NRGV Energy Vault Holdings, Inc.
Price Chart
Executive Summary
Cantor Fitzgerald initiated coverage on NRGV with an Overweight rating and a $7 price target, representing 58% upside from the current $4.44. The firm's PT sits above the consensus high of $6.05 and well above the mean of $4.18, making it the most bullish call on the stock among 9 analysts. Cantor has a 49% accuracy rate on its 1,996 calls with a 5.3% average return — roughly at the industry average. The broader consensus is heavily bullish: 7 Buy/Strong Buy, 1 Hold, 1 Sell. However, EPS estimates have been revised lower over the past 30 days, with the 0-year EPS forecast dropping from -$0.155 to -$0.22. Institutional accumulation has been massive — Morgan Stanley doubled its stake (+500.9%), Renaissance Technologies added a new position, and Two Sigma more than doubled — while short interest remains elevated at 56.8% of trading volume. Recent insider buying in March (Piconi, Mandanas, Ertel) partially offsets a $206K sale by a director in April. The bull case rests on Cantor seeing a catalyst not yet priced in, but the downward earnings revisions and heavy short interest introduce significant risk.
Impact Score
Consensus & Targets
The consensus from 9 analysts is heavily bullish: 2 Strong Buy, 5 Buy, 1 Hold, 1 Sell — 78% on the buy side. The lone Sell is from Goldman Sachs. Cantor's Overweight aligns with the majority direction but is far more aggressive on price.
Current price: $4.44. Existing targets: mean $4.18 (6% upside implied), median $4.50, high $6.05, low $2.00. Cantor's $7 PT is $0.95 above the second-highest target and implies 58% upside. The stock already trades above the consensus mean, suggesting some optimism is embedded.
Recent Analyst Activity
| Date | Firm | Action | Rating | Price Target |
|---|---|---|---|---|
| 2026-05-05 | Cantor Fitzgerald | initiate | Overweight | $7.00 |
| 2026-03-19 | Goldman Sachs | maintain | Sell | — |
| 2025-11-12 | Goldman Sachs | maintain | Sell | $2.00 |
| 2025-10-08 | Goldman Sachs | maintain | Sell | $1.50 |
| 2025-03-20 | Roth MKM | maintain | Buy | $1.50 |
| 2025-03-19 | Goldman Sachs | maintain | Sell | $0.7500 |
| 2024-11-13 | TD Cowen | reiterate | Buy | $2.50 |
| 2024-08-08 | Roth MKM | maintain | Buy | $2.00 |
| 2024-05-13 | TD Cowen | maintain | Buy | $4.00 |
| 2024-04-30 | Stifel | maintain | Buy | $3.00 |
In the past 30 days, there has been 1 upgrade (this initiation) and 0 downgrades. However, EPS estimates have been slashed: the 0-year consensus dropped from -$0.155 to -$0.22, the current quarter moved from -$0.03 to -$0.10, and the next quarter went from -$0.03 to -$0.12. Revisions are overwhelmingly downward, creating a divergence with the analyst rating action.
Firm Track Record — Cantor Fitzgerald
Cantor Fitzgerald accuracy: 49% on 1996 calls | avg return: 5.3%
Industry benchmark: mean 51% ± 11%. Top tier: ≥61% (mean + 1σ). Based on 3 firms with ≥5 scored calls.
| Firm | Accuracy | Calls | Avg Return | vs Average |
|---|---|---|---|---|
| Goldman Sachs | 67% | 2/3 | 13.7% | top tier |
| Roth MKM | 50% | 1/2 | 59% | below average |
| TD Cowen | 50% | 1/2 | -5% | below average |
Cantor Fitzgerald has a 49% accuracy rate on 1,996 calls with an average return of 5.3%. Among the limited group covering NRGV, the best performer is Goldman Sachs (67% on 3 calls, avg return 13.7%), but the sample is tiny. Roth MKM and TD Cowen both show 50% on 2 calls. Cantor's accuracy is essentially at the coin-flip level, but its large sample size lends statistical reliability.
Earnings Estimates
| Period | EPS Est. | EPS Range | Revenue | Revisions (7d) |
|---|---|---|---|---|
| 0y | $-0.22 | $-0.28 — $-0.16 | $257.4M | ↑0 ↓0 |
| +1q | $-0.12 | $-0.12 — $-0.12 | $29.6M | ↑1 ↓0 |
| +1y | $-0.15 | $-0.17 — $-0.14 | $300.4M | ↑0 ↓0 |
| 0q | $-0.10 | $-0.10 — $-0.10 | $23.5M | ↑0 ↓0 |
Cross-Platform Signals
Insider activity shows a mixed picture: a director sold $206,700 worth on April 6, but senior management (including the CEO and CFO) bought $89,000+ in March. Institutional positioning is strongly bullish — FMR added 66.9%, Morgan Stanley doubled (+500.9%), Renaissance Technologies launched a new position, and Two Sigma more than doubled. UBS trimmed 43%. Short interest stands at 56.8% of volume, extremely high, indicating significant bearish positioning. The analyst buy signal converges with institutional buying and recent insider buys, but diverges from the downward EPS revisions and high short interest.
Actionable Insight
Cantor's outlier target is a bet that the stock will re-rate significantly; traders should wait for a confirmed break above $4.50 (consensus median) before adding exposure, and use the heavy short interest as a potential squeeze catalyst if earnings or news surprise positively.
Documents Analyzed
Report based on filing metadata.
Track record builds as more directional reports settle.
Filters
| Type | Now | ||||
|---|---|---|---|---|---|
|
Jun 4, 2026
5d ago
|
ANALYST-UPGRADE
| $5.03 $5.86 | ▲ +16.50% | ▲ +12.31% | $4.69 (−6.76%) |
|
May 7, 2026
4w ago
|
8-K
| $4.53 $5.47 | ▲ +20.75% | ▲ +20.73% | $4.69 (+3.53%) |
|
May 5, 2026
5w ago
|
ANALYST-UPGRADE
| $5.03 $5.86 | ▲ +16.50% | ▲ +11.55% | $4.69 (−6.76%) |
|
Apr 17, 2026
7w ago
|
DEFA14A
| $3.70 $5.08 | ▲ +37.30% | ▲ +33.10% | $4.69 (+26.76%) |
|
Mar 25, 2026
11w ago
|
Insider Cluster
| $3.68 $4.46 | ▲ +21.20% | ▲ +13.33% | $4.69 (+27.45%) |
|
Feb 26, 2026
14w ago
|
Insider Cluster
| $3.40 $3.52 | ▲ +3.53% | ▲ +9.93% | $4.69 (+37.94%) |
|
Feb 26, 2026
14w ago
|
Insider Cluster
| $3.40 $3.52 | ▲ +3.53% | ▲ +9.93% | $4.69 (+37.94%) |
|
Feb 26, 2026
14w ago
|
Insider Cluster
| $3.40 $3.52 | ▲ +3.53% | ▲ +9.93% | $4.69 (+37.94%) |
|
Feb 26, 2026
14w ago
|
Insider Cluster
| $3.40 $3.52 | ▲ +3.53% | ▲ +9.93% | $4.69 (+37.94%) |
US Market Status
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