WeWork India Stock Forecast 2025-2026
Comprehensive Price Targets & Technical Analysis
Stock Overview
Company: WeWork India Management Ltd
Symbol: WEWORK (NSE)
Current Price: ₹643.10
Market Cap: ₹8.62K Cr | P/E Ratio: 60.36
52-week Range: ₹601.10 - ₹655.00
Price Target Forecast (Oct 2025 - Dec 2026)
| Time Frame | Upside Targets (₹) | Downside Targets (₹) | Probability |
|---|---|---|---|
| Short Term (Oct-Dec 2025) | 675 - 720 | 615 - 590 | 60% Upside / 40% Downside |
| Medium Term (Q1-Q2 2026) | 750 - 820 | 580 - 540 | 55% Upside / 45% Downside |
| Long Term (Q3-Q4 2026) | 880 - 950 | 520 - 480 | 50% Upside / 50% Downside |
Upside Price Targets
| Target Type | Price Level (₹) | Time Frame | Rationale |
|---|---|---|---|
| Conservative | 680 - 720 | Short Term | Based on P/E expansion to industry average |
| Moderate | 780 - 850 | Medium Term | Revenue growth continuation + margin improvement |
| Aggressive | 900 - 980 | Long Term | Market leadership position + operational efficiency gains |
Downside Price Targets
| Risk Scenario | Price Level (₹) | Time Frame | Rationale |
|---|---|---|---|
| Market Correction | 600 - 570 | Short Term | Broader market downturn impacting high P/E stocks |
| Growth Slowdown | 550 - 500 | Medium Term | Revenue growth deceleration below 10% |
| Operational Issues | 480 - 420 | Long Term | Significant occupancy decline or cost inflation |
Technical Levels
| Support Levels (₹) | Resistance Levels (₹) | Breakout Levels (₹) | Breakdown Levels (₹) |
|---|---|---|---|
| 630 (Immediate) | 655 (Immediate) | 660 (Short-term) | 620 (Short-term) |
| 610 (Strong) | 680 (Medium-term) | 685 (Medium-term) | 600 (Medium-term) |
| 590 (Major) | 720 (Strong) | 725 (Strong) | 580 (Strong) |
| 560 (Long-term) | 780 (Long-term) | 785 (Long-term) | 550 (Long-term) |
| 520 (Critical) | 850 (Critical) | 855 (Critical) | 500 (Critical) |
Strategic Trading Levels
| Action | Price Level (₹) | Rationale |
|---|---|---|
| Strong Buy | 610 - 630 | Near strong support with favorable risk-reward ratio |
| Strong Sell | 780 - 800 | Overvaluation zone with high P/E expansion |
| Profit Booking | 750 - 780 | Technical resistance + overbought conditions |
| Breakout Buy | Above 660 | Confirmation of uptrend with volume expansion |
| Breakdown Sell | Below 620 | Break of key support indicating trend reversal |
Expected Financial Performance 2026
Income Statement Projections
Revenue: ₹22.8B - 24.5B (+17-20%)
Operating Expense: ₹16.1B - 16.8B (+10-12%)
Net Income: ₹1.5B - 1.8B (+18-42%)
EBITDA: ₹6.9B - 7.5B (+17-28%)
Net Profit Margin: 6.8% - 7.4%
Balance Sheet Projections
Total Assets: ₹62B - 65B (+15-20%)
Total Liabilities: ₹57B - 59B (+10-14%)
Total Equity: ₹2.3B - 2.6B (+15-30%)
Cash & Equivalents: ₹750M - 900M
Price to Book: 35 - 40
Valuation Metrics
P/E Ratio: 55 - 65
P/S Ratio: 3.5 - 4.0
EV/EBITDA: 12 - 14
Return on Assets: 5.8% - 6.5%
Return on Capital: 7.0% - 8.0%
Pro Trading & Investment Tips
For Short-Term Traders (1-3 months)
Price Targets: ₹675 - 720 (Upside) / ₹615 - 590 (Downside)
Tips:
- Trade within ₹630-655 range with tight stop losses
- Buy near ₹630 support with target ₹655
- Sell short if breaks below ₹620 with target ₹600
- Use technical indicators (RSI, MACD) for entry/exit timing
For Medium-Term Investors (3-12 months)
Price Targets: ₹750 - 820 (Upside) / ₹580 - 540 (Downside)
Tips:
- Accumulate on dips below ₹630 for core portfolio
- Partial profit booking at ₹720-750 resistance zone
- Monitor quarterly results for growth sustainability
- Diversify with other real estate/office REIT stocks
For Long-Term Investors (1-2 years)
Price Targets: ₹880 - 950 (Upside) / ₹520 - 480 (Downside)
Tips:
- Systematic investment during market corrections
- Focus on company's occupancy rates and expansion plans
- Review competitive position in flexible office space
- Consider exit if P/E expands beyond 70 or growth slows below 10%
Frequently Asked Questions
Important Disclaimer
This analysis is for educational and informational purposes only and should not be considered as financial advice or recommendation to buy/sell any securities. The price targets and projections are based on current financial data, technical analysis, and market conditions, which can change anytime. The company's financial position and performance may also change, affecting stock valuations. Investors should conduct their own research, consider their risk tolerance, and consult with financial advisors before making investment decisions. Regular monitoring of investments, company performance, and relevant news is essential.
Note: Price targets are based on current financial data and market situations which can change anytime. Company financial position will also change, so regularly check your investments, trades, financial performance, and news related to the company.


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