Font: Financial Modeling Prep • Jul 23, 2026
The PNC Financial Services Group (NYSE:PNC) is a major American bank offering comprehensive financial services including retail banking, corporate banking, and asset management. A Deutsche Bank analyst recently set a new price target for PNC at $265.00, accompanying a downgrade of the bank stock to a "Hold" rating from a previous "Buy" recommendation.
A "Hold" rating typically indicates an analyst's expectation that the stock performance will align with the broader market, without significant appreciation or depreciation. At the time of the announcement, PNC's stock price stood at $252.51. This implies a potential upside of approximately 4.95% to reach the new analyst target.
This rating adjustment follows PNC's robust second-quarter 2026 results, as reported by Benzinga. The company's adjusted earnings reached $4.85 per share, surpassing the analyst consensus of $4.43. Quarterly revenue also climbed to $6.88 billion, exceeding the consensus estimate of $6.50 billion.
These positive financial results were primarily fueled by a 15.5% year-over-year increase in net interest income (NII), as highlighted by Zacks Investment Research. NII represents the profit a bank generates from the spread between interest earned on loans and interest paid on deposits. Furthermore, fee income demonstrated a substantial 31.4% year-over-year climb, contributing to the bank's overall profitability.
Despite these impressive gains, PNC’s share price experienced a decline of nearly 3.8% following the release of the results. This downturn is largely attributed to higher operating expenses and a 1.7% sequential decrease in deposit balances. A reduction in deposits can be a significant concern for a bank, as they serve as a crucial source of funding for its lending operations.
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