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DUOL 2026-02-15

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Financial Report

Earnings Data Summary for DUOL as of 2026-02-15

Most recent EPS (Actual): 5.95

Most recent EPS (Consensus): 0.76

Historical EPS range (last 8 quarters): 0.06 - 1.2618

Historical Average EPS (last 8 quarters): 0.57

In the past 8 quarters, the company missed earnings estimates 0 times.

Most recent EPS reported date: 2025-11-05

Most recent EPS fiscal date (quarterly): 2025-09-30

Upcoming earnings date: 2026-02-26

Valuation Data Summary for DUOL as of 2026-02-15

Current P/E for DUOL: 38.09

1 year P/E range: 38.09 - 156.42

2 years P/E range: 38.09 - 667.21

5 years P/E range: -614.33 - 667.21

Management Sentiment Summary for DUOL in 2025Q3 earnings call:

The following is the average sentiment score for each management title:

The lower the score, the more negative the sentiment. The higher the score, the more positive the sentiment. 0.5 is neutral.

TitleSentiment Score
CFO0.39
CEO0.52

Insider transactions for DUOL in the last 90 days:

Total Amount Traded is negative for total net sale of shares. Positive for total net purchase of shares.

DateTotal Amount TradedAvg. Traded PriceTransaction TypeRemaining Shares
2025-11-19-10K$172.74Sell32.5K
2025-11-18-7K$175.79Sell882.6K
2025-11-17-8.1K$177.95Sell310.9K

Technical Report

Price Range for DUOL

DUOL current price: $112.57

5-Day Range: $107.16 - $125.88

50-Day Range: $107.16 - $213.37

200-Day Range: $107.16 - $544.93

Price Distribution for DUOL in the past 20 days

25th percentile: 118.41

Lowest price: 107.16

Price with moderate low (closest to -0.5) z-score: 130.22

Price with low (closest to -1.0) z-score: 112.41

Price below mean by one standard deviation: 113.13

Price below mean by two standard deviations: 96.63

Technical Indicators Summary for DUOL as of 2026-02-15

MACD values for DUOL in the past 14 days:

Datemacdsignalhistogram
2026-02-13-15.27-14.77-0.50
2026-02-12-15.53-14.65-0.88
2026-02-11-15.58-14.43-1.16
2026-02-10-15.14-14.14-1.01
2026-02-09-15.52-13.89-1.64
2026-02-06-15.60-13.48-2.12
2026-02-05-15.52-12.95-2.57
2026-02-04-14.67-12.30-2.37
2026-02-03-13.64-11.71-1.93
2026-02-02-12.47-11.23-1.24

EMA values for DUOL with a window of 50 days:

DateValue
2026-02-13160.20
2026-02-12162.14
2026-02-11164.19
2026-02-10166.43
2026-02-09168.29
2026-02-06170.31
2026-02-05172.39
2026-02-04174.76
2026-02-03177.12
2026-02-02179.44

EMA values for DUOL with a window of 200 days:

DateValue
2026-02-13252.30
2026-02-12253.71
2026-02-11255.13
2026-02-10256.60
2026-02-09257.96
2026-02-06259.36
2026-02-05260.77
2026-02-04262.24
2026-02-03263.70
2026-02-02265.14

RSI values for DUOL in the past 14 days:

DateValue
2026-02-1326.10
2026-02-1225.44
2026-02-1122.02
2026-02-1026.73
2026-02-0924.37
2026-02-0624.58
2026-02-0518.09
2026-02-0418.85
2026-02-0319.88
2026-02-0224.07

Money Flow Index (MFI) for DUOL over the last 10 trading days:

Latest MFI: 21.39

DateTypical PriceMoney Flow RatioMFI
2026-02-13112.920.2721.39
2026-02-12110.970.1714.55
2026-02-11111.250.1714.52
2026-02-10121.830.1915.79
2026-02-09117.560.098.03
2026-02-06117.550.000.00
2026-02-05117.700.1110.08
2026-02-04117.700.2117.28
2026-02-03123.130.2318.66
2026-02-02132.900.2620.62

