PLTR Palantir Technologies Inc.

BULLISH Impact: 3/10 ANALYST-UPGRADE
Processed 1mo ago SEC analyst-PLTR-oppenhei-20260430
Oppenheimer initiates coverage on PLTR at Outperform
Latest settled — T+20d
PLTR ▲ +3.06% at T+20d
LONG call ✓ call won +3.06% · α vs SPY -1.90% · entry $139.08 → $143.34
Next anchor: T+60d in 6w
Currently $127.99 · -7.97% from $139.08 entry
Entry anchored
Apr 30, 07:00 AM ET
via Databento tick
T+1d
+3.54%
call +3.54% · α +3.32%
$144.00
settled 6w ago
T+5d
-3.80%
call -3.80% · α -5.53%
$133.79
settled 5w ago
T+20d
+3.06%
call +3.06% · α -1.90%
$143.34
settled 15d ago
T+60d
call — · α —
in 6w

Price Chart

Loading chart...

Executive Summary

Oppenheimer initiated coverage on Palantir Technologies (PLTR) at Outperform with a $200 price target, implying 45% upside from the current $137.97. The call adds to a heavily bullish consensus: 24 of 36 analysts rate it Buy or Strong Buy, with a mean target of $184.47. Oppenheimer's 52% accuracy on 1,809 calls and average 3.6% return per rating places it in the middle tier among covering firms. The $200 target is above the mean but in line with the median, reflecting a moderately bullish stance. Momentum is supportive: 1 upgrade in 30 days, 0 downgrades, and EPS revisions have been trending up over the past 7 and 30 days. However, insider selling is heavy — including a $7M sale by Peter Thiel in March — and short interest is elevated at 46.3% of float, signaling potential divergence between analyst optimism and market positioning. With earnings due May 4, just 4 days away, this initiation carries heightened timing risk. The bottom line: Oppenheimer's initiation adds to an already bullish consensus, but the combination of heavy insider sales, high short interest, and an imminent earnings print warrants caution for traders looking to enter ahead of the report.

Impact Score

Base Score
2/7
LLM Adjustment
+1
Final Score
3/10

Consensus & Targets

Buy / Strong Buy
24 (67%)
Hold
10
Sell / Strong Sell
2
Total Analysts
25
Mean PT
$184.47
Median PT
$200.00
High PT
$255.00
Low PT
$70.00
Current Price
$137.97
Implied Upside
+33.7%

Consensus is heavily bullish: 9 Strong Buy, 15 Buy, 10 Hold, 1 Sell, 1 Strong Sell — that's 67% Buy/Strong Buy. 36 analysts cover the stock. Direction is clearly bullish, though the 10 Hold ratings suggest some caution.

Current price: $137.97. Mean target: $184.47 (implied upside +33.7%). Median: $200 (implied upside +45.0%). High: $255 (+84.8%). Low: $70 (-49.3%). Oppenheimer's $200 target is above the mean and exactly at the median, placing it in the upper half of the range but not the most aggressive.

Recent Analyst Activity

DateFirmActionRatingPrice Target
2026-04-30 Oppenheimer initiate Outperform $200.00
2026-04-28 Citigroup maintain Buy $210.00
2026-04-16 DA Davidson maintain Neutral $180.00
2026-04-14 Mizuho maintain Outperform $185.00
2026-04-10 Wedbush reiterate Outperform $230.00
2026-03-25 Rosenblatt maintain Buy $200.00
2026-03-18 UBS maintain Buy $200.00
2026-03-16 Wedbush reiterate Outperform $230.00
2026-03-03 Rosenblatt maintain Buy $200.00
2026-02-27 Rosenblatt initiate Buy $150.00

30-day analyst activity: 1 upgrade (Oppenheimer initiation), 0 downgrades. EPS revisions are positive: 1 upward revision in the last 7 days and 1 in the last 30 days for the current quarter. Full-year 2026 EPS estimates have been revised up 1 time in 7 days and 1 time in 30 days. Estimates are trending higher, supporting the bullish narrative.

Firm Track Record — Oppenheimer

Oppenheimer accuracy: 52% on 1809 calls | avg return: 3.6%

Industry benchmark: mean 51% ± 11%. Top tier: ≥61% (mean + 1σ). Based on 15 firms with ≥5 scored calls.

FirmAccuracyCallsAvg Returnvs Average
Wedbush 100% 8/8 54.7% top tier
Loop Capital 100% 6/6 35.6% top tier
Northland Capital Markets 100% 3/3 73.2% top tier
DA Davidson 88% 7/8 44.7% top tier
Citigroup 83% 5/6 26.5% top tier
B of A Securities 83% 5/6 24.6% top tier
UBS 80% 4/5 16.5% top tier
Cantor Fitzgerald 80% 4/5 20% top tier
Morgan Stanley 80% 4/5 25.8% top tier
Baird 67% 2/3 2.4% top tier

Oppenheimer has a 52% accuracy rate on 1,809 calls with an average return of 3.6% per rating — below the top-tier firms like Wedbush (100% on 8 calls, avg return +54.7%), Loop Capital (100% on 6, +35.6%), and DA Davidson (88% on 8, +44.7%). The best performing firms on PLTR are Wedbush, Loop Capital, and Northland Capital Markets (all 100% accuracy). The worst: Raymond James (50% on 2, avg return +110.7% — small sample), HSBC (50% on 2), and Argus Research (50% on 2).

