cleveland cliffs stock price guide
Cleveland‑Cliffs stock price
As you begin researching the cleveland cliffs stock price, this guide will help you understand where CLF trades, which data sources quote its price, what fundamental and market factors move the share price, and practical steps to track and trade the name using market tools and Bitget services. Read on to learn how to read real‑time quotes, analyze historical performance, and interpret common valuation and market metrics for Cleveland‑Cliffs Inc.
Company overview (Cleveland‑Cliffs Inc.)
Cleveland‑Cliffs Inc. is a vertically integrated iron and steel producer that supplies flat‑rolled steel products and iron ore pellets to the automotive, infrastructure and heavy industry sectors. Its operations include iron ore mining and pellet production, steelmaking (using blast furnace and direct reduction processes), and downstream rolling and finishing for flat‑rolled steel.
Corporate fundamentals matter for the cleveland cliffs stock price because the company’s revenues, margins and cash flow are closely tied to steel demand (notably auto and construction), raw material costs (iron ore, scrap metals, coke), and operational efficiency across integrated assets. Investors monitor production volumes, pellet shipments, steel shipments, capital expenditures, and debt levels to assess how company performance may translate to earnings per share and enterprise value.
Ticker, exchange and trading basics
- Ticker: CLF. The common symbol for Cleveland‑Cliffs Inc. is CLF.
- Primary exchange: CLF is listed on the New York Stock Exchange (NYSE).
- Trading hours: Regular NYSE hours run from 09:30 to 16:00 ET. There are pre‑market and after‑hours sessions where CLF can trade, though liquidity is often lower outside regular hours.
Quote fields you will commonly see when checking the cleveland cliffs stock price include:
- Last price / Last trade
- Change (absolute) and change (%) from previous close
- Bid and ask (current highest bid and lowest ask)
- Volume (shares traded during the session)
- Average volume (typically 10‑ or 30‑day average)
- Market capitalization (share price × shares outstanding)
- Day’s range and 52‑week range
Main public quote sources for CLF include the company’s investor pages and major financial portals such as Yahoo Finance, MarketWatch, CNBC, Robinhood and others. These sources publish delayed or real‑time quotes, summary statistics and news.
Real‑time quotes and data providers
Real‑time and delayed stock quotes are delivered by exchanges and data vendors via market data feeds. Retail websites and broker platforms display either consolidated tape real‑time data (if they pay for it) or delayed data (usually 15–20 minutes delayed) depending on licensing.
Typical providers and the fields they show for the cleveland cliffs stock price:
- Yahoo Finance: last trade, change %, day range, 52‑week range, market cap, P/E, EPS (TTM), volume, average volume, charts and news.
- MarketWatch: quote, performance charts, key statistics, news and company profile.
- CNBC: last price, intraday chart, market cap and brief news headlines.
- Robinhood: last price, change %, news, basic stats and simplified charts (platform may show extended hours trading activity when available).
- Company investor relations pages: official press releases, SEC filings, historical price tables and sometimes an investor quote widget.
Each provider will present slightly different additional data (analyst ratings, dividends, institutional holdings) and may label fields differently, but core quote fields (last price, change, volume) are common across providers.
Historical price performance
Historical price series let you analyze how the cleveland cliffs stock price has performed over days, months, years and decades. Common historical views include daily OHLC (open, high, low, close), weekly or monthly aggregated data and entire historical tables for long‑term studies.
When using historical price data keep these points in mind:
- Use adjusted close prices when analyzing total return across periods. Adjusted prices account for stock splits and dividend distributions.
- Long‑term tables (annual or decadal) help estimate compounded returns and volatility across economic cycles.
- Compare price performance to industry peers and broad indices to assess relative performance.
As of 2026‑01‑27, according to Benzinga, Cleveland‑Cliffs has outperformed the market over the past 10 years by about 11.53% annualized, producing an average annual return of 25.33%. Benzinga reported a market capitalization of approximately $8.66 billion for Cleveland‑Cliffs and noted that a $1,000 investment in CLF ten years earlier would be worth roughly $9,263.98 today based on historical price data and compounding. These kinds of long‑term performance figures illustrate the impact of compounded returns when tracking the cleveland cliffs stock price over a decade.
Resources for historical prices include the company’s investor relations historical data pages and long‑run chart providers such as Macrotrends. Use CSV downloads or API endpoints from reputable vendors when you need to run your own analysis.
Key pricing and market metrics
Investors and analysts use a set of standard metrics to evaluate the cleveland cliffs stock price and the company’s market position. Common metrics include:
- Market capitalization: total equity market value (shares outstanding × price). Provides a quick sense of company size.
