Solaris Energy Infrastructure (SEI) – Investment Analysts’ Weekly Ratings Changes

Solaris Energy Infrastructure (NYSE: SEI) has recently received a number of price target changes and ratings updates:

  • 8/11/2026 – Solaris Energy Infrastructure was downgraded by Weiss Ratings from “hold (c+)” to “hold (c)”.
  • 8/10/2026 – Solaris Energy Infrastructure had its price target raised by Barclays PLC from $86.00 to $90.00. They now have an “overweight” rating on the stock.
  • 8/8/2026 – Solaris Energy Infrastructure was downgraded by Wall Street Zen from “sell” to “strong sell”.
  • 8/7/2026 – Solaris Energy Infrastructure was given a new $98.00 price target by Stifel Nicolaus.
  • 8/7/2026 – Solaris Energy Infrastructure had its price target raised by Needham & Company LLC from $97.00 to $98.00. They now have a “buy” rating on the stock.
  • 8/3/2026 – Solaris Energy Infrastructure was upgraded by Wells Fargo & Company from “equal weight” to “overweight”. They now have a $73.00 price target on the stock, down from $82.00.
  • 7/17/2026 – Solaris Energy Infrastructure was downgraded by Weiss Ratings from “buy (b-)” to “hold (c+)”.
  • 7/6/2026 – Solaris Energy Infrastructure is now covered by Wolfe Research. They set an “outperform” rating and a $120.00 price target on the stock.
  • 6/30/2026 – Solaris Energy Infrastructure was downgraded by Zacks Research from “hold” to “strong sell”.
  • 6/29/2026 – Solaris Energy Infrastructure is now covered by Needham & Company LLC. They set a “buy” rating and a $97.00 price target on the stock.

Solaris Energy Infrastructure Fund Inc (NYSE: SEI) is a closed-end management investment company that seeks to provide total return through a combination of current income and capital appreciation. The fund pursues its objective by investing primarily in equity securities of energy infrastructure companies, including master limited partnerships (MLPs) and other midstream entities. SEI is externally managed by Solaris Asset Management LP, a firm specializing in energy infrastructure investments.

The fund’s portfolio targets businesses involved in the gathering, processing, transportation, storage and terminalling of oil, natural gas and refined products.

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