FLR
$44.87+1.04 (+2.37%)
Fluor Corporation provides engineering, procurement, and construction (EPC); fabrication and modularization; and project management services worldwide.
Historical Price
Peer Comparison
Whystock Valuation Model
Fundamentals
Fluor Corporation provides engineering, procurement, and construction (EPC); fabrication and modularization; and project management services worldwide. The company operates through three segments: Urban Solutions, Energy Solutions, and Mission Soluti...
Recent News
Fluor Stock Soars 17% in the Past Year: Should Investors Buy It Now?
FLR's strong backlog, AI-driven efficiency and diversified end markets support growth visibility and margin stability despite execution concerns.
Comfort Systems Stock Slides Post Q4 Results: Buy the Dip or Wait?
FIX stock slips about 1% after stellar Q4 results. Does this dip offer a buying opportunity amid booming AI data center demand?
Fluor Stock: Buy, Sell, or Hold?
Fluor is a large construction company that has raised billions by selling NuScale Power stock.
Fluor’s European Nuclear Push And Board Changes Reshape Investment Outlook
Fluor, NYSE:FLR, has opened a new office in Bucharest to support advanced nuclear energy projects across Europe. The company is aligning this expansion with Romania's long term energy objectives and broader European nuclear development. Fluor has also announced significant changes to its board, including new leadership and the addition of an experienced industry executive. Fluor enters this phase with its shares at $43.02 and a value score of 4, alongside a 15.2% return over the past year...
A Look At Fluor (FLR) Valuation After Mixed Recent Share Performance
What Fluor’s Recent Performance Tells You Right Now With no single headline event driving attention, Fluor (FLR) is on investors’ radar because of its mix of recent share performance, current valuation metrics, and the scale of its engineering and construction operations. See our latest analysis for Fluor. The recent pullback, including a 4.6% 7 day share price return decline and a softer 30 day move, sits against a stronger backdrop. A 1 year total shareholder return of 16.9% and 5 year...