Tearsheet

Bloom Energy (BE)


Market Price (12/4/2025): $102.38 | Market Cap: $24.1 Bil
Sector: Industrials | Industry: Electrical Components & Equipment

Bloom Energy (BE)


Market Price (12/4/2025): $102.38
Market Cap: $24.1 Bil
Sector: Industrials
Industry: Electrical Components & Equipment

Investment Highlights Why It Matters Which of these 2 stories sounds closer for this stock?

1. Generates cash flow

The stock generated 4% or more of the share price (called cash flow yield), and shows moderate 10-15% or more growth.

2. Riding a trend

Think Tesla during the pandemic of 2020 when EVs were riding a cultural high, or Nvidia in the current AI boom, or even Figma. These companies don’t have enough yield, or, enough growth, or both - however - they are riding a trend. They have momentum. These can be more volatile - they don’t have the floor of strong cash flow


0 Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 45%
Expensive valuation multiples
P/SPrice/Sales ratio is 11x, P/EBITPrice/EBIT or Price/(Operating Income) ratio is 255x, P/CFOPrice/(Cash Flow from Operations). CFO is cash before capital expenditures. is 110x, P/EPrice/Earnings or Price/(Net Income) is 1301x
1 Megatrend and thematic drivers
Megatrends include Hydrogen Economy, Electrification of Everything, and Energy Transition & Decarbonization. Themes include Fuel Cell Technology, Show more.
Stock price has recently run up significantly
6M Rtn6 month market price return is 406%, 12M Rtn12 month market price return is 292%
2  Valuation getting more expensive
P/S 6M Chg %Price/Sales change over 6 months. Declining P/S indicates valuation has become less expensive. is 278%
3  Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -4.1%
0 Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 45%
1 Megatrend and thematic drivers
Megatrends include Hydrogen Economy, Electrification of Everything, and Energy Transition & Decarbonization. Themes include Fuel Cell Technology, Show more.
2 Expensive valuation multiples
P/SPrice/Sales ratio is 11x, P/EBITPrice/EBIT or Price/(Operating Income) ratio is 255x, P/CFOPrice/(Cash Flow from Operations). CFO is cash before capital expenditures. is 110x, P/EPrice/Earnings or Price/(Net Income) is 1301x
3 Stock price has recently run up significantly
6M Rtn6 month market price return is 406%, 12M Rtn12 month market price return is 292%
4 Valuation getting more expensive
P/S 6M Chg %Price/Sales change over 6 months. Declining P/S indicates valuation has become less expensive. is 278%
5 Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -4.1%

Valuation, Metrics & Events

BE Stock


Why The Stock Moved


Qualitative Assessment

AI Generated Analysis | Feedback

1. Strong Q3 2025 Financial Results

Bloom Energy reported record third-quarter 2025 revenue of $519.0 million, marking a 57.1% increase year-over-year, and achieved a non-GAAP earnings per share of $0.15, successfully reversing a loss from the prior year period. This robust financial performance included significant margin expansion and the seventh consecutive profitable quarter for its service segment, prompting an over 20% jump in the stock's after-hours trading. 2. Strategic Partnerships and Accelerated Demand from AI Data Centers

The company secured a strategic $5 billion AI infrastructure partnership with Brookfield Asset Management, positioning Bloom Energy as the preferred on-site power provider for Brookfield's substantial global infrastructure portfolio. This followed an earlier collaboration with Oracle, announced around August 2025, to integrate Bloom's fuel cell technology into Oracle Cloud Infrastructure data centers, highlighting Bloom's critical role in addressing the surging energy demands of the artificial intelligence (AI) sector.

Show more

Stock Movement Drivers

Return vs. Risk


Price Returns Compared

 202020212022202320242025Total [1]
Returns
BE Return284%-23%-13%-23%50%373%1306%
Peers Return55%-8%-1%78%35%27%328%
S&P 500 Return16%27%-19%24%23%16%112%

Monthly Win Rates [3]
BE Win Rate83%25%42%42%33%80% 
Peers Win Rate46%31%31%42%42%45% 
S&P 500 Win Rate58%75%42%67%75%70% 

Max Drawdowns [4]
BE Max Drawdown-59%-41%-45%-49%-42%-27% 
Peers Max Drawdown-37%-17%-35%-4%-13%-28% 
S&P 500 Max Drawdown-31%-1%-25%-1%-2%-15% 


[1] Cumulative total returns since the beginning of 2020
[2] Peers: BC, CECO, AMSC, AIGO, SONC. See BE Returns vs. Peers.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2025 data is for the year up to 12/3/2025 (YTD)

