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Newell Brands

US · NWL #2689 by market cap Listed 1970
5.72 +0.17 +3.06%
Live - 5344 symbols - heartbeat 301s ago · 2026-10-08 04:05
Pre-market 5.66 -0.99%
After-hours 5.76 +0.73%
Market cap
2.44B
P/B
0.99
EPS
-0.68
Reader sentiment Are you bullish or bearish on NWL?

Anonymous reader poll. Unscientific, not investment advice.

Analyst consensus 6 analysts

Buy
Avg price target 7.04 +23.1%
Price target rangecurrent 5.72
Low5.50
Avg7.04
High11.00
Buy 50% Hold 33% Sell 17%
Recent ratings (25)
DateFirmAnalystRatingTarget
2026-09-09 Barclays -- BUY 7.00
2026-08-06 Morgan Stanley -- SELL 5.75
2026-08-04 Barclays -- BUY 7.00
2026-08-03 CCORF -- BUY 11.00
2026-08-03 Deutsche Bank -- HOLD 6.00
2026-08-03 J.P. Morgan -- BUY 7.00
2026-07-31 Barclays -- BUY 7.00
2026-07-22 CCORF -- BUY 9.00
2026-07-21 Barclays -- BUY 7.00
2026-07-16 J.P. Morgan -- BUY 7.00
2026-07-15 Citi -- HOLD 5.50
2026-07-14 Citi -- HOLD 5.50
2026-06-17 CCORF -- BUY 9.00
2026-05-04 CCORF -- BUY 9.00
2026-05-04 Citi -- HOLD 4.75
2026-05-01 Barclays -- BUY 5.00
2026-04-16 CCORF -- BUY 9.00
2026-04-13 Barclays -- BUY 5.00
2026-04-09 RBC Capital -- HOLD 4.00
2026-04-07 UBS -- HOLD 3.75
2026-03-17 CCORF -- BUY 8.00
2026-02-27 Citi -- HOLD 5.00
2026-02-23 Barclays -- BUY 6.00
2026-02-10 Barclays -- BUY 6.00
2026-02-09 UBS -- HOLD 5.00

Quant vs Street three independent views, side by side

Momentum strategy signal
Hold
Analyst consensus
Buy

Signals diverge - worth digging into why.

Not investment advice. The factor grade ranks this stock on fundamentals against StockVane's covered universe; the momentum strategy signal is a rules-based backtest, not a recommendation; analyst consensus reflects sell-side coverage. The three use different methods and can reasonably disagree.

Price target trend monthly average, last 3 years

✦ Quant Analyst Revision Trend how this is computed

Mixed
1
■ Upgrades■ Downgrades
  • 0 upgrades vs 1 downgrade among tracked analyst rating changes.
  • Most recent: Morgan Stanley moved from Hold to Sell on 2026-08-06.

Recent rating changes

DateFirmChangeTarget
2026-08-06 Morgan Stanley HOLD → SELL 5.75

Earnings history price reaction on the day

PeriodReport dateSessionOptions expectedActual move
2026/Q2 2026-07-31 -- ±14.13% +8.95% (in line)
2026/Q1 2026-05-01 -- ±16.54% +11.52% (in line)
2025/Q4 2026-02-06 -- ±16.70% +2.43% (in line)
2025/Q3 2025-10-31 -- ±15.15% -27.97% (beat)
2025/Q2 2025-08-01 -- ±21.14% -15.15% (in line)
2025/Q1 2025-04-30 -- ±22.42% -7.54% (in line)
2024/Q4 2025-02-07 -- ±14.87% -26.42% (beat)
2024/Q3 2024-10-25 -- ±18.01% +21.59% (beat)
2024/Q2 2024-07-26 -- ±17.93% +40.54% (beat)
2024/Q1 2024-04-26 -- ±15.00% +12.25% (in line)
2023/Q4 2024-02-09 -- ±15.61% -18.93% (beat)
2023/Q3 2023-10-27 -- ±16.90% -9.88% (in line)

"Options expected" is the pre-earnings options market's implied move (a straddle-style estimate), shown next to what actually happened.

Quote time 2026-10-08 04:05:41 · For reference only, not investment advice and not tailored to your situation.