Your Best Stock

Bloom Energy BE

US equityMarket cap rank #210Hydrogen Energy
$266.67
−$8.53 (-3.10%)
Market open · Sep 24, 1:10 pm ET
After hours $275.57 +0.14%
Open$256.17
Prev close$275.19
Day range$251.30 – $267.55
Volume13.08M
Market cap$78.55B
P/E (TTM)346.4
Dividend yield

Fundamentals

Latest reported quarter: Q2, ended Jun 2026

Revenue$1.07B+165.5% YoY
Operating profit$182.24M+5,302.3% YoY
Net profit$198.86M+571.3% YoY
Diluted EPS$0.62+444.4% YoY
Free cash flow$174.79M+179.3% YoY
Operating cash flow$226.43M

Revenue, last 8 quarters

$330.4MSep '24$572.4MDec '24$326.0MMar '25$401.2MJun '25$519.0MSep '25$777.7MDec '25$751.1MMar '26$1.1BJun '26

Net profit, last 8 quarters

$-14.6MSep '24$105.2MDec '24$-23.4MMar '25$-42.2MJun '25$-23.0MSep '25$1.4MDec '25$73.7MMar '26$198.9MJun '26

Diluted EPS by quarter

-0.06Sep '240.38Dec '24-0.10Mar '25-0.18Jun '25-0.10Sep '250.00Dec '250.23Mar '260.62Jun '26

Free cash flow by quarter

$-83.8MSep '24$473.1MDec '24$-124.9MMar '25$-220.4MJun '25$7.4MSep '25$395.1MDec '25$47.4MMar '26$174.8MJun '26

Annual revenue

$794.2MFY20$972.2MFY21$1.2BFY22$1.3BFY23$1.5BFY24$2.0BFY25

Profitability & balance sheet

Gross margin31.2%
Operating margin11.2%
Net margin7.9%
Return on equity22.2%
Return on assets6.0%
Return on invested capital7.0%
Current ratio4.09
Liabilities / assets70.9%
Cash & investments$2.72B
Total debt$2.73B
Net cash (debt)-$8.29M
Free cash flow / sales20.1%

Income statement

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Revenue as Reported $1.07B $751.05M $2.02B $777.68M $519.05M
Total Operating Revenue $1.07B $751.05M $2.02B $777.68M $519.05M
Cost of Revenue $709.79M $525.51M $1.44B $537.79M $367.37M
Gross Profit $355.57M $225.54M $587.40M $239.90M $151.68M
Operating Expense $173.34M $153.35M $514.60M $152.37M $143.83M
Selling and Admin Expenses $114.46M $96.51M $328.61M $96.48M $95.11M
-Selling & Marketing Expense $43.05M $38.44M $130.23M $41.90M $42.00M
-General & Admin Expense $71.42M $58.07M $198.38M $54.58M $53.11M
Research & Development $58.87M $56.85M $185.99M $55.89M $48.72M
Operating Profit $182.24M $72.19M $72.80M $87.53M $7.85M
Net Non-Operating Interest Income (Expense) $11.98M $12.00M -$19.82M $2.96M -$9.10M
Non-Operating Interest Income $20.88M $20.60M $34.07M $13.60M $5.29M
Non-Operating Interest Expense $8.91M $8.60M $53.89M $10.65M $14.39M
Other Income (Expense) $6.11M -$10.05M -$137.39M -$88.11M -$21.37M
Gain on Sale of Security -$539,000.00 $754,000.00 -$537,000.00 -$135,000.00 -$411,000.00
Earnings from Equity Interest $4.35M -$17.00M -$40.42M -$20.82M -$19.60M
Special Income (Charges) $0.00 -$98.58M -$66.24M $0.00
Other Non-Operating Income (Expenses) $2.31M $6.20M $2.15M -$908,000.00 -$1.36M
Pretax Profit $200.33M $74.14M -$84.40M $2.38M -$22.62M
Tax $1.47M $445,000.00 $2.74M $952,000.00 $336,000.00
Net Profit $198.86M $73.69M -$87.14M $1.43M -$22.96M
Profit from Continuing Operations $198.86M $73.69M -$87.14M $1.43M -$22.96M
Minority Interests $2.57M $3.04M $1.29M $334,000.00 $133,000.00
Net Income to Parent Company $196.29M $70.65M -$88.43M $1.09M -$23.09M
Net Income to Common Stockholders $196.29M $70.65M -$88.43M $1.09M -$23.09M
Basic EPS $0.68 $0.25 -$0.37 $0.00 -$0.10
Diluted EPS $0.62 $0.23 -$0.37 $0.00 -$0.10
-Less:Other Special Charges $98.58M $66.24M

