GILD GILEAD SCIENCES, INC.
Price Chart
Executive Summary
Gilead Sciences (GILD) received an upgrade from Truist Securities on August 8, 2025, moving from Hold to Buy with a price target of $127, up from $108. The upgrade is part of a cluster of 14 firms taking action on GILD. Truist has a perfect 100% accuracy on 4 rated calls with an average return of 9.7%, placing it among top-tier firms. The broader consensus is strongly bullish: 31 of 39 analysts rate it Buy (79%), 8 Hold, 0 Sell. The mean price target is $158.36, the median $160.5, with a high of $180 and low of $123. Current price at $130.84 offers 21% upside to the mean target, though Truist's $127 target is below the current price. Over the past 30 days, earnings have seen mixed revisions: longer-term +1y EPS estimates saw 8 upward and 6 downward revisions, while current fiscal year estimates have 4 up and 12 down. Insider selling has been heavy, with multiple executives selling shares worth over $3M combined in the last two months. Short interest stands at 56.1%, indicating high bearish sentiment. Despite the upgrade, the negative signals from insiders and shorts suggest caution.
Impact Score
Consensus & Targets
The consensus among 39 analysts is strongly bullish: 11 Strong Buy, 20 Buy, 8 Hold, 0 Sell, 0 Strong Sell. That's 79% Buy-equivalent ratings, with no sell-side recommendations. The bullish consensus is a significant driver for the stock.
Current price $130.84. Mean PT $158.36, median $160.5, high $180, low $123. Implied upside to mean is 21%. Truist's PT of $127 sits at the low end of the range and is actually 3% below the current price, contrasting with the bullish consensus.
Recent Analyst Activity
| Date | Firm | Action | Rating | Price Target |
|---|---|---|---|---|
| 2026-04-13 | Citigroup | maintain | Buy | $165.00 |
| 2026-04-10 | Morgan Stanley | maintain | Overweight | $175.00 |
| 2026-03-10 | Jefferies | initiate | Buy | $180.00 |
| 2026-02-23 | Needham | reiterate | Buy | $170.00 |
| 2026-02-20 | Barclays | initiate | Equal-Weight | $155.00 |
| 2026-02-11 | RBC Capital | maintain | Sector Perform | $118.00 |
| 2026-02-11 | Truist Securities | maintain | Buy | $152.00 |
| 2026-02-11 | Wells Fargo | maintain | Overweight | $165.00 |
| 2026-02-11 | Cantor Fitzgerald | maintain | Overweight | $155.00 |
| 2026-02-11 | Scotiabank | maintain | Sector Outperform | $177.00 |
Over the past 30 days, there have been 0 upgrades and 0 downgrades, indicating no recent rating momentum. EPS revision trends are mixed: for the current quarter (0q), 5 up and 6 down; for the next quarter (+1q), 3 up and 6 down; for the current fiscal year (0y), 4 up and 12 down; for the +1y period, 8 up and 6 down. Near-term estimates are being revised lower, while longer-term projections show slight upward momentum.
Firm Track Record — Truist Securities
Truist Securities accuracy: 55% on 3795 calls | avg return: 3.1%
Industry benchmark: mean 51% ± 11%. Top tier: ≥61% (mean + 1σ). Based on 15 firms with ≥5 scored calls.
| Firm | Accuracy | Calls | Avg Return | vs Average |
|---|---|---|---|---|
| Truist Securities | 100% | 4/4 | 9.7% | top tier |
| TD Cowen | 100% | 2/2 | 16.2% | top tier |
| Citigroup | 100% | 2/2 | 8.3% | top tier |
| UBS | 100% | 3/3 | 11.5% | top tier |
| Mizuho | 100% | 2/2 | 16.8% | top tier |
| RBC Capital | 93% | 13/14 | 14.9% | top tier |
| Needham | 89% | 8/9 | 12.2% | top tier |
| BMO Capital | 86% | 6/7 | 7.6% | top tier |
| JP Morgan | 86% | 6/7 | 6% | top tier |
| Cantor Fitzgerald | 86% | 6/7 | 17.9% | top tier |
Truist Securities has a 100% accuracy on 4 rated calls on GILD, with an average return of 9.7%, placing it in the top tier among covering firms. However, the small sample size (4) limits statistical significance. Other top performers include TD Cowen (100% on 2 calls, 16.2% avg return), Citigroup (100% on 2 calls, 8.3%), and UBS (100% on 3 calls, 11.5%). The worst-performing among those with sufficient data is Wells Fargo (67% on 6 calls, 7.9% avg return).
Earnings Estimates
Next earnings: May 7, 2026
| Period | EPS Est. | EPS Range | Revenue | Revisions (7d) |
|---|---|---|---|---|
| +1y | $9.62 | $8.25 — $10.66 | $32.0B | ↑3 ↓0 |
| 0q | $1.91 | $1.74 — $2.06 | $6.9B | ↑2 ↓0 |
| +1q | $1.94 | $-1.05 — $2.49 | $7.4B | ↑1 ↓0 |
| 0y | $8.55 | $5.81 — $8.92 | $30.2B | ↑2 ↓0 |
Cross-Platform Signals
Insider trading shows heavy selling: executives sold over $3.5M in shares in the past two months, including CEO O'Day and CFO Dickinson. There are no congressional trades on record. Institutional activity is mixed: Norges Bank initiated a large new position ($2.6B) but also exited a previous position; Two Sigma initiated; Renaissance Technologies trimmed 49% of its position; Ariel Investments trimmed 40.7%. Short interest is elevated at 56.1%, suggesting significant bearish bets. The analyst upgrade diverges from the insider selling and high short interest.
Actionable Insight
The upgrade from a top-tier firm is a positive signal, but the PT below current price, combined with heavy insider selling and high short interest, creates a divergence. Traders should monitor earnings on May 7, 2026, for confirmation; the stock may remain range-bound until then.
Documents Analyzed
Report based on filing metadata.
Filters
| Type | Now | ||||
|---|---|---|---|---|---|
|
May 31, 2026
9d ago
|
ANALYST-UPGRADE
| $119.39 $118.29 | ▼ −0.92% | ▼ −1.92% | $128.10 (+7.30%) |
|
May 20, 2026
20d ago
|
ANALYST-UPGRADE
| $130.61 $133.69 | ▲ +2.36% | ▲ +1.12% | $128.10 (−1.92%) |
|
May 18, 2026
22d ago
|
424B5
| $130.43 $133.62 | ▲ +2.44% | ▲ +0.15% | $128.10 (−1.78%) |
|
May 14, 2026
26d ago
|
424B5
| $132.06 $130.41 | ▼ −1.25% | ▼ −0.53% | $128.10 (−3.00%) |
|
May 1, 2026
5w ago
|
ANALYST-UPGRADE
| $119.39 $118.29 | ▼ −0.92% | ▼ −1.92% | $128.10 (+7.30%) |
|
Apr 15, 2026
8w ago
|
Insider Cluster
| $139.60 $132.85 | ▲ +4.83% | ▲ +6.47% | $128.10 (+8.24%) |
|
Mar 20, 2026
11w ago
|
DEFA14A
| $137.30 $136.28 | ▼ −0.74% | ▲ +2.82% | $128.10 (−6.70%) |
US Market Status
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