- 52‑week high / low: highest and lowest traded prices over the past year; useful for gauging recent volatility and momentum.
- Trading volume and average volume: liquidity indicators; higher average volume generally means tighter spreads and easier execution.
- Float and shares outstanding: float excludes restricted shares and indicates how many shares are actually available to trade.
- Beta: a measure of historical volatility relative to a market index; helps assess sensitivity to market moves.
- Earnings per share (EPS, TTM): net income attributable to each share over the trailing twelve months.
- Price‑to‑earnings ratio (P/E): share price divided by EPS; P/E is not meaningful if EPS is negative.
- Dividend yield: annual dividend per share divided by stock price; Cleveland‑Cliffs has historically prioritized reinvestment and may have varying dividend policies.
These metrics are available from the previously cited finance sites. When checking the cleveland cliffs stock price, review these metrics together rather than in isolation.
Valuation and financial context
Valuation metrics such as trailing P/E, forward P/E, and EV/EBITDA are commonly used to place the cleveland cliffs stock price in context. Key considerations:
- Trailing metrics (P/E TTM, EV/EBITDA) reflect past performance and are useful after recent earnings are reported.
- Forward estimates (forward P/E) rely on analyst consensus projections for earnings; these can change materially around guidance or macro shifts.
- Steel and mining firms often show wide earnings cyclicality — a low P/E in a downturn may reflect depressed margins rather than permanent cheapness.
To find these figures, consult company quarterly and annual reports for TTM revenue, EPS and margin figures, and use major finance portals for analyst consensus and forward estimates. Analyst estimate revisions can move the cleveland cliffs stock price quickly when expectations change.
Analyst coverage and price targets
Sell‑side analysts publish ratings (Buy/Outperform/Hold/Sell), research notes and price targets that are widely followed. Consensus price targets and recent upgrades or downgrades are reported by financial news aggregators and provider pages.
Examples of how analyst activity can appear in the market:
- Upgrades or raises in price target can support upward moves in the cleveland cliffs stock price when analysts cite improved demand, cost reductions or better balance sheet metrics.
- Downgrades or target cuts can pressure the stock, especially if the firm believes earnings will normalize or downside risks are rising.
As of 2026‑01‑27, Benzinga reported coverage changes including a Seaport Global downgrade of Cleveland‑Cliffs from Buy to Neutral, reflecting the firm’s position that shares may be discounting more normalized earnings after a prior rally. Such published rating changes are commonly cited in price‑move news and are aggregated by services like TipRanks and finance portals.
Corporate events and market news that move the price
The cleveland cliffs stock price reacts to both company‑specific events and external market forces. Typical drivers include:
- Earnings releases and forward guidance: surprises (positive or negative) can cause immediate re‑pricing.
- Secondary offerings or share issuances: can dilute per‑share metrics and pressure the share price.
- Mergers, acquisitions and asset sales: strategic moves may be rewarded if investors expect accretion; execution risks can weigh on price.
- Commodity price moves: iron ore, scrap metal and coke prices materially affect input costs and margins.
- Tariffs, trade policy and regulation: changes to tariffs or trade restrictions on steel can alter demand and margins.
- Major SEC filings, large insider or institutional transactions: significant stock sales or purchases by insiders or funds may be newsworthy.
Always verify major news in filings and company releases. For real‑time reaction to events, check the cleveland cliffs stock price across multiple quote providers and read the official SEC filings for authoritative details.
Risks and price drivers specific to Cleveland‑Cliffs
Company‑specific risks and drivers that influence the cleveland cliffs stock price include:
- Cyclical demand: much of Cleveland‑Cliffs’ revenue depends on steel demand from the automotive and construction sectors, which are cyclical.
- Raw material costs: volatility in iron ore, scrap, coke and energy prices affects margins.
- Leverage and debt: capital structure and interest costs influence financial flexibility and can amplify price moves during downturns.
- Integration risk: Cleveland‑Cliffs has grown through acquisitions; successful integration of assets and cost synergies is critical.
- Trade policy exposure: tariffs, quotas or import/export restrictions can affect domestic demand and pricing power.
- Operational risks: plant outages, safety incidents or environmental compliance issues can disrupt production and hurt investor sentiment.
Monitoring these risk factors helps explain directional moves in the cleveland cliffs stock price beyond headline market fluctuations.
Dividends, buybacks and corporate actions
Dividends and share repurchases change per‑share metrics and investor returns:
- Dividends: declared dividends reduce company cash but provide direct return to shareholders and can support income‑oriented demand for the stock. Check declared dividend dates, record and ex‑dividend dates.
