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⚠️ Not investment advice. Past performance does not guarantee future results.
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Fluor FLR

United StatesIndustrials · Engineering & ConstructionUSD
3.9AI score
Rank 1,984 of 2,130
better than 7% of companies
51.14USD
▲ 16.3% in one year
FLR MSCI World +22.1%
Average analyst target
61.69 USD (+20.6%)
8 analysts
52-wk low 39.33High 58.35
📈 Chart on TradingView ↗(affiliate link)Analysis of 08/10/2026

What does it do?

Fluor Corporation is an engineering and construction company that provides design, project management, and construction services for the energy, chemical, industrial, and infrastructure sectors globally.

Key points

from its scores
  • ✓Good share-price trend7.3
  • ✕Little or no dividend1.5
  • ✕Fragile balance sheet3.2
  • ✕Little competitive advantage3.2

AI analysis

bottom line, main risk, context and news
Bottom line

The combination of a highly leveraged balance sheet, a weak operating margin, and a collapse in earnings makes the risk profile high, especially in a rising interest rate environment.

Fluor presents very weak financial health (score 3.79) due to its high leverage (Net Debt/EBITDA of 8.46) and a reduced operating margin (3.26%). Earnings growth is deeply negative (-94.50%), reflecting operational issues. Its valuation is moderate (forward P/E 15.19), but business quality is poor (ROE -45.17%).

⚠ Main risk

The main risk is its very high financial leverage (Net Debt/EBITDA of 8.46), which, in a rising interest rate environment, could compromise its ability to refinance debt and sustain operations.

Context and risks

Fluor operates in the engineering and construction sector, with exposure to large-scale projects in international markets. Its high leverage (Net Debt/EBITDA of 8.46) and weak operating margin (3.26%) make it vulnerable to a rising interest rate environment, which increases the cost of refinancing its debt and pressures its already low profitability. The governance risk of the country of domicile (USA) is moderate, but no additional specific regulatory or geopolitical risks are identified for this particular company.

Is Fluor stock cheap or expensive?

at the analysis date
Cheaper than its sector

On Price / sales, it trades 79% below the Industrials median.

MultipleCompanySectorDifference
Price / book2.64.1−36%
Price / sales0.42.1−79%

Sector: median of the 388 Industrials companies analysed. In bold, the multiples used for the comparison.

Valuation score: 5.0 out of 10 (median for Industrials: 5.0).

Average analyst target: 61.69 USD, +20.6% versus the price.

A discount may reflect more risk or slower growth than its sector: Financial health 3.2 (sector 6.4), Growth 3.6 (sector 6.6).

Work out its fair value yourself →How much would you have made investing every month? →

Comparing it with its sector does not say whether it is a good buy: this is not investment advice.

🛒 Where to buy FLRCheapest · US (NYSE/Nasdaq) · sample 200.00 € orderCheapest · US (NYSE/Nasdaq) · sample 200.00 € orderAvailable in your country · US (NYSE/Nasdaq) · sample 200.00 € order
By the cost of that order: commission and FX, taxes excluded (public fee schedules). Brokers marked «affiliate» may pay Meridian a commission at no cost to you. This is not investment advice. · Compare all 22 brokers by real cost →

Score by category

0 to 10 · hover overtap each one to see what it measures
Financial healthiPoor3.2Industrials median: 6.4
Quality / MoatiPoor3.2Industrials median: 5.8
ValuationiFair5.0Industrials median: 5.0
GrowthiWeak3.6Industrials median: 6.6
DividendiPoor1.5Industrials median: 5.4
MomentumiGood7.3Industrials median: 5.9
Risk & ContextiWeak4.4Industrials median: 6.0
Industrials median7 or more 5 to 7 under 5

Key metrics

at the analysis date · compared with the Industrials median
EV / EBITDAi
−21.3
Industrials: 14.5below
ROEi
−45.2%
Industrials: 16.9%below
Operating margini
3.3%
Industrials: 12.4%below
Net debt / EBITDAi
8.46
Industrials: 1.58above
Revenue growthi
+8.8%
Industrials: +9.2%in line
Dividend yieldi
0.0%
Industrials: 1.3%below

Valuation

Forward P/E
15.2
EV / EBITDA
−21.3
Price / book
2.6
Price / sales
0.4
PEG
1.10
Market cap
6.8B USD
Enterprise value
5.0B USD

Profitability

ROE
−45.2%
ROA
−1.9%
ROIC (approx.)
13.6%
Gross margin
−0.8%
Operating margin
3.3%
Net margin
−12.8%
Free cash flow
21.5M USD
FCF yield
0.3%

Solvency

Total debt
1.1B USD
Net debt
−2.0B USD
Cash
3.0B USD
EBITDA
−233.0M USD
Net debt / EBITDA
8.46
Debt / equity
38.49
Current ratio
1.80
Quick ratio
1.74

Growth

Revenue growth
+8.8%
Earnings growth
−94.5%
EPS (TTM)
−11.90 USD
EPS (forward)
3.37 USD

Dividend

Dividend yield
0.0%
Payout
0.0%

Risk and market

Beta
1.28
Analyst consensus
Buy (8)
Target price
61.69 USD
52-week range
39.33 – 58.35

Compare it with its sector

All 388 in Industrials →
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Frequently asked questions about Fluor

Is Fluor stock cheap or expensive?

On Price / sales, it trades 79% below the Industrials median. Valuation score: 5.0 out of 10 (median for Industrials: 5.0). Average analyst target: 61.69 USD, +20.6% versus the price. This is not investment advice.

What score does Fluor get on MeridIAn Screener?

It scores 3.9 out of 10, rank 1,984 of 2,130 (better than 7% of the companies analysed). Its strongest category is Momentum (7.3) and its weakest, Dividend (1.5). Analysis of 08/10/2026.

How much is Fluor worth on the stock market?

Its market capitalisation is 6.8B USD and its enterprise value, debt included, is 5.0B USD.

How much debt does Fluor have?

It has more cash than debt: net cash of 2.0B USD.

Does Fluor pay a dividend?

It pays no dividend, or almost none.

How has Fluor stock performed over the last year?

It has risen 16.3% over the last year, excluding dividends. Over the last 52 weeks it has traded between 39.33 and 58.35 USD. Past performance does not guarantee future results.

What do analysts think of Fluor?

8 analysts cover it; their average recommendation is “Buy” and their average target is 61.69 USD (+20.6% versus the price). It is an estimate, not market data.