Both in Packaged Software

Q2 Holdings vs Workiva

Over the past year QTWO returned −25.5% and WK returned −23.5%; their daily moves had a correlation of 0.67.

QTWO −25.5% WK −23.5%Growth of $1, one year, split-adjusted
MetricQTWOWK
Price$55.12$65.15
Market cap$3.44B$3.55B
Today+0.04%−4.46%
1 month−15.4%−17.7%
6 months+18.3%+11.0%
Year to date−23.6%−24.5%
1 year−26.4%−24.1%
Revenue growth (YoY)+12.6%+18.6%
Gross margin59.2%80.4%
Net margin13.6%5.3%
P/E (TTM)37.4×75.4×
Price / sales4.1×3.7×
Net cash$106.4M$33.1M
Dividend yield——
Volatility (60d)34.5%50.0%
Short % of float8.6%7.5%
Next earnings——

Shading marks the stronger figure where one clearly exists (lower is better for valuation and volatility).

QTWO vs WK: Q2 Holdings vs Workiva Stock Comparison | Gainbot