celanese stock (CE) — Overview
Celanese stock (CE)
Quick summary: "celanese stock" refers to shares of Celanese Corporation, traded under the ticker CE on the New York Stock Exchange (NYSE). Celanese is a global specialty materials and chemical company whose Engineered Materials and Acetyl Chain businesses drive cash flow and investor interest. This article explains the company, listing details, market metrics, business drivers, recent developments, dividends, ownership, analyst coverage, trading and risks — and where to follow updated information.
Company overview
Celanese Corporation operates in specialty chemicals and engineered materials. Founded through predecessor companies with roots stretching back decades, Celanese developed into a vertically integrated chemical manufacturer headquartered in Irving, Texas, with significant manufacturing and R&D facilities around the world. The company historically reports results across two primary segments:
- Engineered Materials: high-performance polymers and composites used in automotive, electrical, consumer electronics, and industrial applications. Demand here is tied to durable goods cycles and innovation that replaces metal or traditional plastics with higher-performance materials.
- Acetyl Chain: commodity and specialty chemical products derived from acetic acid and related feedstocks, supplying coatings, adhesives, food/textile additives and other industrial customers.
Operations in these segments affect revenue, margins and cash generation differently: Engineered Materials typically offers higher margins and more stable pricing power, while the Acetyl Chain is more exposed to feedstock and commodity cyclicality. That mix influences how investors and analysts value the celanese stock.
Sources: Celanese corporate and investor materials.
Listing and ticker information
- Exchange / Ticker: NYSE: CE (common stock). Note: when searching market pages, look for ticker CE (exchange: NYSE).
- Trading currency: US dollars (USD).
- Typical US trading hours: 09:30–16:00 ET, with pre-market and after-hours liquidity available on major US trading platforms.
- Identifiers: ISIN and CUSIP are often listed on the company investor page and major market-data providers (for reference, investor relations and Nasdaq list identifiers for CE).
Always cross-check identifiers on official investor materials or filings before making record-level decisions.
Market data and key metrics
Note: the following figures are snapshots and change with market activity. For live figures consult a real-time market data provider or Celanese investor relations.
Price and market capitalization
- Representative snapshot (as of Jan 26, 2026): share price: $42.50 per share; market capitalization: approximately $6.5 billion. (Source: major market-data aggregators and market quotes.)
- 52-week range: approximately $36.10 — $66.00. The 52-week high and low give quick context about recent volatility and investor sentiment.
- Typical metrics investors watch: last close, intraday price change, market cap, float and shares outstanding, and average daily trading volume (liquidity).
Valuation metrics
Common valuation ratios for celanese stock cited by market-data providers include:
- Price-to-earnings (P/E) ratio (trailing 12 months): ~9.8.
- Forward P/E (next 12 months estimates): ~10.5.
- EPS (TTM): ~$4.33 per share.
- PEG ratio: ~1.1 (where available).
These metrics help compare CE to chemical and specialty-material peers, but interpretation depends on expected earnings growth, capital intensity and leverage. Always confirm current values with live financial pages before drawing conclusions.
Financial performance (summary)
High-level financial drivers that influence the celanese stock price include:
- Revenue trends: revenue growth typically reflects end-market demand (automotive, construction, consumer goods) and price/mix improvements in specialty products.
- Gross margin: the Engineered Materials segment often delivers higher gross margins than the Acetyl Chain; margin expansion can boost free cash flow and valuation multiples.
- Net income and free cash flow: profitable quarters and strong free cash flow historically support buybacks, debt reduction and dividends — important determinants for CE’s valuation.
Sources for detailed historical numbers: Celanese quarterly/annual filings and major data providers.
Business segments and earnings drivers
Understanding Celanese’s two core segments helps explain what moves the celanese stock:
- Engineered Materials: sells advanced polymer products that substitute for traditional materials in automotive, industrial and electronics applications. Sales here depend on capital spending cycles, auto production volumes, and adoption of lighter-weight/high-performance materials.
- Acetyl Chain: produces acetic acid derivatives and related specialty chemicals. This segment’s earnings are more sensitive to feedstock costs (e.g., methanol, natural gas, coal derivatives depending on region), global chemical supply/demand balance, and coatings/adhesives demand.
