RGP

RESOURCES CONNECTION, INC.

Nasdaq · Services-Business Services, NEC · Inc. DE · CIK 0001084765
$4.53 0.00% $155.5M
High Impact Filing (7/10)3 New Institutional Positions
Vol
Market Cap$155.5M
Cap SizeMicro Cap
Inst. Holders8 funds
Inst. Value$22.3M
Inst. Activity3 buys / 1 sells
SEC Reports3
Exchange Nasdaq·Sector Services-Business Services, NEC·Inc. DE·CIK 0001084765·Prev Close $4.53

Recent Activity

Jun 1, 2026 Insider
PISANO A ROBERT sold 112,371 shares
Director @ $0.00 ($0.00)
May 5, 2026 SEC
RGP announced planned retirements of two board directors, a reduction in board size from eight to six, and the appointme
8-K — Impact 2/10
Apr 9, 2026 short_volume
Short Volume: RGP — 64.6% short (0.3M / 0.5M)
Short: 343,301 | Exempt: 21,883 | TRF Vol: 531,506 | Short Ratio: 64.6% | Off-exchange volume (dark
Apr 8, 2026 SEC
Resources Connection reported Q3 FY26 revenue of $107.9M (down 16.6% YoY) and GAAP EPS loss of $0.28, missing consensus
8-K — Impact 7/10
Mar 20, 2026 Insider
Iyer Venkataraman Ramaswamy sold 1,471.035 shares
President @ $0.00 ($0.00)
Mar 20, 2026 Insider
Lane Michael Wayne sold 3,688.427 shares
President @ $0.00 ($0.00)
Mar 4, 2026 SEC
Resources Connection, Inc. (RGP) announced the departure of Chief Operating Officer Bhadreskumar Patel, effective May 15
8-K — Impact 3/10
Inst.
CHARLES SCHWAB INVESTMENT MANAGEMENT — ADD
1,407,032 shares ($7.1M)

Price Targets

Historical data — last covering-analyst action Sep 2025. No current recommendation available.
$5.50 (Sep 2025)
Current $4.69 Low $4.00 Median $5.50 High $7.00 4 analysts
$4.00 $7.00

Analyst Ratings

Historical distribution63% buy · 8 analysts · last covering-analyst action Sep 2025
2Strong Buy
3Buy
2Hold
1Sell
0Strong Sell
Historical Analyst Actions
DateFirmActionRating
Sep 24, 2025 Northcoast Research INITIATE Buy
Apr 3, 2025 JP Morgan MAINTAIN Underweight → Underweight
Jul 23, 2024 JP Morgan MAINTAIN Underweight → Underweight
May 29, 2024 Noble Capital Markets INITIATE Outperform
Apr 4, 2024 Baird MAINTAIN Neutral → Neutral

Earnings Estimates

PeriodEPS Est.RangeGrowth#
Current Q $-0.11 ▼ -213.8% $-0.18 — $-0.04 -169% YoY 2
Next Q $-0.05 ▼ -266.7% $-0.05 — $-0.05 -267% YoY 1
Current FY $-0.11 ▼ -200.0% $-0.18 — $-0.04 -148% YoY 2
Next FY $-0.01 ▼ -103.3% $-0.19 — $0.17 91% YoY 2

Top Institutional Holders

FundValueMove
VANGUARD GROUP INC$9.5M
CHARLES SCHWAB INVESTMENT MANAGEMENT$7.1MADD
MORGAN STANLEY$2.3MADD
RENAISSANCE TECHNOLOGIES LLC$1.4MADD
BANK OF AMERICA CORP$872.4K

Recent Insider Trades

DateInsiderTypeValue
Jun 1, 2026PISANO AG$0.00
Mar 20, 2026Iyer VenkataramanA$0.00
Mar 20, 2026Lane MichaelA$0.00
Mar 20, 2026von MaltzanA$0.00
Mar 20, 2026KISTINGER ROBERTA$0.00
8 institutional holders with $22.3M total value (4,427,713 shares) as of 2025-Q4. Top holders: VANGUARD, CHARLES, MORGAN. Net buying activity: 3 institutions added/increased vs 1 reduced.

