UP Fintech Holding (TIGR) Q2 2026 earnings — TrendMatrix coverage
Reported
Model-generated analysis — not investment advice. Not a registered investment advisor. Past performance does not guarantee future results. How we score · Full disclosure
Key numbers
- Reported EPS
- $0.21
- Estimate
- $0.24
- Surprise
- -10.7%
- Score at report (before → after)
- 7.4 → 7.3/10
Revenue for this quarter isn’t shown: the reported figure hasn’t cleared TrendMatrix’s freshness and sanity checks yet, and consensus revenue isn’t tracked. EPS above is the available figure.
How the report landed
UP Fintech Holding (TIGR) missed the $0.24 estimate with diluted EPS of $0.21 — a large 10.7% shortfall. TrendMatrix's engine moved from Buy (Wait) (7.4/10) to Sell at 7.3/10 after the report.
Where TrendMatrix's rating stands now
TrendMatrix currently rates TIGR Buy (Wait) at 7.2/10.
2 of the last 4 quarters beat the estimate; this quarter's -10.7% surprise compares with a -28.8% four-quarter average. Next scheduled report: 2026-11-12.
What supports the rating
- V7 quality resilience bonus: +0.2 (Q=7.0 in RISK_OFF)
- Sector modifier (Financial Services): +1.0
What argues against it
- Consecutive earnings misses (2)
- Below 200-MA, MA slope -10.3%/30d (confirmed downtrend)
- News modifier -1: STRONG_BUY_NOW → STRONG_BUY_WAIT
This section and the ones below it reflect TrendMatrix’s latest engine read — they update after the report date and are not frozen to it.
The levels TrendMatrix's engine tracks
- Current price
- $5.07
- Entry target
- $4.60
- Price target
- $6.71
- Stop
- $4.10
- Upside to target
- +32.3%
- Reward-to-risk
- 2.8:1
The stock trades at 10.2× trailing but 5.3× forward earnings — consensus estimates already build in a substantial earnings recovery.
Risk check: trading volume is running 1.5× its average — elevated turnover around the report window.
Model outputs from TrendMatrix’s engine as of 2026-09-04 — shown for context, not personalized investment advice.
TIGR at TrendMatrix's latest read
For financials, the EPS print is only half the story: credit costs, reserve builds, and rate sensitivity decide how a quarter actually lands.
- Industry
- Capital Markets
- Market cap
- $861.5M
- P/E (fwd)
- 5.3
- P/E (ttm)
- 10.2
- 52-week range
- $4.00–$13.42
- Off 52-week high
- 62.2%
- RSI (14)
- 61
- Volume vs avg
- 1.54×
- Score today
- 7.2/10