Key end markets include automotive, industrial manufacturing, construction, coatings and packaging, and consumer goods. Management commentary, segment-level margins and backlog (when disclosed) are useful for forecasting near-term revenue and profit mix.
Sources: Celanese investor presentations and annual reports.
Historical price performance
- Longer-term: celanese stock has experienced multi-year cycles tied to commodity price swings, industrial demand cycles and M&A/capital allocation news. Over time, the company’s mix shifting toward higher-margin engineered materials has been a focal point for investors.
- Short-term notable moves: single-day price moves in CE have historically correlated with quarterly earnings surprises, guidance updates, large capital-markets activity (debt or buyback announcements), and macro events that shift chemical feedstock prices.
- 52-week high/low: use the 52-week range as a quick gauge of recent volatility and investor reaction to company-specific or sector news.
Market-data pages keep a full price history and charting tools to visualize trends (daily, weekly, monthly, multi-year).
Recent corporate events and developments
Earnings releases and guidance
As of Jan 26, 2026, Celanese’s recent quarterly reports and management guidance are primary drivers of near-term stock performance. Management’s commentary on segment mix, margin trajectory and capital allocation often influences analyst revisions. For up-to-date quarter results and guidance changes, consult Celanese’s investor relations releases and earnings webcast transcripts.
Capital markets activity
Capital-structure actions that have historically affected the celanese stock include share buybacks, debt issuance/repayments, and any large M&A or divestiture activity. The company’s leverage profile and how management prioritizes debt reduction versus buybacks/dividends are closely watched by fixed-income and equity investors.
Management and governance changes
Executive appointments, CEO/CFO changes or board shifts can be material to shareholders. Stay informed via company press releases and SEC filings for any announced governance changes.
Notable analyst coverage update: as of Jan 26, 2026, according to The Fly, Morgan Stanley resumed coverage of Celanese (CE) with an Equal Weight rating and a $50 price target. Morgan Stanley’s commentary highlighted leverage reduction as a key factor — specifically noting that leverage would likely need to fall below three times total leverage before valuation metrics shift materially toward a free-cash-flow yield approach. This research note is one example of analyst attention that can move sentiment; check the original research citations for full context.
Sources: Celanese investor relations, The Fly research compilation, major financial news pages.
Dividends and shareholder returns
- Dividend policy: Celanese historically pays a cash dividend, subject to board approval. Dividend declarations, yields and payment schedules are published in quarterly releases and on the investor relations page.
- Representative payout (as of Jan 26, 2026): indicated yield ~1.8% (based on recent quarterly dividend and last-close price). Dividend yield and payout ratio vary with earnings and are revisited each quarter.
- Share buybacks: management has used buybacks periodically as part of capital allocation. The pace of repurchases is influenced by free cash flow, leverage targets and strategic opportunities.
For the latest dividend amount, ex-dividend date and board-approved share-repurchase programs, consult Celanese’s official investor disclosures and filings.
Ownership and shareholder base
- Institutional ownership: Celanese typically has a high institutional ownership percentage (large mutual funds, pension funds and ETFs). Institutional ownership levels are visible on market-data pages and in 13F filings.
- Major holders: major mutual funds and asset managers often appear among the largest holders; check Nasdaq or the company’s investor disclosure pages for specific names and ownership percentages.
- Insider ownership and trades: insider ownership trends and Form 4 filings disclose executive and board member transactions — useful to monitor for governance signals.
Sources: Nasdaq market page, company investor relations, SEC filings.
Analyst coverage and market sentiment
Analyst ratings, price targets and earnings estimates can influence short- and medium-term sentiment around the celanese stock. Key points:
- As noted above, Morgan Stanley resumed coverage with an Equal Weight rating and a $50 price target (reported by The Fly on Jan 26, 2026). Morgan Stanley highlighted the importance of leverage reduction to re-rate the stock.
- Analysts differ on how to value CE because of differing views on feedstock exposure, cyclicality in the Acetyl Chain and the growth trajectory of Engineered Materials.
- Consensus estimates: check aggregated estimates for next quarter and full-year EPS and revenue on major data platforms to gauge market expectations.