Top Institutional Holders — 2025-Q4

#FundSharesValue% of TrackedLast Move
1VANGUARD GROUP INC1,877,587$9.5M42.4%
2CHARLES SCHWAB INVESTMENT MANAGEMENT INC1,407,032$7.1M31.8%ADD +37.1%
3MORGAN STANLEY462,932$2.3M10.5%ADD +47.2%
4RENAISSANCE TECHNOLOGIES LLC281,200$1.4M6.4%ADD +47.8%
5BANK OF AMERICA CORP /DE/173,103$872.4K3.9%
6TWO SIGMA INVESTMENTS, LP134,310$676.9K3.0%ADD +25.4%
7FMR LLC56,513$284.8K1.3%TRIM -39.4%
8WELLS FARGO & COMPANY/MN35,036$176.6K0.8%ADD +40.2%

Recent Position Changes

FundActionPrev SharesCurr SharesChange %ValueQuarter
CHARLES SCHWAB INVESTMENT MANAGEMENT INCADD1,026,2631,407,032+37.1%$7.1M2025-Q4
TWO SIGMA INVESTMENTS, LPADD107,111134,310+25.4%$676.9K2025-Q4
FMR LLCTRIM93,29656,513-39.4%$284.8K2025-Q4
WELLS FARGO & COMPANY/MNADD24,99035,036+40.2%$176.6K2025-Q4
CHARLES SCHWAB INVESTMENT MANAGEMENT INCADD708,8811,026,263+44.8%$5.2M2025-Q3
TWO SIGMA INVESTMENTS, LPDOUBLED13,921107,111+669.4%$540.9K2025-Q3
FMR LLCADD71,37193,296+30.7%$471.1K2025-Q3
UBS Group AGTRIM53,80032,170-40.2%$162.5K2025-Q3
CHARLES SCHWAB INVESTMENT MANAGEMENT INCADD482,919708,881+46.8%$3.8M2025-Q2
MORGAN STANLEYADD372,284547,915+47.2%$2.9M2025-Q2
RENAISSANCE TECHNOLOGIES LLCADD174,000257,142+47.8%$1.4M2025-Q2
FMR LLCDOUBLED24,55671,371+190.6%$383.3K2025-Q2
TWO SIGMA INVESTMENTS, LPNEAR_EXIT57,34813,921-75.7%$74.8K2025-Q2
CHARLES SCHWAB INVESTMENT MANAGEMENT INCADD369,805482,919+30.6%$3.2M2025-Q1
MORGAN STANLEYTRIM611,975372,284-39.2%$2.4M2025-Q1
UBS Group AGNEAR_EXIT356,55458,853-83.5%$384.9K2025-Q1
TWO SIGMA INVESTMENTS, LPNEAR_EXIT230,58457,348-75.1%$375.1K2025-Q1
FMR LLCTRIM35,27924,556-30.4%$160.6K2025-Q1
CITADEL ADVISORS LLCNEAR_EXIT215,10710,887-94.9%$71.2K2025-Q1
MORGAN STANLEYADD337,059611,975+81.6%$5.2M2024-Q4
UBS Group AGTRIM591,839356,554-39.8%$3.0M2024-Q4
CITADEL ADVISORS LLCTRIM461,137215,107-53.4%$1.8M2024-Q4
RENAISSANCE TECHNOLOGIES LLCTRIM201,642150,400-25.4%$1.3M2024-Q4
WELLS FARGO & COMPANY/MNADD14,98819,784+32.0%$168.8K2024-Q4
CHARLES SCHWAB INVESTMENT MANAGEMENT INCNEW436,961$4.2M2024-Q3
9 unique insiders with 0 transactions. Net insider value: $0.00 ($0.00 bought, $0.00 sold).

Insider Transactions

DateInsiderTitleTypeSharesPriceValue
Jun 1, 2026PISANO A ROBERTDirectorG112,371$0.00$0.00
Mar 20, 2026Iyer Venkataraman RamaswamyPresidentA1,471.035$0.00$0.00
Mar 20, 2026Lane Michael WaynePresidentA3,688.427$0.00$0.00
Mar 20, 2026von Maltzan MarcoDirectorA1,582$0.00$0.00
Mar 20, 2026KISTINGER ROBERT FDirectorA1,677$0.00$0.00
Mar 20, 2026Rottmann Scott GlennPresidentA3,825.484$0.00$0.00
Mar 20, 2026Ryu Jennifer YCFOA2,489.782$0.00$0.00
Mar 20, 2026Carlile Roger DPresident and CEOA13,089.398$0.00$0.00
Mar 17, 2026Pierozzi LisaDirectorG38,421$0.00$0.00
Feb 2, 2026Carlile Roger DPresident and CEOG4,137$0.00$0.00

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

Historical analyst distribution (last covering-analyst action Sep 2025): 63% buy across 8 analysts — 2 strong buy, 3 buy, 2 hold, 1 sell, 0 strong sell. No current recommendation available.

