CLF CLEVELAND-CLIFFS INC.
Price Chart
Executive Summary
Morgan Stanley upgraded Cleveland-Cliffs (CLF) from Equal-Weight to Overweight on Jan 9, 2026, raising its price target to $17 from $12.80 — a 33% increase in target and 55% upside from the current $10.99. The call is contrarian: 13 of 22 analysts rate CLF Hold, 7 are Sell/Strong Sell, and only 2 are Buy. Morgan Stanley's accuracy on CLF is just 33% (3 of 9 calls), below the peer average, and its average return of +1.4% is middling. Consensus mean target is $10.67, implying slight downside, making Morgan Stanley's $17 target the highest on the Street. EPS estimates for FY2026 have been revised down 3 times in 30 days, and the current quarter (0q) EPS consensus of -$0.20 is deteriorating. Short interest is elevated at 55.3% of float, suggesting crowded bearish positioning. Institutional flows are mixed: Two Sigma and Renaissance doubled stakes, while Bank of America and Wells Fargo trimmed. No insider or congressional trades were recorded. The upgrade is a bold contrarian bet on steel policy, but the firm's weak track record and deteriorating earnings revisions temper conviction.
Impact Score
Consensus & Targets
Of 22 analysts covering CLF: 0 Strong Buy, 2 Buy (9%), 13 Hold (59%), 6 Sell (27%), 1 Strong Sell (5%). Consensus is heavily tilted toward Hold/Sell, making Morgan Stanley's upgrade a clear outlier. The 2 Buy ratings are the only bullish voices on the Street.
Current price: $10.99. Consensus mean target: $10.67 (implies -2.9% downside). Median: $10.00. High: $15.00 (pre-Morgan Stanley). Low: $8.00. Morgan Stanley's $17 target is 59% above the mean and 13% above the prior high — the most bullish on the Street. The implied upside of +55% is massive but isolated.
Recent Analyst Activity
| Date | Firm | Action | Rating | Price Target |
|---|---|---|---|---|
| 2026-04-21 | Morgan Stanley | maintain | Overweight | $12.00 |
| 2026-04-14 | JP Morgan | maintain | Neutral | $10.00 |
| 2026-03-19 | Wells Fargo | maintain | Equal-Weight | — |
| 2026-03-16 | GLJ Research | reiterate | Sell | — |
| 2026-02-10 | Citigroup | maintain | Neutral | $13.00 |
| 2026-02-10 | GLJ Research | maintain | Sell | $9.42 |
| 2026-01-23 | Seaport Global | downgrade | Neutral | — |
| 2026-01-13 | GLJ Research | maintain | Sell | $9.52 |
| 2026-01-09 | Morgan Stanley | upgrade | Overweight | $17.00 |
| 2026-01-07 | Keybanc | downgrade | Sector Weight | — |
30-day analyst activity: 0 upgrades, 0 downgrades (excluding this one). EPS revisions are negative: FY2026 EPS estimates revised down 3 times in 30 days (from $0.735 to $0.463). Current quarter (0q) EPS consensus fell from -$0.07 to -$0.20 in 30 days. The fundamental trend is deteriorating, conflicting with the bullish upgrade.
Firm Track Record — Morgan Stanley
Morgan Stanley accuracy: 55% on 4993 calls | avg return: 4.3%
Industry benchmark: mean 51% ± 11%. Top tier: ≥61% (mean + 1σ). Based on 11 firms with ≥5 scored calls.
