HTFB / Horizon Technology Finance Corporation - Preferred Security (NYSE) - Forecast, Price Target, Estimates, Predictions

Horizon Technology Finance Corporation - Preferred Security
US ˙ NYSE ˙ US44045A4094

Projected Stock Price
$25.27 ↑0.54%

Estimated share price by August 22, 2026.

Projected Revenue

21  MM ↓-13.60%

Estimated quarterly revenue by December 31, 2026.

Projected Earnings Per Share

0.23 ↑146.54%

Estimated quarterly earnings by December 31, 2027.

Price Target

The average one-year price target for Horizon Technology Finance Corporation - Preferred Security is $25.27. The forecasts range from a low of $21.71 to a high of $30.09.

Update Frequency: Monthly

Record Date Projection Date High Low Median Average
2025-08-22 2026-08-22 30.09 21.71 25.58 25.27
Stock Upgrades/Downgrades

This card shows analyst upgrades/downgrades for Horizon Technology Finance Corporation - Preferred Security. An analyst rating is a classification that gives investors a sense of analyst sentiment about the direction and performance of an equity - usually a stock - over a period of time, typically 12 months.

The standard analyst ratings are generally as follows:
  • Buy/Overweight/Outperform - Any of these ratings conveys an analyst’s belief that the stock is likely to outperform a market index (e.g. the S&P 500).
  • Hold/Equal-Weight/Market Perform - Any of these ratings conveys an analyst’s belief that the stock is likely to perform in line with a market index.
  • Sell/Underweight/Underperform - Any of these ratings suggest that an analyst believes the stock is likely to underperform a market index.

When an analyst upgrades a stock, they are signaling that the company’s fundamentals are being undervalued by investors. It could also mean they believe the market is underestimating the company’s potential. The opposite is true when a stock receives a downgrade.

The average rating of each individual analyst’s rating is the consensus rating for a stock. This gives investors a broader sense of the overall sentiment for that stock.

Why Are Analyst Ratings important?

In addition to being able to interpret financial data, stock analysts have connections within the companies they cover that give them access to information retail investors do not have.

Therefore, analyst ratings can help you find opportunities in the market. However, they are guidelines more than recommendations. This is why it’s important to look at analyst ratings over a period of time.

If analysts change their ratings frequently, you should pay close attention to the company’s fundamentals. For example, has there been a significant change to the company’s earnings growth and/or debt?

You should also pay attention to the number of analysts covering a stock over the course of a year. In general, the more analysts who cover the stock give the consensus rating more credibility, but each individual rating less overall weight.

How to Use Analyst Ratings ?

Analyst ratings are one data point for you to consider. Here are some strategies you can use to fine tune your research.

Look at more than one analyst and don’t hesitate to look at analysts that have differing views. This can help challenge any preconceived ideas you have about a stock and point out ways in which your thesis for owning or avoiding a stock may have changed.

Compare a stock’s rating with other stocks in its industry or sector. In some cases, a stock is simply superior to others in its sector. However, at other times, it could be overvalued based on investor sentiment instead of fundamentals.

How are the Fintel Analyst Ratings different?

Analyst ratings by Fintel are presented in close to real-time to stay ahead of generalized information flow. Combined with target price estimates and revenue estimates for the company you have greater accuracy despite market volatility.

Date Analyst Prior Latest
Recommendation
Action
2024-03-18 UBS Neutral Neutral Maintains
2024-03-12 Keefe, Bruyette & Woods Underperform Underperform Maintains
2024-03-01 Oppenheimer Perform Perform Maintains
2024-02-28 Ladenburg Thalmann Buy Neutral Downgrade
2024-01-08 B. Riley Securities Neutral Sell Downgrade
2023-10-17 Compass Point Neutral Sell Downgrade
2023-09-27 Compass Point Sell Neutral Upgrade
2023-08-04 Compass Point Neutral Sell Downgrade
2023-08-03 Oppenheimer Perform Perform Reiterate
2023-07-11 Compass Point Neutral Neutral Maintains
2023-04-11 Ladenburg Thalmann Buy Initiate
2022-12-20 Keefe, Bruyette & Woods Market Perform Underperform Downgrade
2022-10-05 Janney Montgomery Scott Neutral Initiate
2022-09-16 B. Riley Securities Neutral Reiterate
2022-09-09 UBS Neutral Initiate
2022-05-05 Compass Point Sell Neutral Upgrade
2020-09-23 National Securities Neutral Initiate
2020-04-30 B. Riley FBR Neutral Maintains
2020-04-30 Aegis Capital Buy Maintains
2020-03-24 B. Riley FBR Neutral Maintains
2020-03-04 Aegis Hold Buy Upgrade
2020-02-28 Compass Point Sell Neutral Upgrade
2020-02-04 B. Riley FBR Neutral Initiate
2020-02-04 B. Riley Neutral Initiate
2020-01-06 Aegis Hold Initiate
2019-10-29 Janney Capital Neutral Initiate
2019-03-07 Maxim Group Buy Buy Reiterate
2018-10-22 Keefe Bruyette & Woods Market Perform Underperform Downgrade
2018-08-01 Compass Point Neutral Sell Downgrade
2018-01-09 Wells Fargo Market Perform Underperform Downgrade
2017-11-02 Raymond James Underperform Market Perform Upgrade
2017-08-23 Maxim Group Hold Buy Upgrade
2017-08-03 Raymond James Market Perform Underperform Downgrade
2016-11-09 Compass Point Neutral Sell Downgrade
2016-11-03 National Securities Buy Neutral Downgrade
2016-08-04 Oppenheimer Outperform Perform Downgrade
2016-03-10 Oppenheimer Market Perform Outperform Upgrade
2016-01-27 Raymond James Outperform Market Perform Downgrade
2015-11-10 Raymond James Market Perform Outperform Upgrade
2015-06-04 Oppenheimer Outperform Perform Downgrade
2015-05-13 Oppenheimer Outperform Initiate
2015-03-12 Wunderlich Hold Buy Upgrade
2014-08-06 Raymond James Underperform Market Perform Upgrade
2014-07-28 Wunderlich Buy Hold Downgrade
2014-06-27 National Securities Buy Hold Downgrade
2014-05-13 Gilford Securities Buy Neutral Downgrade
2014-03-13 Wunderlich Buy Maintains
2014-03-12 Keefe Bruyette & Woods Market Perform Underperform Downgrade
2013-12-09 National Securities Buy Initiate
2013-11-05 JMP Securities Market Perform Initiate
2013-08-08 Raymond James Market Perform Underperform Downgrade
2013-04-18 Gilford Securities Neutral Buy Upgrade
2013-04-10 UBS Buy Maintains
2013-03-26 Wells Fargo Outperform Market Perform Downgrade
2013-03-14 Wunderlich Buy Maintains
2013-03-01 Wunderlich Buy Initiate
2013-02-15 Gilford Securities Buy Neutral Downgrade
2012-11-09 Gilford Securities Hold Buy Upgrade
2012-11-08 Raymond James Outperform Market Perform Downgrade
2012-11-06 Gilford Securities Hold Initiate
2012-10-11 National Securities Buy Initiate
2012-07-30 UBS Neutral Buy Upgrade
2012-03-14 UBS Neutral Maintains
2024-08-01 B. Riley Securities Sell Sell Reiterate
2024-08-01 Keefe, Bruyette & Woods Underperform Underperform Maintains
2024-12-17 Compass Point Sell Neutral Upgrade
2025-03-07 Keefe, Bruyette & Woods Underperform Underperform Maintains
2025-03-10 Maxim Group Buy Buy Maintains
2025-04-08 Keefe, Bruyette & Woods Underperform Underperform Maintains
2025-04-17 UBS Neutral Neutral Maintains
2025-08-11 Maxim Group Buy Buy Maintains
2025-07-16 UBS Neutral Neutral Maintains
Revenue Estimates