Bollinger lower and higher band for DUOL, calculated for the past 20 days

Number of Standard Deviations: 2

Latest Close: 112.57

Latest SMA: 132.28

Latest Bollinger Lower Band: 99.67

Latest Bollinger Higher Band: 164.89

ADX for DUOL, calculated for the past 14 days

ADX: 62.2

Volume and volume ratio for DUOL:

Last 30 days average volume: 2.5M

Volume ratio and Price spread in the past 14 days:

DateVolumeVolume RatioPrice Spread (High - Low)
2026-02-151.9M0.785.80
2026-02-143M1.235.63
2026-02-134.5M1.8410.14
2026-02-122M0.826.98
2026-02-112.2M0.885.74
2026-02-102.3M0.936.04
2026-02-093.7M1.5111.23
2026-02-085.5M2.2211.39
2026-02-075M2.039.89
2026-02-062M0.806.32
2026-02-052.3M0.925.95
2026-02-042.5M1.006.18
2026-02-031.6M0.645.87
2026-02-021.6M0.657.80

No VWAP data for DUOL.

Support levels for DUOL (last 200 trading days):

Last Low: 107.16 on 2026-02-11 (UTC)

Last High: 117.3 on 2026-02-11 (UTC)

Fibonacci Levels: 23.6%: 114.91, 38.2%: 113.43, 50.0%: 112.23, 61.8%: 111.03, 78.6%: 109.33

Resonance Supports: 78.6%: 109.33

Short interest data for DUOL in the past 5 months:

Report DateShort InterestAvg Daily VolumeDays to Cover
2026-01-306.9M2M3.43
2026-01-157.4M2.1M3.55
2025-12-316.4M1.2M5.35
2025-12-155M1.6M3.10
2025-11-285.4M1.9M2.79
2025-11-145.4M3.5M1.54
2025-10-314.6M1.2M3.89
2025-10-153.9M1.2M3.11
2025-09-303.8M1.7M2.21
2025-09-153.5M2.2M1.55

Final Report

Recommendation: Buy Reasoning:

  • Financial: Strong earnings track record (0 misses in last 8 quarters, recent EPS beat of $5.95 vs. $0.76 consensus), robust revenue growth, and improving profitability. However, P/E of 38.09 remains elevated, and insider selling at higher prices along with cautious CFO sentiment (0.39) raise some concerns. Upcoming earnings on Feb 26, 2026, is a key catalyst.
  • Technical: Stock is in a strong downtrend (price below 50-day and 200-day EMAs, ADX 62.2), but oversold conditions (RSI ~26, MFI ~21) and proximity to support levels ($107.16 recent low, Fibonacci levels at $109-115) suggest potential for a bounce. No reversal signal yet; break below $107 could lead to further decline.
  • News: Predominantly positive sentiment (7 out of 10 articles positive), highlighting strong fundamentals (user growth, revenue, cash flow) and viewing the significant price decline as a buying opportunity. No negative articles found.

Strategy to Minimize Risk:

  1. Entry Price: Ideal buy zone: $107-112 (near recent low $107.16 and Fibonacci 78.6% support at $109.33). Current price $112.57 is acceptable but consider scaling in.
  2. Profit Targets:
  • Short-term: $125-130 (11-15% gain, near recent resistance)
  • Long-term: $160+ (42%+ gain, towards 50-day EMA) if trend reverses
  1. Stop-loss: $105 (6.7% below current price, below recent low)
  2. Time Horizon: Weeks to months, depending on earnings outcome. Earnings on Feb 26, 2026, may drive volatility; consider waiting for post-earnings clarity if risk-averse.

Final Notes: High risk due to earnings event and downtrend. For long-term investors, the oversold condition and strong fundamentals present a buying opportunity, but strict risk management is essential. Monitor for reversal signals and earnings results.