DQ

DAQO NEW ENERGY CORP.

NYSE · Semiconductors & Related Devices · Inc. E9 · CIK 0001477641
$15.71 +1.81% $1.1B
High Impact Filing (8/10)5 New Institutional Positions8 Institutional Exits
Vol
Market Cap$1.1B
Cap SizeSmall Cap
Inst. Holders50 funds
Inst. Value$379.9M
Inst. Activity5 buys / 8 sells
SEC Reports4
Exchange NYSE·Sector Semiconductors & Related Devices·Inc. E9·CIK 0001477641·Prev Close $15.43

Recent Activity

Price Targets

Historical data — last covering-analyst action Feb 2026. No current recommendation available.
$26.77 (Feb 2026)
Current $15.71 Low $17.40 Median $28.60 High $35.50 7 analysts
$17.40 $35.50

Analyst Ratings

Historical distribution79% buy · 19 analysts · last covering-analyst action Feb 2026
6Strong Buy
9Buy
3Hold
1Sell
0Strong Sell
Historical Analyst Actions
DateFirmActionRating
Feb 3, 2026 GLJ Research DOWNGRADE Buy → Sell

Earnings Estimates

PeriodEPS Est.RangeGrowth#
Current Q $-0.77 ▼ -250.0% $-0.77 — $-0.77 10% YoY 1
Next Q $-0.78 ▼ -129.4% $-0.78 — $-0.78 -1660% YoY 1
Current FY $-2.46 ▼ -111.7% $-3.31 — $-1.60 -44% YoY 2
Next FY $-1.09 ▼ -199.5% $-2.48 — $0.29 55% YoY 2

Top Institutional Holders

FundValueMove
Invesco Ltd.$43.0MADD
FRANKLIN RESOURCES INC$34.8MTRIM
MACKENZIE FINANCIAL CORP$29.3MTRIM
VANGUARD CAPITAL MANAGEMENT LLC$28.8M
BlackRock, Inc.$26.8M
50 institutional holders with $379.9M total value (17,860,367 shares) as of 2026-Q1. Top holders: Invesco, FRANKLIN, MACKENZIE. Net selling activity: 8 institutions trimmed/exited vs 5 added.

Top Institutional Holders — 2026-Q1

#FundSharesValue% of TrackedLast Move
1Invesco Ltd.2,023,763$43.0M11.3%ADD +41.6%
2FRANKLIN RESOURCES INC1,636,805$34.8M9.2%TRIM -36.0%
3MACKENZIE FINANCIAL CORP1,376,475$29.3M7.7%TRIM -35.4%
4VANGUARD CAPITAL MANAGEMENT LLC1,354,750$28.8M7.6%
5BlackRock, Inc.1,261,354$26.8M7.1%
6MORGAN STANLEY1,057,520$22.5M5.9%DOUBLED +218.1%
7TWO SIGMA INVESTMENTS, LP1,024,186$21.8M5.7%DOUBLED +3836.1%
8ARROWSTREET CAPITAL, LIMITED PARTNERSHIP794,149$16.9M4.4%TRIM -27.3%
9STATE STREET CORP768,713$16.4M4.3%
10FIL Ltd594,033$12.6M3.3%
11CHARLES SCHWAB INVESTMENT MANAGEMENT INC583,118$12.4M3.3%ADD +33.1%
12MARSHALL WACE, LLP505,591$10.8M2.8%NEW
13SUSQUEHANNA INTERNATIONAL GROUP, LLP480,100$10.2M2.7%
14SUSQUEHANNA INTERNATIONAL GROUP, LLP476,600$10.1M2.7%
15D. E. Shaw & Co., Inc.380,100$8.1M2.1%DOUBLED +117.3%
16VANGUARD FIDUCIARY TRUST CO359,657$7.6M2.0%
17AVIVA PLC339,144$7.2M1.9%ADD +42.7%
18NATIONAL BANK OF CANADA /FI/303,700$6.5M1.7%ADD +51.7%
19Allianz Asset Management GmbH245,469$5.2M1.4%DOUBLED +144.8%
20PEAK6 LLC216,100$4.6M1.2%DOUBLED +906.4%

Recent Position Changes

FundActionPrev SharesCurr SharesChange %ValueQuarter
Invesco Ltd.ADD1,429,5652,023,763+41.6%$43.0M2026-Q1
ARROWSTREET CAPITAL, LIMITED PARTNERSHIPTRIM1,092,212794,149-27.3%$16.9M2026-Q1
AVIVA PLCADD237,741339,144+42.7%$7.2M2026-Q1
Allianz Asset Management GmbHDOUBLED100,293245,469+144.8%$5.2M2026-Q1
VOLORIDGE INVESTMENT MANAGEMENT, LLCTRIM328,300149,124-54.6%$3.2M2026-Q1
Trexquant Investment LPTRIM232,315107,000-53.9%$2.3M2026-Q1
DRIEHAUS CAPITAL MANAGEMENT LLCNEAR_EXIT780,97380,606-89.7%$1.7M2026-Q1
HSBC HOLDINGS PLCADD21,19535,165+65.9%$739.5K2026-Q1
BANK OF AMERICA CORP /DE/TRIM47,20133,716-28.6%$717.1K2026-Q1
GROUP ONE TRADING LLCNEAR_EXIT120,83924,326-79.9%$517.4K2026-Q1
Marex Group plcADD13,34022,456+68.3%$477.6K2026-Q1
Russell Investments Group, Ltd.NEAR_EXIT38,1085,424-85.8%$112.2K2026-Q1
FMR LLCNEAR_EXIT637,65460-100.0%$1.3K2026-Q1
MORGAN STANLEYDOUBLED439,5361,397,963+218.1%$41.2M2025-Q4
ARROWSTREET CAPITAL, LIMITED PARTNERSHIPADD649,8461,092,212+68.1%$32.2M2025-Q4
DRIEHAUS CAPITAL MANAGEMENT LLCDOUBLED73,970780,973+955.8%$23.0M2025-Q4
FMR LLCDOUBLED262,393637,654+143.0%$18.8M2025-Q4
MARSHALL WACE, LLPNEW567,509$16.7M2025-Q4
VOLORIDGE INVESTMENT MANAGEMENT, LLCADD236,841328,300+38.6%$9.7M2025-Q4
TWO SIGMA INVESTMENTS, LPDOUBLED8,300326,698+3836.1%$9.6M2025-Q4
D. E. Shaw & Co., Inc.DOUBLED149,653325,128+117.3%$9.6M2025-Q4
GROUP ONE TRADING LLCTRIM221,472120,839-45.4%$3.6M2025-Q4
Allianz Asset Management GmbHNEAR_EXIT414,950100,293-75.8%$3.0M2025-Q4
BALYASNY ASSET MANAGEMENT L.P.TRIM97,07860,625-37.6%$1.8M2025-Q4
BANK OF AMERICA CORP /DE/DOUBLED8,60847,201+448.3%$1.4M2025-Q4

