Font: Financial Modeling Prep • Sep 16, 2026
Carnival Corporation (NYSE:CCL) is a leading global cruise company. It operates a large fleet of cruise ships across various brands. The company faces competition from other major players like Royal Caribbean and Norwegian Cruise Line. The entire cruise sector is navigating a post-pandemic recovery, but it now faces new challenges like pricing pressures in key markets, impacting investor outlook.
On September 16, 2026, an analyst from Stifel Nicolaus lowered their price target for Carnival to $35.00. At the time of the rating, the stock price was $22.11. This new target still suggests a potential upside of about 58.30%. This adjustment comes as the stock experiences significant downward movement in the market trends.
The stock's recent performance shows weakness. On September 15, Carnival closed down 2.11%, a larger drop than the S&P 500's 0.45% loss. Over the past month, the stock has fallen 18.64%. This sector-wide decline is linked to concerns over Caribbean pricing pressure, as highlighted by 24/7 Wall St, which also affected competitors' stock prices.
Despite a 26.00% stock price decline in 2026, as noted by The Motley Fool, Carnival reports strong operational results. The company has record trailing revenue of $27.30 billion, which is over 30.00% above its pre-pandemic high. It also has a history of 12 consecutive earnings beats and has recently reinstated its dividend for shareholders.
Investors are now watching for Carnival's next earnings report. Analysts project earnings of $1.36 per share, a 4.90% decrease from last year. However, they also expect revenue to grow 2.72% to $8.37 billion. For the full year, Zacks Consensus Estimates forecast earnings of $2.23 per share on revenue of $27.65 billion.
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