RUN Add to watchlist $12.10 0.35 (-2.81%) Last updated: Apr 16, 2026 02:32
52-Week Range
$12.10
$5.38 $12.10 $22.44

Fundamentals Overview

Sunrun Inc. is in the middle of its 52-week range with attractive valuation, trending downward today.

Valuation attractive

P/E 7.3 PEG 0.06 P/B 0.9 P/S 0.96

Profitability

Net margin 15.2%

Risk (Beta)

2.37 — higher vol

Earnings & growth

EPS $1.66 Rev +59.9% Profit +524.4% vs prior qtr

BullzEye Analysis

Our composite tilts Hold on technicals (e.g. RSI, ADX, trend), fundamentals, sentiment, sector and index context, and risk.

Composite Signal

Sell
Buy
Hold — 57% confidence Risk: High Volatility — Beta 2.37. Consider smaller position size due to higher beta.

Supporting (Buy):

Analyst grade: A- · Sentiment improving (6 upgrades)

Pressures (Sell):

3M vs S&P 500: -36.7% · 3M vs Energy sector: -56.3% · Beta 2.37 (elevated)

Not financial advice. For education and research only; do your own research and consider a financial advisor before investing.

Key Stats

Market Cap
$2.84B
P/E (TTM)
7.28
EPS (TTM)
$1.66
Dividend Yield
N/A
52-Week Range
$5.38 - $22.44
Volume vs Avg
N/A
Beta
2.37

About

Sunrun Inc. engages in the design, development, installation, sale, ownership, and maintenance of residential solar energy systems in the United States. It also sells solar energy systems and products, such as panels and racking; and solar leads generated to customers. In addition, the company offers battery storage along with solar energy systems. Its primary customers are residential homeowners. The company markets and sells its products through direct-to-consumer approach across online, retai...
Sector: Energy
Headquarters: US
Employees: 11,058
IPO Date: Aug 2015
Beta: 2.37 (More volatile than market)

Ratings & Grades at a Glance

Overall rating: A-. Recent institutional grades: majority upgrades. Current institutional positions: Buy: 9, Equal Weight: 1, Hold: 7, Market Perform: 1, Outperform: 3, Overweight: 4, Positive: 2, Sell: 3.

Financial story & AI narrative

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Valuation & Ratios

Valuation, liquidity, and profitability metrics are consolidated here (including ratios that previously appeared in the Financials story). Trailing (TTM) vs forward-looking (e.g. DCF) is noted on each line where it matters.

DCF vs price: DCF estimate is $-414.02; current price is $12.10. That’s a -3521.7% gap. When the gap is large (e.g. >20%), that’s divergence; when they’re close, that’s convergence. Differences can reflect growth expectations, sector premiums, or conservative vs. optimistic assumptions. Use DCF as one input alongside technicals and sentiment.

Metric Value
Valuation
P/E (TTM) 7.28
PEG (TTM) 0.06
P/B (TTM) 0.9
P/S (TTM) 0.96
Liquidity & enterprise
Current Ratio (TTM) 1.66
Quick Ratio (TTM) 1.27
Cash Ratio (TTM) 0.95
Profitability
ROE (TTM) N/A
ROA (TTM) N/A
Revenue growth (YoY) N/A
Net margin (TTM) 15.24%
Gross margin (TTM) 28.6%
Operating margin (TTM) -4.34%
Debt to equity (TTM) N/A

Latest News

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Price Target, Ratings & Grades

Analyst price targets, consensus, rating snapshot, and institutional grades for RUN.

Analyst Sentiment at a Glance

A- Sentiment Improving
Buy 9Equal Weight 1Hold 7Market Perform 1Outperform 3Overweight 4Positive 2Sell 3
6 upgrades, 4 downgrades
Price Target Consensus
Current $12.10
Median $20.00
Consensus $18.83
Low consensus $12.00
High consensus $23.00

Stock Grades (Institutions)

Institution Action Previous Grade New Grade Date
Susquehanna maintain Positive Positive 2026-04-09
Jefferies maintain Hold Hold 2026-04-07
GLJ Research maintain Sell Sell 2026-03-26
UBS maintain Buy Buy 2026-03-10
GLJ Research maintain Sell Sell 2026-03-03
Freedom Capital Markets downgrade Buy Hold 2026-03-03
Freedom Broker downgrade Buy Hold 2026-03-03
Mizuho maintain Outperform Outperform 2026-03-02
Goldman Sachs maintain Buy Buy 2026-03-02
Oppenheimer maintain Outperform Outperform 2026-02-27
GLJ Research downgrade Hold Sell 2026-02-27
Jefferies downgrade Buy Hold 2026-02-27
Deutsche Bank maintain Hold Hold 2026-01-07
Morgan Stanley maintain Equal Weight Equal Weight 2025-12-02
Freedom Broker maintain Hold Hold 2025-11-13
Wells Fargo maintain Overweight Overweight 2025-11-11
Guggenheim upgrade Neutral Buy 2025-11-10
Citigroup upgrade Neutral Buy 2025-10-21
UBS maintain Buy Buy 2025-10-21
JP Morgan maintain Overweight Overweight 2025-10-16
BMO Capital upgrade Underperform Market Perform 2025-10-15
Susquehanna maintain Positive Positive 2025-10-13
Goldman Sachs maintain Buy Buy 2025-10-08
Jefferies upgrade Hold Buy 2025-10-01
JP Morgan maintain Overweight Overweight 2025-09-19
Goldman Sachs maintain Buy Buy 2025-09-11
RBC Capital upgrade Sector Perform Outperform 2025-08-18
GLJ Research upgrade Sell Hold 2025-08-15
Wells Fargo maintain Overweight Overweight 2025-08-14
UBS maintain Buy Buy 2025-08-08