The forecasted annual revenue of Horizon Technology Finance Corporation - Preferred Security in 2026-12-31 is 84MM. )

Understanding a company’s revenue history gives investors a snapshot of its potential growth. Revenue growth is a solid predictor of earnings (or profit) growth. A company that can increase its revenue while keeping its operating costs constant has more available capital to reinvest into its business or return to shareholders through dividends or share buybacks.

However, investors should be careful before investing in a company that is growing revenue but showing declining earnings or is unprofitable. In some cases, this is simply a case of a young company that is still in an early growth phase. But if this is a mature company, it can indicate that other fundamental problems exist.

How to Interpret Revenue Estimates?

Fintel gives you revenue projections for stocks that cover 10 years between 2020 and 2030. Although past performance does not guarantee future results, you can be more confident in your decision to buy or sell a stock when you see a company with revenue that has a track record of increasing its revenue.

Update Frequency: Quarterly

Date Revenue Average Quarterly (MM) Number of Analysts (Quarterly) Revenue Average Annually (MM) Number of Analysts (Annually)
2025-09-30 30 4 -- --
2025-12-31 31 4 121 4
2026-03-31 21 3 -- --
2026-06-30 21 3 -- --
2026-09-30 21 3 -- --
2026-12-31 21 3 84 3
Earnings Estimates

The forecasted annual earnings of Horizon Technology Finance Corporation - Preferred Security in 2027-12-31 is 1.26 per share.

One part of an analyst’s rating is a profit (i.e., earnings) estimate for the current quarter and/or future quarters. The measurement given is earnings per share (EPS). EPS is a metric that indicates how much a company earned as represented by one share of its stock over a specific period (typically three months).

Earnings per Share Calculation

To understand the earnings per share calculation, you must understand net income. Net income is the amount of money a company has left over after deducting appropriate expenses and taxes from its revenues).

The formula for earnings per share is net income divided by the total number of outstanding shares (i.e., available for purchase). For example:

Company A has a net income of $100 million and forty million outstanding shares. The EPS calculation is as follows:

100,000,000/40,000,000 = $2.50 per share

How to use Earnings Per Share in Stock Analysis

Earnings per share is an essential metric for you to consider when deciding to buy a stock. After all, a company with high earnings per share is productive and generates revenue in excess of its operating costs.

However, it’s not the only metric you should use. Metrics like price-to-earnings and debt-to-equity add additional perspective about a company’s health.

You should also be sure to compare a company’s EPS with a company in its sector. However, when you do, be aware that EPS is different and more important than net profit by itself. You may see a company that has a rising net profit. But if its outstanding shares are also rising, then its EPS might be flat or even edging lower.

Update Frequency: Quarterly

Date EPS Average (Quarterly) Number of Analysts (Quarterly) EPS Average (Annual) Number of Analysts (Annually)
2025-09-30 0.38 3 -- --
2025-12-31 0.38 3 1.52 3
2026-03-31 0.36 3 -- --
2026-06-30 0.36 3 -- --
2026-09-30 0.36 3 -- --
2026-12-31 0.36 3 1.38 3
2027-03-31 0.23 4 -- --
2027-06-30 0.23 4 -- --
2027-09-30 0.23 4 -- --
2027-12-31 0.23 4 1.26 3
EBITDA Estimates
No data available.
EBIT Estimates
No data available.
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