UAA

Under Armour, Inc.

NYSE · Apparel & Other Finishd Prods of Fabrics & Similar Matl · Inc. MD · CIK 0001336917
$5.56 -0.36% $2.4B
Vol
Market Cap$2.4B
Cap SizeMid Cap
Analyst ConsensusSell (9%)
Inst. Holders7 funds
Inst. Value$146.6M
Inst. Activity1 buys / 1 sells
Reddit Sentiment78° Bullish
Congressional2 trades
Exchange NYSE·Sector Apparel & Other Finishd Prods of Fabrics & Similar Matl·Inc. MD·CIK 0001336917·Prev Close $5.58

Recent Activity

Inst.
TWO SIGMA INVESTMENTS, LP — DOUBLED
990,349 shares ($4.9M)
Inst.
FMR LLC — NEAR_EXIT
17,553 shares ($87.2K)
Jun 1, 2026 short_volume
Short Volume: UAA — 59.1% short (1.8M / 3.0M)
Short: 1,794,634 | Exempt: 4,758 | TRF Vol: 3,037,552 | Short Ratio: 59.1% | Off-exchange volume (da
Feb 10, 2026 Congress
Tim Walberg sell
$1,001 - $15,000 — House
Feb 7, 2025 Congress
Tim Walberg buy
$1,001 - $15,000 — House

Price Targets

$6.28 +13.0% upside Buy
Current $5.56 Low $4.00 Median $5.50 High $12.50 19 analysts
$4.00 $12.50

Analyst Ratings

Strong Sell9% buy · 33 analysts
1Strong Buy
2Buy
22Hold
6Sell
2Strong Sell
Recent Analyst Actions
DateFirmActionRating
May 14, 2026 UBS MAINTAIN Buy → Buy
May 13, 2026 Citigroup MAINTAIN Sell → Sell
May 13, 2026 BNP Paribas MAINTAIN Neutral → Neutral
May 13, 2026 Truist Securities MAINTAIN Hold → Hold
May 13, 2026 Barclays MAINTAIN Equal-Weight → Equal-Weight

Earnings Estimates

PeriodEPS Est.RangeGrowth#
Current Q $0.02 ▲ +35.9% $0.01 — $0.02 -16% YoY 18
Next Q $0.06 ▼ -50.4% $0.03 — $0.17 47% YoY 19
Current FY $0.11 ▼ -52.7% $0.08 — $0.14 -10% YoY 20
Next FY $0.24 ▼ -34.4% $0.13 — $0.45 124% YoY 23

Top Institutional Holders

FundValueMove
VANGUARD GROUP INC$85.3M
CHARLES SCHWAB INVESTMENT MANAGEMENT$27.1MNEW
MORGAN STANLEY$22.5MADD
BANK OF AMERICA CORP$4.9MADD
TWO SIGMA INVESTMENTS, LP$4.9MDOUBLED

Reddit Sentiment

78°
Bullish
Bearish Neutral Bullish
5 mentions 5 bullish 0 bearish

Congressional Trades

1 members: 1 buys, 1 sells
MemberPartyTypeAmount
Tim WalbergRSELL$1,001 - $15,000
Tim WalbergRBUY$1,001 - $15,000
7 institutional holders with $146.6M total value (29,489,989 shares) as of 2025-Q4. Top holders: VANGUARD, CHARLES, MORGAN.

Top Institutional Holders — 2025-Q4

#FundSharesValue% of TrackedLast Move
1VANGUARD GROUP INC17,168,819$85.3M58.2%
2CHARLES SCHWAB INVESTMENT MANAGEMENT INC5,457,700$27.1M18.5%NEW
3MORGAN STANLEY4,518,556$22.5M15.3%ADD +33.6%
4BANK OF AMERICA CORP /DE/990,699$4.9M3.4%ADD +71.6%
5TWO SIGMA INVESTMENTS, LP990,349$4.9M3.4%DOUBLED +240.4%
6WELLS FARGO & COMPANY/MN346,313$1.7M1.2%DOUBLED +645.7%
7FMR LLC17,553$87.2K0.1%NEAR_EXIT -90.3%