Earnings Estimates

Next earnings: May 4, 2026

PeriodEPS Est.EPS RangeRevenueRevisions (7d)
0q $0.28 $0.27 — $0.32 $1.5B ↑1 ↓0
+1q $0.30 $0.29 — $0.35 $1.7B ↑1 ↓0
0y $1.32 $1.13 — $1.53 $7.3B ↑1 ↓0
+1y $1.87 $1.47 — $2.38 $10.4B ↑1 ↓0

Cross-Platform Signals

Insider Trades (90d)
0 buys / 5 sells
Congressional
Thomas Suozzi (democrat) — sell $15,001 - $50,000
Institutional
NORGES BANK — new
Institutional
WELLS FARGO & COMPANY/MN — add (27.9%)
Institutional
NORGES BANK — exit (-100%)
Short Interest
Short: 8,833,929 | Exempt: 45,087 | Total: 19,099,435 | Ratio: 46.3%

Insider selling is heavy: Peter Thiel sold $7.05M on March 2, Moore Alexander sold $1.07M on March 16 and $67.9K on April 15, plus other smaller sells. Only one congressional trade: Rep. Thomas Suozzi sold $15K-$50K in February. Institutional activity is mixed: Norges Bank added a massive $5.15B position (new) but also exited a prior position; FMR added 39.9% to $2.6B; Wells Fargo added 27.9% to $1.07B; Renaissance trimmed 36.6% to $1.56B. Short interest is elevated at 46.3% of float — a high level that could fuel a squeeze but also signals significant bearish positioning. The analyst bullishness diverges from insider selling and high short interest.

Actionable Insight

Oppenheimer's initiation adds to a bullish consensus, but with earnings due May 4 and heavy insider selling, traders should wait for the earnings print before initiating new longs. The high short interest (46.3%) could amplify any positive surprise, but the risk/reward is skewed against entering ahead of the report.

Documents Analyzed

Report based on filing metadata.

18 reports for PLTR
Performance horizon
86% Hit rate 6 of 7 directional calls best @ T+5▲ +14.56%May 1, 2026
Filters
Rows
Reports for PLTR — sortable, filterable
Type Now
Jun 5, 2026
7d ago
ANALYST-UPGRADE
MIXED ★ 3/10
$133.74 $137.06▲ +2.48%▲ +2.81%$127.99 (−4.30%)
Jun 3, 2026
10d ago
Insider Cluster
NEUTRAL ★ 2/10
$142.21 $141.67▼ −0.38%▼ −0.78%$127.99 (−10.00%)
May 31, 2026
12d ago
ANALYST-DOWNGRADE
BEARISH ★ 3/10
$146.05 $135.84▲ +6.99%▲ +7.79%$127.99 (+12.36%)
May 31, 2026
12d ago
ANALYST-UPGRADE
BULLISH ★ 2/10
$137.12 $145.14▲ +5.85%▲ +5.79%$127.99 (−6.66%)
May 30, 2026
13d ago
ANALYST-UPGRADE
MIXED ★ 2/10
$139.08 $144.00▲ +3.54%▲ +3.32%$127.99 (−7.97%)
May 23, 2026
21d ago
Insider Cluster
NEUTRAL ★ 2/10
$136.61 $132.49▼ −3.02%▼ −3.03%$127.99 (−6.31%)
May 23, 2026
21d ago
Insider Cluster
NEUTRAL ★ 3/10
$136.61 $132.49▼ −3.02%▼ −3.03%$127.99 (−6.31%)
May 23, 2026
21d ago
Insider Cluster
NEUTRAL ★ 2/10
$136.61 $132.49▼ −3.02%▼ −3.03%$127.99 (−6.31%)
May 6, 2026
5w ago
ANALYST-UPGRADE
MIXED ★ 2/10
$133.74 $137.06▲ +2.48%▲ +2.81%$127.99 (−4.30%)
May 5, 2026
5w ago
GOVT-CONTRACT
BULLISH ★ 5/10
$135.84 $133.74▼ −1.55%▼ −2.93%$127.99 (−5.78%)
Showing 10 of 18

US Market Status

Market Closed — Opens Mon (50h 54m)

Subscribe to SecBot

Get Real-Time SEC Filing Intelligence

Comprehensive SEC filing analysis delivered the moment filings hit EDGAR. Sentiment scoring, impact analysis, and actionable insights for every material event.

Try SecBot Free Coming soon: SecBot Pro with alerts, watchlists, and API access