GT
Q4 2026 EPS Estimate
$0.05
Nov 2, 2026 · Reports after close
Revenue Estimate
$4.66B
FY2027E EPS$0.63
FY2028E EPS$1.35

Analyst Sentiment

Wall St. Consensus
Hold
25 analysts·High coverage
55
Score
9 Buy (36%)12 Hold (48%)4 Sell (16%)
Rating Breakdown
Strong Buy
00%
Buy
936%
Hold
1248%
Sell
416%
Strong Sell
00%

Analyst ratings reflect Wall Street opinion, not guarantees. Historical accuracy varies by firm and sector.

Price Target Expectations

Bear
$7.00
+16.2%
Consensus
$8.00
+32.8%
Bull
$9.00
+49.4%
12-Month Target Range25 analysts
$7.00$8.00$9.00
Current $6.03Consensus
Current Price
$6.03
Upside to Consensus
$1.97

Price targets are 12-month analyst forecasts. Actual results depend on earnings, market conditions, and sector trends.

Earnings & Revenue Estimates

Forward Growth Estimates (YoY)
FY2027
Rev+2.83%
EPS
FY2028
Rev+1.79%
EPS+114.61%
FY2029
Rev+11.39%
EPS+23.74%
Raw consensus estimates (low / average / high) from covering analysts.
Annual
MetricFY2026EFY2027EFY2028EFY2029EFY2030E
Revenue Avg$17.69B$18.19B$18.51B$20.62B$18.03B
Low$17.43B$17.63B$18.07B$19.25B$16.83B
High$18.05B$18.62B$18.98B$21.20B$18.53B
EBITDA Avg$1.41B$1.45B$1.47B$1.64B$1.43B
Low$1.39B$1.40B$1.44B$1.53B$1.34B
High$1.44B$1.48B$1.51B$1.69B$1.47B
EBIT Avg$488M$502M$511M$569M$498M
Low$481M$487M$499M$532M$465M
High$498M$514M$524M$585M$512M
Net Income Avg$-175M$187M$367M$484M$580M
Low$-397M$135M$334M$442M$530M
High$249M$299M$448M$501M$601M
EPS Avg$-0.34$0.63$1.35$1.67$2.00
Low$-1.37$0.47$1.15$1.52$1.83
High$0.86$1.03$1.54$1.73$2.07
Analysts (Rev / EPS)7 / 47 / 45 / 22 / 12 / 1
Quarterly
MetricQ3 2026Q4 2026Q1 2027Q2 2027Q3 2027Q4 2027Q1 2028Q2 2028
Revenue Avg$4.63B$4.95B$4.04B$4.18B$4.60B$4.82B$4.11B$4.29B
Low$4.50B$4.86B$3.75B$3.88B$4.27B$4.47B$3.82B$3.98B
High$4.82B$5.02B$4.20B$4.34B$4.78B$5.00B$4.27B$4.46B
EBITDA Avg$368M$394M$321M$332M$366M$383M$327M$341M
Low$358M$386M$298M$308M$339M$355M$303M$316M
High$383M$399M$334M$345M$380M$398M$340M$354M
EBIT Avg$128M$137M$112M$115M$127M$133M$114M$118M
Low$124M$134M$104M$107M$118M$123M$105M$110M
High$133M$139M$116M$120M$132M$138M$118M$123M
Net Income Avg$16M$102M$-27M$-35M$66M$166M$49M$-3M
Low$-4M$42M$-29M$-36M$60M$150M$45M$-3M
High$31M$135M$-25M$-31M$70M$174M$52M$-3M
EPS Avg$0.06$0.35$-0.09$-0.12$0.23$0.57$0.17$-0.01
Low$-0.01$0.15$-0.10$-0.13$0.21$0.52$0.15$-0.01
High$0.11$0.47$-0.09$-0.11$0.24$0.60$0.18$-0.01
Analysts (Rev / EPS)4 / 54 / 42 / 12 / 12 / 12 / 11 / 21 / 2

Earnings Surprises

Recent Analyst Actions

Jun 4, 2026Argus Research
Goodyear Tire price target lowered to $9 from $13 at Argus
Target:$9.00
+56.5%from $5.75
May 11, 2026Deutsche Bank
Goodyear Tire downgraded to Hold from Buy at Deutsche Bank
Target:$7.00
+7.6%from $6.50
Apr 16, 2026Deutsche Bank
Goodyear Tire price target lowered to $9 from $12 at Deutsche Bank
Target:$9.00
+35.5%from $6.64
Jan 22, 2026Deutsche Bank
Goodyear Tire price target raised to $12 from $10 at Deutsche Bank
Target:$12.00
+24.1%from $9.67
Nov 28, 2025Morgan Stanley
Goodyear Tire price target raised to $7.30 from $6.88 at Morgan Stanley
Target:$7.30
-15.7%from $8.66
Nov 5, 2025Deutsche Bank
Goodyear Tire price target lowered to $10 from $11 at Deutsche Bank
Target:$10.00
+34.6%from $7.43
Aug 8, 2025BNP Paribas
Goodyear Tire downgraded to Neutral from Outperform at BNP Paribas Exane
Target:$9.00
+7.0%from $8.41
Jun 13, 2024Morgan Stanley
Morgan Stanley Starts Goodyear Tire & Rubber (GT) at Equalweight
Target:$14.00
+16.9%from $11.98
May 12, 2022Morgan Stanley
Morgan Stanley Maintains Equal-Weight on Goodyear Tire & Rubber, Lowers Price Target to $18.5
Target:$18.50
+66.4%from $11.12
Apr 21, 2022Deutsche Bank
Deutsche Bank Maintains Buy on Goodyear Tire & Rubber, Lowers Price Target to $19
Target:$19.00
+37.0%from $13.87
Feb 14, 2022Nomura
The Goodyear Tire & Rubber Company (GT) Stock: Why The Price Increased Today
Target:$15.00
-6.4%from $16.02
Data is provided for informational purposes only and does not constitute investment advice. Past performance is not indicative of future results.