M
15.5%
-20.9%
$6M
—
$8M
2021
$87M
$341096
18.7%
0.7%
-$1M
—
$6M
2020
$21M
$10M
99.1%
15.6%
$6M
—
$16M
2019
$102M
$226255
17.1%
0.9%
$5M
—
$7M
2018
$84M
-$1M
18.2%
-0.2%
-$2M
$495580
$2M
2017
$76M
-$4M
18.0%
-4.6%
-$4M
$281607
$5M
2016
—
-$4M
—
—
$2M
$511145
$9M
2015
—
-$5M
—
—
-$3M
$1M
$8M
2014
—
-$8M
—
—
-$3M
$4M
$13M
2013
—
-$2M
—
—
-$2M
$4M
$0
2012
—
$832301
—
—
$683917
$6M
$2M
2011
—
$246866
—
—
$994912
$8M
$2M
Revenue & net income
RevenueNet income
Margins (gross / operating / net)
GrossOperatingNet
Free cash flow (CFO − capex, quarterly)
Free cash flow
Cash vs total debt
CashTotal debt
Cash flow: operating / investing / financing
OperatingInvestingFinancing
Key quarterly figures
Quarter
Revenue
Net income
Gross M
Op M
FCF
Total debt
Cash
Mar '26
$41M
$76960
13.8%
-0.1%
-$1M
—
$11M
Dec '25
$42M
-$849405
13.8%
-1.9%
-$270009
—
$10M
Sep '25
$36M
-$559185
14.6%
-1.3%
$6M
—
$12M
Jun '25
$38M
-$618459
13.5%
-1.9%
$3M
—
$7M
Mar '25
$34M
-$724063
14.3%
-2.4%
-$3M
—
$4M
Dec '24
$38M
-$356406
12.6%
-0.8%
$2M
—
$7M
Sep '24
$35M
-$425210
13.6%
-1.3%
$2M
—
—
Jun '24
$36M
-$499553
13.6%
-1.3%
-$1M
—
—
Mar '24
$34M
-$653110
13.6%
-1.9%
-$2M
—
—
Dec '23
$28M
-$1M
14.3%
-4.4%
-$1M
—
$7M
Sep '23
$26M
-$921114
15.1%
-3.2%
$751005
—
—
Jun '23
$27M
-$842073
14.6%
-2.7%
$4M
—
—
Mar '23
$25M
-$951479
15.1%
-3.5%
-$3M
—
$5M
Dec '22
$23M
-$9M
15.3%
-3.2%
$3M
—
$8M
Sep '22
$25M
-$540883
15.0%
-2.4%
-$987634
—
$5M
Jun '22
$23M
-$14M
14.4%
-76.4%
$1M
—
$7M
Mar '22
$22M
-$392897
17.4%
-3.1%
$3M
—
$7M
Dec '21
$24M
-$574481
16.3%
-3.3%
-$5M
—
$6M
Sep '21
$22M
$534884
16.5%
3.6%
$4M
—
$18M
Jun '21
$20M
-$204731
20.0%
-0.3%
-$1M
—
$15M
Valuation over time
How the market has priced WYY against its own fundamentals since 2023-03 —
each month-end's share price set against the most recent annual filing, so the multiple moves
as price runs ahead of (or behind) earnings. Split-adjusted.
The price-to-sales ratio has risen from 0.2× (Mar '23) to 1.3× (Jun '26).
Price / sales (P/S)
P/S
Frequently asked questions
Is WYY growing its revenue and profit?
Over the past 5 years, WIDEPOINT CORP's revenue has grown 48.8% per year. These are computed facts, not advice.
How much debt does WYY have?
As of FY2025, WIDEPOINT CORP reported — of total debt against $10M of cash; operating income covered interest expense -13.8×.
What is WYY's profit margin?
In FY2025, gross margin was 14.0%, operating margin -1.8%, and net margin -1.8%.
Where does this data come from?
All figures are extracted from the company’s SEC EDGAR/XBRL filings — 10-K annual reports and 10-Q quarterly reports (use the Annual / Quarterly toggle). Quarterly figures are derived from the as-filed statements (year-to-date amounts are differenced into discrete quarters). Growth rates and ratios are computed by tradmap; nothing here is investment advice.
Source: SEC EDGAR / XBRL (10-K + 10-Q filings) · prices EOD (Databento), corporate-action-adjusted ·
growth rates, valuation multiples & ratios computed by tradmap. Valuation uses each month-end price
against the latest annual filing. Informational only — not investment advice.