Recent Position Changes

FundActionPrev SharesCurr SharesChange %ValueQuarter
TWO SIGMA INVESTMENTS, LPDOUBLED290,979990,349+240.4%$4.9M2025-Q4
FMR LLCNEAR_EXIT181,83517,553-90.3%$87.2K2025-Q4
UBS Group AGADD4,566,5405,901,398+29.2%$29.4M2025-Q3
MORGAN STANLEYADD2,998,2954,006,901+33.6%$20.0M2025-Q3
TWO SIGMA INVESTMENTS, LPNEAR_EXIT1,183,140290,979-75.4%$1.5M2025-Q3
FMR LLCNEAR_EXIT23,914,101181,835-99.2%$907.4K2025-Q3
NORGES BANKEXIT1,452,1170-100.0%$0.002025-Q3
RENAISSANCE TECHNOLOGIES LLCEXIT1,968,4000-100.0%$0.002025-Q3
RENAISSANCE TECHNOLOGIES LLCTRIM4,807,0941,968,400-59.1%$13.4M2025-Q2
NORGES BANKNEW1,452,117$9.9M2025-Q2
BANK OF AMERICA CORP /DE/ADD770,5001,322,229+71.6%$9.0M2025-Q2
TWO SIGMA INVESTMENTS, LPTRIM2,807,4311,183,140-57.9%$8.1M2025-Q2
WELLS FARGO & COMPANY/MNDOUBLED42,999320,658+645.7%$2.2M2025-Q2
CITADEL ADVISORS LLCADD3,043,1035,066,101+66.5%$31.7M2025-Q1
TWO SIGMA INVESTMENTS, LPADD2,044,7772,807,431+37.3%$17.5M2025-Q1
MORGAN STANLEYADD1,869,7552,657,618+42.1%$16.6M2025-Q1
NORGES BANKEXIT1,346,7730-100.0%$0.002025-Q1
UBS Group AGADD2,848,4414,889,459+71.7%$40.5M2024-Q4
CITADEL ADVISORS LLCADD1,601,4633,043,103+90.0%$25.2M2024-Q4
CHARLES SCHWAB INVESTMENT MANAGEMENT INCNEW4,730,838$42.2M2024-Q3

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

No SEC filing reports analyzed yet. Reports are generated when new filings are detected and processed by the LLM pipeline.

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

Current analyst consensus: Strong Sell (9% buy). Based on 33 analysts: 1 strong buy, 2 buy, 22 hold, 6 sell, 2 strong sell.

Analyst Price Targets

$6.28 mean target +13.0% upside Buy (3.00)
$4.00 Low $12.50 High
MetricValue
Current Price$5.56
Target Low$4.00
Target Mean$6.28
Target Median$5.50
Target High$12.50
# Analysts19
RecommendationBuy (3.00)

Earnings Estimates & Revisions

PeriodEPS AvgEPS LowEPS HighEPS Growth30d Rev.Up/DownRev. AvgRev. GrowthAnalysts
Current Q
2026-06-30
$0.02 $0.01 $0.02 -16.0% +35.9% 6↑ 5↓ $1.1B -2.2% 18
Next Q
2026-09-30
$0.06 $0.03 $0.17 47.4% -50.4% 1↑ 13↓ $1.3B -1.5% 19
Current FY
2027-03-31
$0.11 $0.08 $0.14 -10.0% -52.7% 0↑ 20↓ $4.9B -0.6% 20
Next FY
2028-03-31
$0.24 $0.13 $0.45 124.3% -34.4% 0↑ 10↓ $5.1B 3.2% 23

Current Quarter EPS Revision History

TimepointEPS EstimateChange
Current$0.017
7d ago$0.010+0.006
30d ago$0.012+0.004
60d ago$0.012+0.004
90d ago$0.013+0.004
9 analyst firms have rated this stock: 0 upgrades, 2 downgrades, 1 initiations.

Individual Analyst Actions

DateAnalyst FirmActionPrevious RatingNew Rating
May 14, 2026 UBS MAINTAIN Buy Buy
May 13, 2026 Citigroup MAINTAIN Sell Sell
May 13, 2026 BNP Paribas MAINTAIN Neutral Neutral
May 13, 2026 Truist Securities MAINTAIN Hold Hold
May 13, 2026 Barclays MAINTAIN Equal-Weight Equal-Weight
May 13, 2026 Stifel DOWNGRADE Buy Hold
Feb 10, 2026 Citigroup DOWNGRADE Neutral Sell
Feb 9, 2026 Telsey Advisory Group MAINTAIN Market Perform Market Perform
Feb 9, 2026 Goldman Sachs MAINTAIN Neutral Neutral
Feb 9, 2026 Barclays MAINTAIN Equal-Weight Equal-Weight
Feb 6, 2026 Telsey Advisory Group MAINTAIN Market Perform Market Perform
Jan 30, 2026 Telsey Advisory Group MAINTAIN Market Perform Market Perform
Jan 23, 2026 Citigroup MAINTAIN Neutral Neutral
Dec 10, 2025 Guggenheim INITIATE Buy

Monthly Consensus History

PeriodStrong BuyBuyHoldSellStrong SellBuy %Distribution
Jun 1, 20261222629%
May 1, 202644192127%
Apr 1, 202644192127%
Mar 1, 202644192127%
Feb 1, 202624212021%
Jan 1, 202624212021%
Strong BuyBuyHoldSellStrong Sell
1 members of Congress traded this stock: 1 buys, 1 sells.

