Track the GULFPORT ENERGY CORP stock price and the full directors' dealings record of the company, a listed equity based in United States. Shares are listed on the US market, under the supervision of SEC (Form 4). Operating in the Energy sector, GULFPORT ENERGY CORP has recorded 153 insider filings. Market capitalisation: €2.9bn. The latest transaction was filed on 1 June 2026 (Attribution). Among the most active insiders: Cutt Timothy J.. The full history is openly available.
153
Insider Decl.
n/a
Thresholds
€21m
5 ops.
Buy Volume
€1bn
44 ops.
Sell Volume
Analyst consensus: bullish or bearish?
Analysts rate GULFPORT ENERGY CORP Buy (bullish), based on 11 analysts. Average price target: US$233.91.
35Σ signal
Buys €21m€1bn Sells
This score ranks the purchase within its own market. No market currently meets the historical allocation criteria, so signals remain watch-only. Not investment advice.
Fundamental score
Ranked 311 of 28,985 companies
87.0
score / 100
Value
89
Quality
85
FCF yld8.8%
Earn yld14%
EV/EBITDA4.4x
ROE27%
Gross mgn71%
Net mgn32%
Debt/EBITDA0.9x
Pillars2/3
Transparent value + quality ranking, distinct from the insider signal.
Σ
Sigma AI Analysis
Fundamental view, insider signal, bull and bear case, synthesis.
Recent disclosures reinforce that positioning. In 2025, Gulfport reported quarterly and full-year operating results highlighting solid production, disciplined capital spending, and significant share repurchases. It also outlined 2026 guidance with an emphasis on meaningfully growing adjusted free cash flow, continuing selective acreage acquisitions, and preserving a strong balance sheet. In May 2026, the company announced the appointment of Domenic J. Dell’Osso, Jr. as Chief Executive Officer, a notable leadership change that may signal continuity in operating discipline and strategic capital allocation. For equity analysts, Gulfport stands out as a pure-play U.S. gas name on the NYSE in the United States, with performance tightly linked to natural gas pricing, operational execution, and the company’s ability to sustain returns above its cost of capital.