Font: Financial Modeling Prep • Aug 10, 2026
Albemarle Corporation (NYSE: ALB) is a global specialty chemicals company and a leading producer of lithium. Its products are critical components in batteries for electric vehicles and consumer electronics, as well as in energy storage solutions. This positions Albemarle Corporation at the forefront of the growing demand for clean energy technologies.
On August 10, 2026, Morgan Stanley analyst Vincent Andrews lowered the firm's price target on Albemarle Corporation to $161.00. A price target is an analyst's estimate of a stock's fair value. When this target was set, the stock traded at $131.11, meaning the new target suggests a potential upside of about 22.8%.
This updated target follows Albemarle Corporation's strong second-quarter 2026 financial report. Albemarle Corporation announced adjusted earnings of $3.75 per share, which beat the Zacks Consensus Estimate of $3.35. Revenue also came in higher than expected at $1.74 billion, surpassing the consensus mark of $1.59 billion.
Albemarle Corporation's performance was driven by strong lithium pricing and growing demand. As highlighted by Zacks, net sales jumped 31.1% year over year, and the company posted a net income of $438.30 million. This is a significant turnaround from a net loss of $18.80 million in the same quarter of the previous year.
However, Albemarle Corporation also issued a cautious outlook for the next quarter. Management expects that third-quarter sales and profits for its Energy Storage segment will be lower than the second quarter. In contrast, the company raised its expectations for its Specialties division and reduced its planned capital spending for the year.
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