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Catalysts

EQIX Stock Catalysts

Earnings · Growth Drivers · Events · AIQ Catalyst

Real EstateREIT - SpecialtyScore data as of Sep 4, 2026

EQIX

Catalysts
Equinix, Inc.
Real Estate· REIT - Specialty
AIQ Score
BearishAIQ Edge 1/10
Low Priority
Relative Laggard
Score data as of Sep 4, 2026
Last price
$1,035.98
-$4.85 (-0.47%)
Latest market quote
Momentum16
Value25
Quality40
Risk Resilience55
Sentiment
View financial data

Stock Catalyst Board

Earnings timing, analyst expectations, news pressure, growth drivers, events, and AIQ Catalyst context.

Next earnings
Nov 4, 2026

Upcoming reporting date available for this company.

AIQ Catalyst
AIQ 32/100

Momentum 16/100 and sentiment before the next covered event.

Recent coverage
0 articles

Updated · Sentiment not scored

Earnings History And Surprises

See whether reported EPS and revenue have consistently exceeded or missed analyst expectations.

Earnings Expectations And Results

Compare what analysts expected with what the company reported across recent quarters.

Momentum 16/100AIQ Edge 1/10 Relative Laggard
Beat rate
63%
5 of 8 reported periods
Average surprise
-13.7%
Across covered historical reports
Latest result
+2.1%
Jul 29, 2026
EPS estimate versus actual
Actual bars are colored by beat, inline result, or miss.
Earnings history
Report dateFiscal periodEPS estimateEPS actualEPS surpriseRevenue estimateRevenue actual
Jul 29, 2026$4.73$4.83+2.1%$2.59B$2.63B
Apr 29, 2026$4.30$4.20-2.3%$2.52B$2.44B
Feb 11, 2026$3.71$2.69-27.5%$2.46B$2.42B
Oct 29, 2025$3.59$3.82+6.4%$2.33B$2.32B
Jul 30, 2025$3.48$3.76+8.0%$2.26B$2.26B
Apr 30, 2025$3.41$3.52+3.2%$2.22B$2.23B
Feb 12, 2025$2.75-$0.14-105.1%$2.27B$2.26B
Oct 30, 2024$2.94$3.10+5.4%$2.2B$2.2B

Analyst Forecast And Price Targets

Wall Street consensus, rating distribution, and the current 12-month target range.

Analyst ratings
Buy
26
Buy
6
Hold
12-month analyst target
$1,225.86
+18.33% versus current price
Based on 15 analyst observations. Targets are estimates, not predictions.
Low target
$1,109.00
+7.05% vs latest price
Average target
$1,225.86
+18.33% vs latest price
High target
$1,400.00
+35.14% vs latest price

Event Read

Catalysts should explain what can change the setup, when it might happen, and which AIQ component would move first.

Current event setup

Event dateNov 4, 2026

Next known earnings or reporting date.

EPS estimate$4.14

Current analyst expectation for the upcoming report.

Revenue estimate$2.57B

Current analyst expectation for the upcoming report.

Sentiment score

News pressure around the setup.

Momentum score16

Where event reaction would show up first.

AIQ score32/100

Composite decision read before event confirmation.

Analyst context

Consensus
Buy
Analysts
15
Average target
$1,225.86
Target upside
18.33%
Target range
$1,109.00 - $1,400.00
90-day revisions
9

News And Sentiment

Recent company coverage, scored where source sentiment is available.

No recent articles have a scored sentiment label.
Positive
0
Neutral
0
Negative
0

No recent company-specific news is available.

Open full news and sentiment

EQIX Catalysts FAQ

What are the next catalysts for EQIX stock?

EQIX's next stock catalysts can include earnings, guidance, analyst ratings, price-target changes, estimate revisions, product updates, regulatory events, contracts, or sector developments. Use this page to connect those events with AIQ and market context.

What upcoming events could move EQIX stock?

Upcoming events that could move EQIX include earnings reports, management commentary, estimate changes, major news, and market-wide sector catalysts.

How could EQIX's next earnings report affect the stock?

EQIX's next earnings report could affect the stock by changing revenue expectations, EPS estimates, guidance, analyst ratings, price targets, estimate revisions, and momentum.

What could drive EQIX stock higher?

EQIX could move higher if earnings, guidance, demand trends, analyst expectations, or AIQ momentum improve relative to what the market already expects.

What events could hurt EQIX stock?

EQIX could be hurt by weaker guidance, negative estimate revisions, margin pressure, adverse news, regulatory issues, or a sector-wide risk-off move.