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Walmart Inc.

Hold
WMTNASDAQEnglish
2026-08-192 reports
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As of the 2026-08-19 analysis date, the published Portfolio Manager rating for Walmart Inc. (WMT on NASDAQ) is Hold. This TradingAgents Report page is a research reference for that date only, not investment advice or a brokerage instruction.

Final five-tier rating from the Portfolio Manager. Not the intermediate Trader action.

Hold current position; use Q2 earnings on August 20 as the decisive catalyst for Overweight or Underweight action.

Conviction · MediumAs of · 2026-08-18Time horizon · 3-6 months
Reference price

115.2 USD

Stop or reduce

113 USD

Target price

116.88 USD

Price ladder

Low left, high right. Percents are versus the reference.

113.00 USD116.88 USD
Target price116.88 USD+1.5%
Reference price115.20 USDBaseline
Stop or reduce113.00 USD-1.9%
Bull case

WMT’s structural advantages—unmatched logistics scale, accelerating Walmart+ membership (40M+), $12.6B free cash flow, and favorable macro conditions (cooling inflation, resilient consumer spending)—support near-term momentum and long-term transformation into a tech-driven omnichannel leader.

Bear case

WMT trades at a stretched 40.58x P/E with $26.6B in CapEx consuming $14B more than FCF, rising net debt ($56.4B), and insider selling totaling ~$600M—signaling profit-taking at peak valuation and unproven ROI on micro-fulfillment and AI systems.

Key risk

A Q2 earnings miss, sequential FCF decline, or expanded CapEx guidance without clear ROI metrics would invalidate the constructive thesis and trigger immediate downside pressure.

Invalidation

Price closes decisively below $113.00 *and* Q2 report confirms deteriorating FCF/CapEx ratio (<0.7) and rising net debt.

What to watch

  • /Q2 EPS result vs. $0.74 consensus (beat ≥3% required for Overweight)
  • /Sequential FCF trend and FCF/CapEx ratio (sustainably >0.7 required)
  • /Q2 CapEx guidance update and any public ROI metrics for micro-fulfillment/AI

Analyst signals

Market analysis
Bullish

The long-term technical structure remains strongly bullish, supported by a MACD momentum reversal, sustained price above the 50-SMA, and a strong 1-month recommendation.

Sentiment analysis
Bullish

Strong institutional and retail sentiment building ahead of Walmart's Q2 earnings, with multiple sources highlighting potential for a beat-and-raise scenario.

News analysis
Bullish

Walmart is expected to beat Q2 2026 earnings estimates amid favorable macroeconomic conditions and low market expectations, creating potential for a post-earnings rally.

Fundamentals analysis
Neutral

Walmart Inc. exhibits strong operational resilience and consistent revenue growth, but its high P/E ratio of 40.58 and deteriorating free cash flow relative to capital expenditures suggest overvaluation relative to peers and cash-generation metrics.

Signal conflict: The Aggressive and Conservative Analysts present equally credible but irreconcilable interpretations of the same data; the Neutral Analyst’s condition-based framework resolves this by tying action to observable, time-bound outcomes from Q2 earnings.

About this report

Questions about this WMT research report

What is the Portfolio Manager rating for Walmart Inc. (WMT) on 2026-08-19?

As of 2026-08-19, TradingAgents Report publishes a Portfolio Manager rating of Hold for Walmart Inc. (WMT on NASDAQ). Decision brief headline: Hold current position; use Q2 earnings on August 20 as the decisive catalyst for Overweight or Underweight action. The rating is the final research assessment for that analysis date, not a buy or sell order.

Why does this WMT report include a bull and bear debate?

The bull and bear researchers argue opposing cases before the research and risk layers tighten the conclusion. Read both sides on this WMT page when you want the tension behind the final Portfolio Manager rating.

How is this public WMT page different from running research on the desk?

This WMT page is a published snapshot for a fixed analysis date. The research desk can run a fresh analysis with current inputs; the public page does not update automatically when markets change.

Should I compare this WMT report with earlier published dates?

Yes, when other public dates exist for WMT. Compare ratings and decision briefs across dates to see what changed, and keep each page's analysis date as its own data boundary.

For context, review the research method and the market-data and date-boundary guide.

Use these guides to interpret ratings, analysis dates, and evidence before relying on this report.