Analyst Price Targets

Historical data — last covering-analyst action Sep 2025. No current recommendation available.
$5.50 mean target (Sep 2025)
$4.00 Low $7.00 High
MetricValue
Current Price$4.69
Target Low$4.00
Target Mean$5.50
Target Median$5.50
Target High$7.00
# Analysts4
Recommendation— (no recent coverage)

Earnings Estimates & Revisions

PeriodEPS AvgEPS LowEPS HighEPS Growth30d Rev.Up/DownRev. AvgRev. GrowthAnalysts
Current Q
2026-05-31
$-0.11 $-0.18 $-0.04 -168.8% -213.8% $0.1B -23.4% 2
Next Q
2026-08-31
$-0.05 $-0.05 $-0.05 -266.7% -266.7% $0.1B -11.9% 1
Current FY
2026-05-31
$-0.11 $-0.18 $-0.04 -147.8% -200.0% $0.5B -17.9% 2
Next FY
2027-05-31
$-0.01 $-0.19 $0.17 90.9% -103.3% $0.4B -1.1% 2

Current Quarter EPS Revision History

TimepointEPS EstimateChange
Current$-0.110
7d ago$0.097-0.207
30d ago$0.097-0.207
60d ago$0.097-0.207
90d ago$0.097-0.207
10 analyst firms have rated this stock: 1 upgrades, 2 downgrades, 3 initiations.

Historical Analyst Actions

DateAnalyst FirmActionPrevious RatingNew Rating
Sep 24, 2025 Northcoast Research INITIATE Buy
Apr 3, 2025 JP Morgan MAINTAIN Underweight Underweight
Jul 23, 2024 JP Morgan MAINTAIN Underweight Underweight
May 29, 2024 Noble Capital Markets INITIATE Outperform
Apr 4, 2024 Baird MAINTAIN Neutral Neutral
Oct 5, 2023 JP Morgan MAINTAIN Underweight Underweight
Apr 5, 2023 JP Morgan MAINTAIN Underweight
Apr 5, 2023 Baird MAINTAIN Neutral
Nov 15, 2022 B of A Securities UPGRADE Underperform Neutral
Apr 3, 2020 Baird MAINTAIN Neutral
Apr 3, 2020 JP Morgan MAINTAIN Underweight
Jan 4, 2019 Baird MAINTAIN Neutral Neutral
Jan 4, 2018 JP Morgan DOWNGRADE Neutral Underweight
Jul 21, 2017 Deutsche Bank MAINTAIN Sell
Oct 6, 2016 Deutsche Bank MAINTAIN Sell
Oct 6, 2016 Baird MAINTAIN Neutral
Aug 18, 2016 Deutsche Bank INITIATE Sell
Jul 19, 2014 Macquarie MAINTAIN Neutral
Apr 3, 2013 Deutsche Bank MAINTAIN Hold
Dec 21, 2012 Bank of America MAINTAIN Buy
Dec 21, 2012 BMO Capital MAINTAIN Market Perform
Dec 21, 2012 Deutsche Bank MAINTAIN Hold
Oct 17, 2012 Macquarie DOWNGRADE Outperform Neutral
Oct 8, 2012 Deutsche Bank MAINTAIN Hold
Oct 3, 2012 Bank of America MAINTAIN Buy
Jul 13, 2012 BMO Capital MAINTAIN Market Perform
Jun 25, 2012 Barclays MAINTAIN Overweight

Monthly Consensus History

PeriodStrong BuyBuyHoldSellStrong SellBuy %Distribution
Jun 1, 20262321063%
May 1, 20262321063%
Apr 1, 20262321063%
Mar 1, 20262321063%
Feb 1, 20262321063%
Jan 1, 20262321063%
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.

Apr 9, 2026
short_volume
Short Volume: RGP — 64.6% short (0.3M / 0.5M)
Short: 343,301 | Exempt: 21,883 | TRF Vol: 531,506 | Short Ratio: 64.6% | Off-exchange volume (dark pool + OTC)
Apr 8, 2026
earnings_calendar
RGP Q3 2026 Earnings Scheduled — 2026-04-08