Not a good buy right now: price is still in a clear bearish trend (SMA_200 > SMA_20 > SMA_5) and momentum (MACD) is deteriorating.
Near-term bounce potential exists (RSI_6 ~24.7 = oversold), but without confirmation (no proprietary buy signals), the risk of another leg down remains meaningful.
Options positioning is bullish (call-heavy) and analysts see large upside vs $6.06, but the setup is more “speculative bounce/earnings bet” than a clean buy.
Trend: Bearish structure with moving averages stacked down (SMA_200 > SMA_20 > SMA_5), signaling the primary trend remains lower.
Momentum: MACD histogram -0.00523 and negatively expanding → downside momentum is still building, despite today’s bounce.
Mean-reversion: RSI_6 at 24.689 (oversold) → higher odds of a short-term rebound, but oversold can persist in downtrends.
Levels: Current $6.055 is below Pivot $6.221.
Support: S1 $5.878 then S2 $5.665
Resistance: R1 $6.565 then R2 $6.778
Pattern-based forward odds (similar candlesticks): ~80% chance of -0.18% next day; +3.23% next week; +12.07% next month (suggests upside skew over multi-week horizon, but choppy near-term).
Options Data
Bullish
Open Interest Put-Call Ratio
Bullish
Option Volume Put-Call Ratio
Sentiment (very call-heavy): Open interest P/C 0.28 and volume P/C 0.14 → traders are positioning more bullish than bearish.
Activity: Today’s options volume 1118 vs 30D avg shows a large spike (option flow materially elevated), consistent with positioning into a catalyst (earnings).
Volatility: 30D IV ~52.41 vs HV 54.67 (IV slightly below realized); IV percentile 59.6 (mid-high), suggesting options are not “cheap,” but not extreme either.
Technical Summary
Sell
10
Buy
0
Positive Catalysts
sit well above $6.06, implying the Street sees meaningful upside if execution stabilizes.
Neutral/Negative Catalysts
Technical downtrend remains intact: bearish MA stack + weakening MACD momentum argues against buying before trend confirmation.
Profitability trend worsened: latest reported quarter shows larger losses and weaker EPS YoY (see financials).
Event risk: Earnings is imminent; a miss or cautious guidance could push the stock through support ($5.88 / $5.67).
Merger overhang/uncertainty: Analyst updates reference the Udemy merger; integration/synergy timing uncertainty can cap near-term multiple expansion.
No supportive news flow in the last week to explain or sustain a new uptrend.
Takeaway: topline growth is steady, but the market likely needs clearer margin/earnings improvement to sustain a durable rerating.
Growth
Profitability
Efficiency
Analyst Ratings and Price Target Trends
Recent trend: Ratings are mixed-to-positive, but price targets were trimmed by some firms.
2026-01-05 RBC: Outperform, PT $11 (cut from $13)
2025-12-18 UBS: Neutral, PT $9 (cut from $11)
2025-12-17 JPMorgan: upgraded to Overweight, PT $12
Wall Street pros: Large upside vs current price; AI/enterprise tailwinds; potential improved enterprise spend environment.
Wall Street cons: PT cuts indicate lingering uncertainty; profitability still weak; merger-related execution risk.
Influential/political trading: No recent congress trading data available; hedge funds and insiders show neutral recent activity (no strong “smart money” confirmation).
Wall Street analysts forecast COUR stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for COUR is 12.1 USD with a low forecast of 9 USD and a high forecast of 14 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.
13 Analyst Rating
Wall Street analysts forecast COUR stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for COUR is 12.1 USD with a low forecast of 9 USD and a high forecast of 14 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.
8 Buy
5 Hold
0 Sell
Moderate Buy
Current: 5.980
Low
9
Averages
12.1
High
14
Current: 5.980
Low
9
Averages
12.1
High
14
BMO Capital
Jeffrey Silber
Outperform
to
NULL
downgrade
$11 -> $8
AI Analysis
2026-02-06
New
Reason
BMO Capital
Jeffrey Silber
Price Target
$11 -> $8
AI Analysis
2026-02-06
New
downgrade
Outperform
to
NULL
Reason
BMO Capital analyst Jeffrey Silber lowered the firm's price target on Coursera to $8 from $11 and keeps an Outperform rating on the shares. The company reported a solid quarter with better monetization, the analyst tells investors in a research note.
RBC Capital
Rishi Jaluria
Outperform -> NULL
downgrade
$11 -> $8
2026-02-06
New
Reason
RBC Capital
Rishi Jaluria
Price Target
$11 -> $8
2026-02-06
New
downgrade
Outperform -> NULL
Reason
RBC Capital analyst Rishi Jaluria lowered the firm's price target on Coursera to $8 from $11 and keeps an Outperform rating on the shares. The company delivered solid Q4 results highlighted by strength across consumer and enterprise segments, the analyst tells investors in a research note.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for COUR