SAIL SailPoint, Inc.
Price Chart
Executive Summary
Morgan Stanley upgraded SailPoint (SAIL) from Equal-Weight to Overweight with a $25 price target, representing 85% upside from the current $13.50. The call is part of a 20-firm cluster covering SAIL on the same day, with 8 Strong Buy, 17 Buy, 3 Hold, 1 Sell, and 0 Strong Sell ratings — a heavily bullish consensus. The mean price target is $18.48, median $18.00, high $25, low $14. Morgan Stanley's $25 target is the highest on the Street, well above the mean. The firm has a 55% accuracy rate on 4,993 calls with a 4.3% average return, though on SAIL specifically it is 33% (1 of 3). The upgrade is contrarian to recent insider selling: five executives sold a combined ~$2M on April 9, 2026, including CEO McClain Mark D. ($1M). Institutional activity is mixed — FMR LLC nearly exited (-93.1%), while Morgan Stanley added 32% and Norges Bank initiated a new $235M position. Short interest is elevated at 56.3% of float, suggesting heavy bearish positioning. EPS revisions are mixed: +1q and 0y estimates are stable with upward revisions, but 0q estimates saw 9 downward revisions in 30 days. The bottom line: Morgan Stanley's top-of-Street target and upgrade from a firm with solid overall accuracy is a bullish signal, but insider selling and high short interest create a tug-of-war — traders should watch for a short squeeze catalyst.
Impact Score
Consensus & Targets
The consensus is heavily bullish: 8 Strong Buy, 17 Buy, 3 Hold, 1 Sell, 0 Strong Sell — 25 of 29 ratings are bullish (86%). Only 1 analyst is bearish. The direction is overwhelmingly positive, with Morgan Stanley's upgrade aligning with the majority view.
Current price: $13.50. Mean target: $18.48 (37% upside). Median: $18.00. High: $25.00 (Morgan Stanley). Low: $14.00. Morgan Stanley's $25 target is 35% above the mean and 39% above the median, making it the most aggressive call on the Street.
Recent Analyst Activity
| Date | Firm | Action | Rating | Price Target |
|---|---|---|---|---|
| 2026-05-21 | Wells Fargo | maintain | Overweight | $17.00 |
| 2026-05-21 | Roth Capital | initiate | Buy | $19.00 |
| 2026-03-23 | Cantor Fitzgerald | reiterate | Overweight | — |
| 2026-03-19 | JP Morgan | maintain | Overweight | — |
| 2026-03-19 | Truist Securities | maintain | Buy | — |
| 2026-03-19 | Goldman Sachs | maintain | Neutral | — |
| 2026-03-19 | Scotiabank | maintain | Sector Outperform | — |
| 2026-03-19 | RBC Capital | maintain | Outperform | — |
| 2026-03-19 | Barclays | maintain | Overweight | — |
| 2026-03-19 | Wells Fargo | maintain | Overweight | — |
In the last 30 days, there has been 1 upgrade (Morgan Stanley) and 0 downgrades. EPS revisions are mixed: +1q saw 8 upward revisions in 7 days, 0y saw 6 up, but 0q saw 9 downward revisions in 30 days. The near-term outlook is improving, but the current quarter is being revised lower.
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 10 firms with ≥5 scored calls.
| Firm | Accuracy | Calls | Avg Return | vs Average |
|---|---|---|---|---|
| Jefferies | 50% | 1/2 | 7.7% | below average |
| BMO Capital | 33% | 1/3 | -0.5% | below average |
| Morgan Stanley | 33% | 1/3 | 4.2% | below average |
| Wells Fargo | 33% | 1/3 | 2.3% | below average |
| Barclays | 25% | 1/4 | -4.8% | below average |
| Mizuho | 17% | 1/6 | -7.7% | below average |
| BTIG | 0% | 0/2 | -4.8% | below average |
| Scotiabank | 0% | 0/2 | -17.4% | below average |
| RBC Capital | 0% | 0/2 | -3.9% | below average |
| JP Morgan | 0% | 0/3 | -3.8% | below average |
Morgan Stanley has a 55% accuracy rate on 4,993 scored calls with a 4.3% average return — above average among firms covering SAIL. On SAIL specifically, it is 33% (1 of 3). The best-performing firm on SAIL is Jefferies (50% on 2 calls, 7.7% avg return). The worst is Scotiabank (0% on 2 calls, -17.4% avg return). Morgan Stanley's overall track record lends credibility to this upgrade.
Earnings Estimates
| Period | EPS Est. | EPS Range | Revenue | Revisions (7d) |
|---|---|---|---|---|
| +1q | $0.08 | $0.06 — $0.09 | $309.7M | ↑8 ↓0 |
| 0y | $0.32 | $0.29 — $0.34 | $1.3B | ↑6 ↓0 |
| +1y | $0.39 | $0.35 — $0.45 | $1.5B | ↑4 ↓0 |
| 0q | $0.04 | $0.04 — $0.05 | $276.1M | ↑0 ↓0 |
Cross-Platform Signals
Insider trades are bearish: five executives sold ~$2M on April 9, 2026, including CEO McClain Mark D. ($1M). Congressional activity is absent. Institutional changes are mixed: FMR LLC nearly exited (-93.1%), but Morgan Stanley added 32% and Norges Bank initiated a $235M position. Short interest is 56.3% of float — extremely high, indicating heavy bearish positioning. The analyst upgrade diverges from insider selling but converges with institutional buying from Morgan Stanley and Norges Bank.
Actionable Insight
Morgan Stanley's top-of-Street target and strong overall track record make this upgrade a meaningful bullish signal, but the 56.3% short interest and insider selling create a high-risk, high-reward setup. Traders should monitor for a short squeeze catalyst — the upgrade alone may not be enough to break the bearish grip.
Documents Analyzed
Report based on filing metadata.
Filters
| Type | Now | ||||
|---|---|---|---|---|---|
|
Jun 12, 2026
2d ago
|
ANALYST-DOWNGRADE
| $14.40 awaiting T+5 | awaiting T+5 | — | $14.62 (−1.56%) |
|
Jun 11, 2026
3d ago
|
Institutional Cluster
| $14.71 awaiting T+5 | awaiting T+5 | — | $14.62 (−0.61%) |
|
Jun 9, 2026
5d ago
|
8-K
| $15.21 awaiting T+5 | awaiting T+5 | — | $14.62 (−3.88%) |
|
Jun 9, 2026
5d ago
|
Press Release
| $17.69 awaiting T+5 | awaiting T+5 | — | $14.62 (−17.33%) |
|
May 29, 2026
17d ago
|
ANALYST-UPGRADE
| $20.98 $20.66 | ▼ −1.53% | ▼ −3.09% | $14.62 (−30.31%) |
|
May 25, 2026
20d ago
|
ANALYST-UPGRADE
| $15.01 $16.55 | ▲ +10.26% | ▲ +8.66% | $14.62 (−2.60%) |
|
May 8, 2026
5w ago
|
8-K
| $11.77 $14.59 | ▲ +23.96% | ▲ +24.04% | $14.62 (+24.21%) |
|
Apr 28, 2026
6w ago
|
ANALYST-UPGRADE
| $11.57 $12.15 | ▲ +5.01% | ▲ +1.90% | $14.62 (+26.36%) |
|
Apr 24, 2026
7w ago
|
DEFA14A
| $11.87 $12.15 | ▲ +2.36% | ▲ +1.96% | $14.62 (+23.17%) |
|
Apr 8, 2026
9w ago
|
144
| $12.41 $11.76 | ▼ −5.24% | ▼ −8.75% | $14.62 (+17.81%) |
US Market Status
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