Fluor Corp.

Fluor is a holding company. Through its subsidiaries, the company provides engineering, procurement, construction, fabrication and modularization, operations, maintenance and asset integrity, as well as project management services. The company serves a set of industries including oil and gas, chemicals and petrochemicals, mining and metals, transportation, power, life sciences and manufacturing. The company is also a service provider to the U.S. federal government and governments abroad; and it performs operations, maintenance and asset integrity activities for industrial clients. The company has four segments: Energy & Chemicals; Mining, Industrial, Infrastructure & Power; Diversified Services; and Government.
  • TickerFLR
  • ISINUS3434121022
  • ExchangeNew York Stock Exchange
  • SectorConstruction & Materials
  • CountryUnited States

Fluor Corporation - March 2021 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Short Shots: Technically Vulnerable Stocks

Short Shots is a collection of technically vulnerable charts culled from the Negative Inflecting and Toppy columns within our Weekly Compass report or from various technical screening processes. The charts contained in this report have developed concerning technical patterns that suggest further price deterioration is likely. For these reasons Short Shots can also be a great source of ideas for investors interested in short-selling candidates.

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Today's Actionable Charts

Key Points: Gold is breaking to a one month high. Watch for a U.S. dollar decline as market internals fade. Banks continue to weigh on the market. Software names are under pressure with many falling below their respective 200-day moving averages. Value appears to be winning out over growth as interest rates rise.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Compass: Weekly Equity Strategy

Commodities Improving As US Dollar Simmers Despite a more mixed and highly rotational market across Sectors, market-caps, and growth/value, not one Sector or widely followed index is breaking down; to the contrary, more are beginning to break out to new all-time highs. Overall, the weight of the evidence remains positive, and our outlook remains constructive for the weeks and months ahead; buy pullbacks. S&P 500, Nasdaq 100, Dow, Mid-Caps, Russell 2000. Large-cap (S&P 500, Nasdaq 100, and Dow) and mid-cap indexes (S&P 600) remain bullish, closing out the past week at new all-time highs. Smal...

Dave Nicoski ...
  • Ross LaDuke

Vermilion Compass: Weekly Equity Strategy

Breakaway Gaps In Place Last week we noted some deterioration in market dynamics, all while reiterating our overall constructive outlook looking weeks and months ahead. The fact is, “perfectly bullish” conditions rarely exist, and a weight of the evidence approach is necessary. To that end, the positives continue to outweigh the negatives and our outlook remains constructive. · S&P 500 Breakaway Gap. The S&P 500 broke out to all-time highs this past Thursday, and yesterday displayed some upside follow through, starting the week off with a bullish breakaway gap. Short-term gap support...

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Actionable charts

In this product we rank the most positive and negative domestic stocks, filter the symbols by market-cap and trading volume, and then divide the companies into sectors and groups. We then manually look through charts leadership/changes, bottoms-up/top-down ideas, short-term patterns that may have long-term significance, etc. We believe you will find this product valuable as significant price and relative moves begin in the daily charts.

Valens Research

FLR - Valens Credit Report - 2021 03 22

Credit markets are overstating FLR's credit risk with a YTW of 3.273%, relative to an Intrinsic YTW of 1.953% and an Intrinsic CDS of 158bps. Moody's is also overstating the firm's fundamental credit risk, with its non-investment grade speculative Ba1 credit rating three notches lower than Valens' IG4+ (Baa1) credit rating Incentives Dictate Behavior™ analysis highlights mostly positive signals for FLR credit holders. Management's compensation framework should drive them to focus on all three value drivers; asset efficiency, margin expansion and revenue growth, which may lead to Uniform ROA i...

Fluor Corporation - March 2021 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Fluor Corporation - December 2020 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Fluor Corporation - September 2020 (LTM): Peer Snapshot

Compares key performance metrics against industry peers

Moody's announces completion of a periodic review of ratings of Fluor Corporation

Announcement of Periodic Review: Moody's announces completion of a periodic review of ratings of Fluor Corporation. Global Credit Research- 13 Jan 2021. New York, January 13, 2021-- Moody's Investors Service has completed a periodic review of the ratings of Fluor Corporation and other ratings that are associated with the same analytical unit.

Fluor Corporation: Update to credit considerations following ratings confirmation

Our credit view of Fluor reflecting its very strong liquidity, but low margins and high fixed price contract exposure.

FLUOR sees a downgrade to Slightly Negative on account of less fundamental stars

The independent financial analyst theScreener just lowered the general evaluation of FLUOR (US), active in the Heavy Construction industry. As regards its fundamental valuation, the title now shows 3 out of 4 stars while market behaviour can be considered risky. theScreener believes that the title remains under pressure due to the loss of a star(s) and downgrades its general evaluation to Slightly Negative. As of the analysis date December 11, 2020, the closing price was USD 16.77 and its target price was estimated at USD 7.29.

Ford Equity US Rating and Forecast Report

Ford Equity Research covers more than 4,000 stocks using a proprietary quantitative model that evaluates a company’s earnings strength, its relative valuation and recent price movement. Ford’s five recommendation ratings include strong buy, buy, hold, sell, strong sell. For all stocks in our coverage universe, ratings are generated each week and reflect the fundamental and price data as of the last trading day of the week.

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