Congressional Trades

DateMemberPartyChamberTypeAmountAssetDisclosed
Feb 10, 2026Tim WalbergRHOUSESELL$1,001 - $15,000Under Armour IncJun 4, 2026 (115d)
Feb 7, 2025Tim WalbergRHOUSEBUY$1,001 - $15,000Under Armour IncJun 4, 2026 (483d)
78°
Bullish
Bearish Neutral Bullish
5 mentions 5 bullish 0 bearish 5 time periods

Reddit Sentiment History

DateMentionsSentimentBullishBearishThreads
Apr 26, 2026160° Warm101
Apr 26, 2026160° Warm101
Mar 31, 2026160° Warm101
Mar 31, 2026160° Warm101
Feb 8, 2026160° Warm101

Recent Reddit Threads

r/pennystocks Bullish 2mo ago
How Under Armour's Growth Promises Led to a $434 Million Investor Settlement
▲ 1 💬 1 ⚡ 0.5
r/stockmarket Bullish 1mo ago
Under Armor stock had $500 million in insider buys in 2026 so far.
▲ 1 💬 0 ⚡ 0.5
Jun 1, 2026
short_volume
Short Volume: UAA — 59.1% short (1.8M / 3.0M)
Short: 1,794,634 | Exempt: 4,758 | TRF Vol: 3,037,552 | Short Ratio: 59.1% | Off-exchange volume (dark pool + OTC)
May 19, 2026
short_volume
Short Volume: UAA — 57.3% short (2.9M / 5.0M)
Short: 2,872,452 | Exempt: 1,078 | TRF Vol: 5,016,923 | Short Ratio: 57.3% | Off-exchange volume (dark pool + OTC)
May 14, 2026
short_interest
FTD: UAA — 124,607 shares ($0.6M) failed to deliver
Settlement: 20260514, Price: $5.11, FTD Value: $636,741.77, UNDER ARMOUR INC CL A
May 13, 2026
short_volume
Short Volume: UAA — 55.2% short (3.3M / 5.9M)
Short: 3,271,270 | Exempt: 105,120 | TRF Vol: 5,925,565 | Short Ratio: 55.2% | Off-exchange volume (dark pool + OTC)
May 12, 2026
earnings_calendar
UAA Q4 2026 Earnings After Market Close — 2026-05-12
May 12, 2026
short_volume
Short Volume: UAA — 61.6% short (8.3M / 13.4M)
Short: 8,253,257 | Exempt: 395,100 | TRF Vol: 13,402,001 | Short Ratio: 61.6% | Off-exchange volume (dark pool + OTC)
May 11, 2026
dark_pool
Dark Pool: UAA — 19.1M shares, 97,365 trades
Week starting 2026-05-11. Total ATS volume: 19,058,841 shares across 97,365 trades.
May 8, 2026
short_interest
FTD: UAA — 324,518 shares ($2.1M) failed to deliver
Settlement: 20260508, Price: $6.39, FTD Value: $2,073,670.02, UNDER ARMOUR INC CL A
May 4, 2026
dark_pool
Dark Pool: UAA — 7.6M shares, 58,752 trades
Week starting 2026-05-04. Total ATS volume: 7,613,088 shares across 58,752 trades.
May 1, 2026
short_volume
Short Volume: UAA — 58.6% short (1.3M / 2.3M)
Short: 1,342,475 | Exempt: 2,917 | TRF Vol: 2,291,199 | Short Ratio: 58.6% | Off-exchange volume (dark pool + OTC)
Apr 30, 2026
short_volume
Short Volume: UAA — 70.0% short (3.3M / 4.7M)
Short: 3,320,419 | Exempt: 222 | TRF Vol: 4,744,587 | Short Ratio: 70.0% | Off-exchange volume (dark pool + OTC)
Apr 27, 2026
dark_pool
Dark Pool: UAA — 8.2M shares, 57,333 trades
Week starting 2026-04-27. Total ATS volume: 8,205,606 shares across 57,333 trades.
Apr 24, 2026
short_volume
Short Volume: UAA — 59.1% short (1.7M / 2.9M)
Short: 1,707,086 | Exempt: 1,720 | TRF Vol: 2,889,694 | Short Ratio: 59.1% | Off-exchange volume (dark pool + OTC)
Apr 23, 2026
short_volume
Short Volume: UAA — 55.7% short (1.6M / 2.9M)
Short: 1,610,024 | Exempt: 7,528 | TRF Vol: 2,890,184 | Short Ratio: 55.7% | Off-exchange volume (dark pool + OTC)
Apr 22, 2026
short_volume
Short Volume: UAA — 61.7% short (2.1M / 3.5M)
Short: 2,136,816 | Exempt: 11,175 | TRF Vol: 3,465,461 | Short Ratio: 61.7% | Off-exchange volume (dark pool + OTC)