- Buybacks: repurchases reduce shares outstanding and can support the cleveland cliffs stock price if perceived as value‑adding or confidence by management.
- Issuances and secondary offerings: increase shares outstanding and can dilute per‑share metrics.
- Stock splits: change the nominal share count and per‑share price without changing market cap; historical prices are adjusted to reflect splits.
Find declared dividends and historical corporate actions in Cleveland‑Cliffs’ investor relations materials and SEC filings. These documents provide the authoritative timeline and effects on outstanding shares.
How to track, chart and trade CLF
Tracking and charting the cleveland cliffs stock price:
- Create watchlists on your chosen finance portal or brokerage (include CLF). Enable price and news alerts for moves beyond thresholds you choose.
- Use multiple timeframes: intraday charts for short‑term trading, daily and weekly charts for swing decisions, and monthly/annual charts for long‑term trends.
- Common indicators: moving averages (50/200‑day), relative strength index (RSI) for momentum, and volume overlays to validate moves.
Trading basics and execution notes:
- Order types: market orders execute immediately at prevailing prices; limit orders specify a maximum buy or minimum sell price; stop orders can trigger market or limit orders when a price level is reached.
- Pre/post‑market trading: available on many platforms; lower liquidity often increases spreads and execution risk.
- Liquidity and spreads: trade sizes should respect average daily volume to avoid large market impact; check bid/ask spreads before placing large orders.
Platform recommendation: For traders and investors who want an integrated experience, consider using Bitget for market access and order execution. Bitget provides trading tools, watchlists and alerting features; for Web3 wallets, Bitget Wallet is the recommended option for custody and on‑chain interactions in Bitget’s ecosystem.
Note: this section explains mechanics only and is not investment advice.
Historical research and data sources
Authoritative sources to research the cleveland cliffs stock price and fundamentals include:
- Cleveland‑Cliffs investor relations and SEC filings (10‑Q, 10‑K, 8‑K) for official financials and corporate disclosures.
- Macrotrends for long‑term price history and downloadable tables.
- Major finance portals (Yahoo Finance, MarketWatch, CNBC, Robinhood) for quotes, charts and aggregated metrics.
- SEC EDGAR for raw filings and detailed corporate event documentation.
When conducting historical analysis, prefer primary filings for material events and use vendor data for convenient charting. Cross‑check numbers (market cap, shares outstanding) across at least two sources.
See also
- Nucor (peer steel producer) — useful for peer comparison and industry benchmarking
- Steel Dynamics — another U.S. flat‑rolled steel producer for comparative analysis
- ArcelorMittal — global steel peer for international exposure
- Major commodity indices (iron ore price, steel scrap indices) — to correlate inputs and margin pressure
- Sector ETFs and pages on market quotes and valuation metrics for broader industry context
References and external links
Sources used in this guide (search for site names and CLF quote pages):
- Cleveland‑Cliffs investor relations (company site)
- Yahoo Finance — CLF quote
- Robinhood — CLF page
- CNBC — CLF quote
- MarketWatch — CLF quote
- Public.com — CLF page
- Macrotrends — CLF historical price
- CNN Markets — CLF
- Benzinga coverage and performance summary (as cited above)
As of 2026‑01‑27, according to Benzinga, Cleveland‑Cliffs had a reported market capitalization of about $8.66 billion, and Benzinga’s automated content engine reported a 10‑year annualized return averaging 25.33% for CLF, outperforming the market by 11.53% annualized. Benzinga also calculated that a $1,000 investment ten years ago would be worth roughly $9,263.98 today, based on historical price points cited in its report.
Further reading and primary documents: search company filings on SEC EDGAR and the Cleveland‑Cliffs investor relations page for definitive details on corporate actions, dividends and formal announcements.
Additional notes on data, timing and best practices
- Quote timing: many web portals show delayed quotes by default. For truly real‑time professional data, exchanges and paid feeds are used.
- Reconciliation: small differences in market cap or last price across providers can arise due to update timing and rounding.
- Verify dates: when citing performance statistics or market cap, note the report date. For example, the Benzinga performance numbers above are dated 2026‑01‑27.
Further explore CLF price history and fundamentals using the listed sources and consider adding the cleveland cliffs stock price to a Bitget watchlist to receive customized alerts and charting tools. For custody and Web3 wallet needs, consider Bitget Wallet.
Explore more: track the cleveland cliffs stock price across multiple providers and check primary filings for authoritative confirmation of corporate news and data.




