No insider trading data available yet. Insider transactions are collected from SEC Form 4 filings.

No press releases analyzed yet. Press releases are collected from GlobeNewsWire and analyzed by the LLM pipeline.

Historical analyst distribution (last covering-analyst action Feb 2026): 79% buy across 19 analysts — 6 strong buy, 9 buy, 3 hold, 1 sell, 0 strong sell. No current recommendation available.

Analyst Price Targets

Historical data — last covering-analyst action Feb 2026. No current recommendation available.
$26.77 mean target (Feb 2026)
$17.40 Low $35.50 High
MetricValue
Current Price$15.71
Target Low$17.40
Target Mean$26.77
Target Median$28.60
Target High$35.50
# Analysts7
Recommendation— (no recent coverage)

Earnings Estimates & Revisions

PeriodEPS AvgEPS LowEPS HighEPS Growth30d Rev.Up/DownRev. AvgRev. GrowthAnalysts
Current Q
2026-06-30
$-0.77 $-0.77 $-0.77 10.5% -250.0% 1↑ 0↓ $0.1B 52.5% 1
Next Q
2026-09-30
$-0.78 $-0.78 $-0.78 -1660.0% -129.4% 1↑ 0↓ $0.2B -35.8% 1
Current FY
2026-12-31
$-2.46 $-3.31 $-1.60 -44.5% -111.7% 0↑ 1↓ $0.6B -9.9% 2
Next FY
2027-12-31
$-1.09 $-2.48 $0.29 55.4% -199.5% $1.0B 60.9% 2

Current Quarter EPS Revision History

TimepointEPS EstimateChange
Current$-0.770
7d ago$-0.220-0.550
30d ago$-0.220-0.550
60d ago$-0.220-0.550
90d ago$-0.420-0.350
1 analyst firms have rated this stock: 0 upgrades, 1 downgrades, 0 initiations.

Historical Analyst Actions

DateAnalyst FirmActionPrevious RatingNew Rating
Feb 3, 2026 GLJ Research DOWNGRADE Buy Sell

Monthly Consensus History

PeriodStrong BuyBuyHoldSellStrong SellBuy %Distribution
Jun 1, 20266931079%
May 1, 20266931079%
Apr 1, 20266931079%
Mar 1, 20266931079%
Feb 1, 202661030084%
Jan 1, 202661030084%
Strong BuyBuyHoldSellStrong Sell

No congressional trading data available for this ticker. Data is sourced from Senate and House financial disclosure filings.

No Reddit sentiment data available yet. Sentiment is analyzed from Reddit investment communities on a rolling basis.

Jun 11, 2026
short_volume
Short Volume: DQ — 62.2% short (0.4M / 0.6M)
Short: 350,512 | Exempt: 0 | TRF Vol: 563,484 | Short Ratio: 62.2% | Off-exchange volume (dark pool + OTC)
Jun 10, 2026
short_volume
Short Volume: DQ — 59.0% short (0.3M / 0.5M)
Short: 295,411 | Exempt: 2,748 | TRF Vol: 500,804 | Short Ratio: 59.0% | Off-exchange volume (dark pool + OTC)
Jun 9, 2026
short_volume
Short Volume: DQ — 62.1% short (0.3M / 0.6M)
Short: 347,164 | Exempt: 4,425 | TRF Vol: 558,861 | Short Ratio: 62.1% | Off-exchange volume (dark pool + OTC)
Jun 4, 2026
short_volume
Short Volume: DQ — 60.2% short (0.4M / 0.6M)
Short: 363,026 | Exempt: 3,260 | TRF Vol: 603,137 | Short Ratio: 60.2% | Off-exchange volume (dark pool + OTC)
Apr 29, 2026
short_volume
Short Volume: DQ — 57.5% short (0.7M / 1.2M)
Short: 696,443 | Exempt: 13,631 | TRF Vol: 1,211,832 | Short Ratio: 57.5% | Off-exchange volume (dark pool + OTC)
Apr 29, 2026
earnings_calendar
DQ Q1 2026 Earnings Scheduled — 2026-04-29
Apr 22, 2026
short_volume
Short Volume: DQ — 64.4% short (0.5M / 0.8M)
Short: 529,821 | Exempt: 10,009 | TRF Vol: 823,046 | Short Ratio: 64.4% | Off-exchange volume (dark pool + OTC)
Feb 26, 2026
earnings_calendar
DQ Q4 2025 Earnings Before Market Open — 2026-02-26