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US · PYPL #487 by market cap Listed 2015
54.95 +0.34 +0.62%
Live - 5344 symbols - heartbeat 4s ago · 2026-10-08 06:33
Pre-market 54.56 -0.71%
After-hours 55.05 +0.19%
Overnight 54.79 -0.29%
Market cap
47.01B
P/B
2.37
EPS
5.41
Reader sentiment Are you bullish or bearish on PYPL?

Anonymous reader poll. Unscientific, not investment advice.

Analyst consensus 23 analysts

Hold
Avg price target 59.22 +7.8%
Price target rangecurrent 54.95
Low42.00
Avg59.22
High70.00
Buy 17% Hold 70% Sell 13%
Recent ratings (25)
DateFirmAnalystRatingTarget
2026-09-25 Deutsche Bank -- HOLD 55.00
2026-09-24 Wells Fargo -- HOLD 61.00
2026-09-04 UBS -- HOLD 61.00
2026-08-31 Clear Street -- HOLD 55.00
2026-08-28 RBC Capital -- BUY 70.00
2026-08-28 KBW -- BUY 70.00
2026-08-27 BTIG -- HOLD --
2026-08-25 Wolfe Research -- HOLD --
2026-08-20 Truist Financial -- HOLD 62.00
2026-08-19 Truist Financial -- HOLD 62.00
2026-08-05 Truist Financial -- HOLD 59.00
2026-07-31 Cantor Fitzgerald -- HOLD 60.00
2026-07-29 TD Cowen -- HOLD 59.00
2026-07-29 William Blair -- HOLD --
2026-07-29 UBS -- HOLD 61.00
2026-07-29 Mizuho Securities -- HOLD 60.00
2026-07-29 Morgan Stanley -- SELL 45.00
2026-07-29 Clear Street -- HOLD 61.00
2026-07-29 Citi -- HOLD 61.00
2026-07-29 J.P. Morgan -- HOLD 65.00
2026-07-29 Monness -- HOLD --
2026-07-29 KBW -- BUY 70.00
2026-07-28 Wells Fargo -- HOLD 56.00
2026-07-28 Argus Research -- BUY 70.00
2026-07-28 Wolfe Research -- HOLD --

Quant vs Street three independent views, side by side

StockVane factor grade
A-
Momentum strategy signal
Sell
Analyst consensus
Hold

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

Deteriorating
2 10
■ Upgrades■ Downgrades
  • 2 upgrades vs 10 downgrades among tracked analyst rating changes.
  • The single most recent change was actually an upgrade (Truist Financial moved from Sell to Hold on 2026-07-24), though the broader window skews toward downgrades.

Recent rating changes

DateFirmChangeTarget
2026-07-24 Truist Financial SELL → HOLD 57.00
2026-05-07 Macquarie BUY → HOLD 50.00
2026-04-16 Mizuho Securities BUY → HOLD 50.00
2026-02-04 Citizens JMP BUY → HOLD --
2026-02-04 CCORF BUY → HOLD 42.00
2026-01-05 Monness BUY → HOLD --
2025-12-22 Mizuho Securities SELL → BUY 75.00
2025-12-18 Morgan Stanley HOLD → SELL 51.00
2025-12-18 Mizuho Securities BUY → SELL 51.00
2025-12-12 Baird BUY → HOLD 66.00
2025-12-11 BofA Securities BUY → HOLD 68.00
2025-12-04 J.P. Morgan BUY → HOLD 70.00

Earnings history price reaction on the day

PeriodReport dateSessionOptions expectedActual move
2026/Q2 2026-07-28 -- ±7.91% +4.01% (in line)
2026/Q1 2026-05-05 -- ±8.61% -7.74% (in line)
2025/Q4 2026-02-03 -- ±8.48% -20.31% (beat)
2025/Q3 2025-10-28 -- ±7.89% +3.94% (in line)
2025/Q2 2025-07-29 -- ±7.71% -8.66% (beat)
2025/Q1 2025-04-29 -- ±8.31% +2.14% (in line)
2024/Q4 2025-02-04 -- ±8.22% -13.17% (beat)
2024/Q3 2024-10-29 -- ±9.00% -3.96% (in line)
2024/Q2 2024-07-30 -- ±8.31% +8.59% (beat)
2024/Q1 2024-04-30 -- ±9.85% +1.39% (in line)
2023/Q4 2024-02-07 After close ±9.19% -11.24% (beat)
2023/Q3 2023-11-01 After close ±9.39% +6.58% (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 06:33:47 · For reference only, not investment advice and not tailored to your situation.