How Low Can It Go

Unique KeyEventBES&P 500
2022 Inflation Shock2022 Inflation Shock  
2022 Inflation Shock% Loss% Loss-77.1%-25.4%
2022 Inflation Shock% Gain to Breakeven% Gain to Breakeven336.1%34.1%
2022 Inflation ShockTime to BreakevenTime to Breakeven656 days464 days
2020 Covid Pandemic2020 Covid Pandemic  
2020 Covid Pandemic% Loss% Loss-78.2%-33.9%
2020 Covid Pandemic% Gain to Breakeven% Gain to Breakeven359.0%51.3%
2020 Covid PandemicTime to BreakevenTime to Breakeven119 days148 days
2018 Correction2018 Correction  
2018 Correction% Loss% Loss-92.5%-19.8%
2018 Correction% Gain to Breakeven% Gain to Breakeven1240.8%24.7%
2018 CorrectionTime to BreakevenTime to Breakeven447 days120 days

Compare to BC, CECO, AMSC, AIGO, SONC


In The Past

Bloom Energy's stock fell -77.1% during the 2022 Inflation Shock from a high on 2/8/2021. A -77.1% loss requires a 336.1% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth over time.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

About Bloom Energy (BE)

Better Bets than Bloom Energy (BE)

Latest Trefis Analyses

Trade Ideas

Select past ideas related to BE. For more, see Trefis Trade Ideas.

Unique KeyDateTickerCompanyCategoryTrade Strategy6M Fwd Rtn12M Fwd Rtn12M Max DD
CNM_11212025_Dip_Buyer_FCFYield11212025CNMCore & MainDip BuyDB | FCFY OPMDip Buy with High FCF Yield and High Margin
Buying dips for companies with high FCF yield and meaningfully high operating margin
7.3%7.3%-1.6%
VRRM_11212025_Dip_Buyer_FCFYield11212025VRRMVerra MobilityDip BuyDB | FCFY OPMDip Buy with High FCF Yield and High Margin
Buying dips for companies with high FCF yield and meaningfully high operating margin
2.3%2.3%-1.2%
LII_11212025_Dip_Buyer_ValueBuy11212025LIILennox InternationalDip BuyDB | P/E OPMDip Buy with Low PE and High Margin
Buying dips for companies with tame PE and meaningfully high operating margin
4.8%4.8%0.0%
ADP_11212025_Monopoly_xInd_xCD_Getting_Cheaper11212025ADPAutomatic Data ProcessingMonopolyMY | Getting CheaperMonopoly-Like with P/S Decline
Large cap with monopoly-like margins or cash flow generation and getting cheaper based on P/S multiple
1.6%1.6%-1.2%
CW_11212025_Quality_Momentum_RoomToRun_10%11212025CWCurtiss-WrightQualityQ | Momentum | UpsideQuality Stocks with Momentum and Upside
Buying quality stocks with strong momentum but still having room to run
2.2%2.2%0.0%
Unique KeyDateTickerCompanyCategoryTrade Strategy6M Fwd Rtn12M Fwd Rtn12M Max DD
CNM_11212025_Dip_Buyer_FCFYield11212025CNMCore & MainDip BuyDB | FCFY OPMDip Buy with High FCF Yield and High Margin
Buying dips for companies with high FCF yield and meaningfully high operating margin
7.3%7.3%-1.6%
VRRM_11212025_Dip_Buyer_FCFYield11212025VRRMVerra MobilityDip BuyDB | FCFY OPMDip Buy with High FCF Yield and High Margin
Buying dips for companies with high FCF yield and meaningfully high operating margin
2.3%2.3%-1.2%
LII_11212025_Dip_Buyer_ValueBuy11212025LIILennox InternationalDip BuyDB | P/E OPMDip Buy with Low PE and High Margin
Buying dips for companies with tame PE and meaningfully high operating margin
4.8%4.8%0.0%
ADP_11212025_Monopoly_xInd_xCD_Getting_Cheaper11212025ADPAutomatic Data ProcessingMonopolyMY | Getting CheaperMonopoly-Like with P/S Decline
Large cap with monopoly-like margins or cash flow generation and getting cheaper based on P/S multiple
1.6%1.6%-1.2%
CW_11212025_Quality_Momentum_RoomToRun_10%11212025CWCurtiss-WrightQualityQ | Momentum | UpsideQuality Stocks with Momentum and Upside
Buying quality stocks with strong momentum but still having room to run
2.2%2.2%0.0%

Recent Active Movers

Recent Active Movers

More From Trefis

Peer Comparisons for Bloom Energy

Peers to compare with:

Financials

BEBCCECOAMSCAIGOSONCMedian
NameBloom En.BrunswickCECO Env.American.Aigo Sonic Li. 
Mkt Price102.5070.1154.5032.04--62.30
Mkt Cap24.14.61.91.4--3.3
Rev LTM1,8195,184718266--1,268
Op Inc LTM902934812--69
FCF LTM135589-1719--77
FCF 3Y Avg-273402138--11
CFO LTM180736-223--101
CFO 3Y Avg-2036232510--18

Growth & Margins

BEBCCECOAMSCAIGOSONCMedian
NameBloom En.BrunswickCECO Env.American.Aigo Sonic Li. 
Rev Chg LTM44.5%-4.8%29.9%51.2%--37.2%
Rev Chg 3Y Avg21.8%-7.7%21.9%37.3%--21.9%
Rev Chg Q57.1%6.8%45.8%20.9%--33.4%
QoQ Delta Rev Chg LTM11.6%1.7%9.5%4.5%--7.0%
Op Mgn LTM4.9%5.6%6.7%4.3%--5.3%
Op Mgn 3Y Avg-6.3%9.4%7.0%-3.9%--1.5%
QoQ Delta Op Mgn LTM0.5%-0.5%-0.3%0.2%---0.1%
CFO/Rev LTM9.9%14.2%-0.3%8.6%--9.2%
CFO/Rev 3Y Avg-15.9%10.9%4.8%3.2%--4.0%
FCF/Rev LTM7.4%11.4%-2.4%7.1%--7.3%
FCF/Rev 3Y Avg-20.8%7.1%2.8%2.1%--2.5%

Valuation

BEBCCECOAMSCAIGOSONCMedian
NameBloom En.BrunswickCECO Env.American.Aigo Sonic Li. 
Mkt Cap24.14.61.91.4--3.3
P/S10.90.82.59.6--6.1
P/EBIT254.9-32.018.6221.8--120.2
P/E1,301.2-17.434.9169.6--102.2
P/CFO110.35.6-796.8112.8--58.0
Total Yield0.1%-3.0%2.9%0.6%--0.3%
Dividend Yield0.0%2.7%0.0%0.0%--0.0%
FCF Yield 3Y Avg-11.8%8.4%2.5%-1.1%--0.7%
D/E0.10.60.10.0--0.1
Net D/E0.00.50.1-0.1--0.1

Returns

BEBCCECOAMSCAIGOSONCMedian
NameBloom En.BrunswickCECO Env.American.Aigo Sonic Li. 
1M Rtn-28.0%6.8%4.8%-47.2%---11.6%
3M Rtn95.4%11.0%17.4%-34.1%--14.2%
6M Rtn406.2%29.8%104.0%4.3%--66.9%
12M Rtn292.1%-9.3%68.9%-2.4%--33.2%
3Y Rtn366.3%1.4%346.7%711.1%--356.5%
1M Excs Rtn-28.0%6.8%4.8%-47.1%---11.6%
3M Excs Rtn81.3%2.5%6.4%-39.3%--4.4%
6M Excs Rtn391.5%15.1%89.2%-10.4%--52.2%
12M Excs Rtn259.9%-24.0%56.5%-19.5%--18.5%
3Y Excs Rtn314.6%-69.5%272.5%610.6%--293.5%

Financials

Segment Financials

Revenue by Segment

$ Mil20242023202220212020
Single Segment1,333    
Electricity 75686471
Installation 929610261
Product 881664519557
Service 15114411096
Total1,3331,199972794785


Price Behavior

Short Interest

Short Interest: As Of Date11142025
Short Interest: Shares Quantity18,073,526
Short Interest: % Change Since 10312025-50.6%
Average Daily Volume16,073,918
Days-to-Cover Short Interest1.12
Basic Shares Quantity234,931,000
Short % of Basic Shares7.7%

SEC Filings

Expand for More

Report DateFiling DateFiling
93020251028202510-Q 9/30/2025
6302025731202510-Q 6/30/2025
3312025430202510-Q 3/31/2025
12312024227202510-K 12/31/2024
93020241107202410-Q 9/30/2024
6302024808202410-Q 6/30/2024
3312024509202410-Q 3/31/2024
12312023215202410-K 12/31/2023
93020231108202310-Q 9/30/2023
6302023803202310-Q 6/30/2023
3312023509202310-Q 3/31/2023
12312022221202310-K 12/31/2022
93020221103202210-Q 9/30/2022
6302022809202210-Q 6/30/2022
3312022506202210-Q 3/31/2022
12312021225202210-K 12/31/2021