| Firm | Accuracy | Calls | Avg Return | vs Average |
|---|---|---|---|---|
| Keybanc | 100% | 3/3 | 12.5% | top tier |
| Citigroup | 100% | 4/4 | 15.6% | top tier |
| B of A Securities | 67% | 2/3 | 0.5% | top tier |
| Wells Fargo | 50% | 2/4 | 3.7% | below average |
| JP Morgan | 50% | 2/4 | -7% | below average |
| Goldman Sachs | 40% | 2/5 | -0.7% | below average |
| B. Riley Securities | 33% | 1/3 | 7.6% | below average |
| Morgan Stanley | 33% | 3/9 | 1.4% | below average |
| GLJ Research | 29% | 2/7 | -8.1% | below average |
| Jefferies | 0% | 0/2 | 26.1% | below average |
Morgan Stanley has a 55% overall accuracy rate on 4,993 calls with a +4.3% average return, but on CLF specifically it is 33% (3 of 9) with a +1.4% average return — below average vs. peers. Best CLF firm: Keybanc (100% on 3 calls, +12.5% avg return) but Keybanc downgraded CLF to Sector Weight on Jan 7. Worst: Seaport Global (0% on 3 calls, -22.2% avg return). Morgan Stanley's CLF record is weak, reducing the upgrade's credibility.
Earnings Estimates
| Period | EPS Est. | EPS Range | Revenue | Revisions (7d) |
|---|---|---|---|---|
| 0y | $-0.43 | $-0.66 — $-0.28 | $20.6B | ↑1 ↓0 |
| +1y | $0.46 | $0.16 — $0.56 | $21.1B | ↑1 ↓0 |
| +1q | $0.11 | $0.04 — $0.19 | $5.4B | ↑1 ↓0 |
| 0q | $-0.20 | $-0.30 — $-0.14 | $5.2B | ↑0 ↓0 |
Cross-Platform Signals
Insider trades: none recorded. Congressional trades: none. Institutional flows are mixed: Two Sigma (+254%) and Renaissance (+123%) added heavily, but Bank of America (-37%) and Wells Fargo (-46%) trimmed. Short interest is 55.3% of float — extremely high, suggesting a crowded short that could fuel a squeeze if the upgrade gains traction. The institutional divergence (smart money buying vs. banks trimming) and high short interest create a mixed signal that partially aligns with the upgrade's contrarian nature.
Actionable Insight
Morgan Stanley's upgrade is a high-conviction contrarian call on steel policy, but its weak CLF track record and deteriorating EPS revisions argue against aggressive positioning. Traders should treat this as a tactical catalyst for a potential short squeeze given 55% short interest, but avoid sizing up until earnings or policy catalysts confirm the thesis.
Documents Analyzed
Report based on filing metadata.
Filters
| Type | Now | ||||
|---|---|---|---|---|---|
|
May 16, 2026
4d ago
|
ANALYST-UPGRADE
| $12.59 awaiting T+20 | awaiting T+20 | — | $10.47 (−16.88%) |
|
Apr 20, 2026
4w ago
|
8-K
| $9.73 $10.66 | ▼ −9.56% | ▼ −5.36% | $10.47 (−7.55%) |
|
Apr 16, 2026
4w ago
|
ANALYST-UPGRADE
| $9.72 $10.99 | ▲ +13.07% | ▲ +7.25% | $10.47 (+7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-DOWNGRADE
| $9.72 $10.99 | ▼ −13.07% | ▼ −7.25% | $10.47 (−7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-UPGRADE
| $9.72 $10.99 | ▲ +13.07% | ▲ +7.25% | $10.47 (+7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-UPGRADE
| $9.72 $10.99 | ▲ +13.07% | ▲ +7.25% | $10.47 (+7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-UPGRADE
| $9.72 $10.99 | ▲ +13.07% | ▲ +7.25% | $10.47 (+7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-UPGRADE
| $9.72 $10.99 | ▲ +13.07% | ▲ +7.25% | $10.47 (+7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-DOWNGRADE
| $9.72 $10.99 | ▼ −13.07% | ▼ −7.25% | $10.47 (−7.66%) |
|
Apr 16, 2026
4w ago
|
ANALYST-UPGRADE
| $9.72 $10.99 | ▲ +13.07% | ▲ +7.25% | $10.47 (+7.66%) |
US Market Status
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