Remember: analyst opinions are inputs, not endorsements — combine them with your own research and the company’s filings.
Trading and liquidity
- Average daily trading volume: representative figure ~1.2 million shares/day (snapshot as of late Jan 2026). Liquidity is typically sufficient for retail and institutional-sized trades but always assess bid-ask spreads and depth for larger orders.
- Derivatives: options on CE are available on US options exchanges. Traders use calls, puts and spreads to express directional or volatility views. Options liquidity varies by strike and expiry.
- Where to trade: if you are planning to trade equities or derivatives, choose a regulated platform. For users exploring Web3-enabled custody and trading services, Bitget is recommended in this article as the preferred exchange partner for trading and wallet services. (Note: this is an informational mention, not investment advice.)
Sources: market-data aggregators and options exchanges.
Risks and factors affecting the stock
Key risks that commonly influence Celanese’s share price include:
- Commodity and feedstock exposure: swings in input costs (methanol, acetic acid feedstocks, energy) can compress Acetyl Chain margins.
- Cyclical demand: end markets such as automotive and industrial manufacturing are cyclical and can affect volumes and pricing.
- Leverage and interest rates: higher leverage amplifies earnings volatility; interest-rate moves affect debt servicing costs and valuation multiples.
- Regulatory and environmental risks: chemical manufacturing is subject to environmental, safety and regulatory oversight — changes or violations can lead to fines, remediation costs or operational limitations.
- Currency and geographic exposure: global operations expose revenue and costs to FX and country-specific risks.
Investors should monitor these factors through quarterly reports, management commentary and independent industry research. This article does not provide investment advice.
Technical analysis (auxiliary)
Technical indicators frequently cited by commentators include moving averages (50-day, 200-day), relative strength index (RSI), and support/resistance price levels derived from recent highs and lows. Technical signals can be useful for short-term traders but should be considered alongside fundamentals.
How to research and follow the stock
Practical sources and steps to track celanese stock:
- Official investor relations: read quarterly earnings releases, investor presentations, governance documents, and webcasts from Celanese.
- SEC filings: 10-Q, 10-K and Form 8-K filings for material events.
- Real-time market data: major financial portals (market quotes, charts, historical data) such as Yahoo Finance, CNBC, Nasdaq and Barchart.
- Analyst reports and research compilations: monitor reputable broker research summaries and aggregated analyst ratings for changes in consensus.
- News aggregators: follow corporate press releases and reputable news outlets for material developments.
For custody and execution, regulated platforms are recommended. For readers interested in Web3 wallet integrations, Bitget Wallet and Bitget’s trading services are highlighted here for convenience and security features.
Sources: Celanese investor relations, SEC, Yahoo Finance, CNBC, Nasdaq, Barchart.
See also
- Peers in chemicals and specialty materials (for comparative valuation and industry context).
- Industry indices that include chemicals and materials sectors.
- Investment concepts: P/E, free cash flow yield, enterprise value-to-EBITDA, and leverage metrics.
References and external resources
- Celanese investor relations and corporate site (official company disclosures and presentations).
- Market-data providers and quote pages (Yahoo Finance, CNBC, Nasdaq, Barchart, Robinhood, SoFi) for live prices and historical data.
- The Fly research compilation (reporting on analyst calls) — as cited above regarding Morgan Stanley’s resumption of coverage.
As of Jan 26, 2026, according to The Fly, Morgan Stanley resumed coverage of Celanese (CE) with an Equal Weight rating and a $50 price target; the firm emphasized leverage reduction as a necessary condition for material valuation re-rating.
Further reading: consult Celanese’s SEC filings (10-Q, 10-K) and the company’s investor presentations for the authoritative record of financials and strategy.
Next steps: if you want to monitor celanese stock in real time, add CE to your market watchlist on your preferred data platform, read the latest earnings release on Celanese’s investor site, and consider following analyst notes (from recognized brokerages) for changes to estimates. To trade or custody equities and linked services, Bitget is recommended here as the platform partner for secure execution and wallet integration.
This article is informational only. It does not constitute investment advice, solicitation or endorsement of any security.






