Balance sheet

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Assets $5.63B $4.66B $4.40B $4.40B $2.64B
Total Current Assets $4.59B $3.95B $3.73B $3.73B $2.05B
Cash and Cash Equivalents & Short-Term Investments $2.72B $2.49B $2.45B $2.45B $595.06M
-Cash and Cash Equivalents $2.67B $2.49B $2.45B $2.45B $595.06M
-Short Term Investments $50.00M
Receivables $891.95M $639.44M $563.77M $563.77M $681.78M
-Accounts Receivable $458.13M $359.41M $371.80M $371.80M $411.65M
-Accrued Interest Receivable $5.92M $6.74M $6.03M $6.03M $1.66M
-Taxes Receivable $7.64M $7.55M $4.51M $4.51M $7.32M
-Other Receivables $420.26M $265.74M $181.44M $181.44M $261.16M
Prepaid Assets $50.82M $45.76M $20.67M $20.67M $17.14M
Inventory $758.19M $732.53M $643.31M $643.31M $705.00M
Restricted Cash $1.05M $1.25M $1.97M $1.97M $8.47M
Current Deferred Assets $68.09M $24.45M $32.21M $32.21M $25.65M
Other Current Assets $103.11M $19.68M $14.53M $14.53M $14.80M
Total Non-Current Assets $1.04B $710.19M $666.14M $666.14M $590.30M
Net PPE $549.86M $510.48M $507.05M $507.05M $513.04M
-Gross PPE $847.26M $796.86M $789.64M $789.64M $818.83M
-Accumulated Depreciation -$297.39M -$286.37M -$282.59M -$282.59M -$305.79M
Investments and Advances $28.09M $23.26M $10.04M $10.04M $5.94M
-Long Term Equity Investment $28.09M $23.26M $10.04M $10.04M $5.94M
Non Current Accounts Receivables $64.68M $65.19M $64.45M $64.45M $2.46M
Non-Current Prepaid Assets $116.82M $35.95M $4.32M $4.32M $4.51M
Goodwill and Other Intangible Assets $215.53M
-Other Intangible Assets $215.53M
Non-Current Deferred Assets $42.75M $37.76M $36.51M $36.51M $26.74M
Other Non-Current Assets $20.60M $37.55M $43.78M $43.78M $37.62M
Total Liabilities $3.99B $3.72B $3.60B $3.60B $1.96B
Total Current Liabilities $1.12B $786.80M $623.83M $623.83M $465.95M
Payables $318.79M $246.67M $213.46M $213.46M $173.09M
-Accounts Payable $309.93M $241.65M $203.13M $203.13M $167.38M
-Total Tax Payable $8.86M $4.11M $10.34M $10.34M $5.71M
Current Accrued Expenses $283.29M $185.64M $116.67M $116.67M $96.31M
Short-Term Debt and Capital Lease Obligation $93.75M $90.41M $78.83M $78.83M $60.53M
-Current Debt $7.27M $3.96M $4.15M $4.15M $1.42M
-Current Capital Lease Obligation $86.48M $86.45M $74.68M $74.68M $59.11M
Current Deferred Liabilities $330.22M $196.34M $103.09M $103.09M $57.54M
Other Current Liabilities $21.22M $18.47M $14.21M $14.21M $14.61M
Total Non-Current Liabilities $2.86B $2.93B $2.98B $2.98B $1.49B
Long Term Debt and Capital Lease Obligation $2.72B $2.86B $2.91B $2.91B $1.45B
-Long Term Debt $2.47B $2.60B $2.61B $2.61B $1.13B
-Long Term Capital Lease Obligation $247.18M $260.05M $299.40M $299.40M $321.96M
Non-Current Deferred Liabilities $137.46M $62.03M $56.77M $56.77M $32.25M
Other Non-Current Liabilities $9.20M $9.16M $10.03M $10.03M $9.67M
Total Equity $1.64B $948.01M $792.96M $792.96M $677.48M
Stockholders' Equity $1.61B $921.47M $768.64M $768.64M $653.07M
Capital Stock $29,000.00 $28,000.00 $28,000.00 $28,000.00 $24,000.00
-Common Stock $29,000.00 $28,000.00 $28,000.00 $28,000.00 $24,000.00
Additional Paid-In Capital $5.33B $4.84B $4.76B $4.76B $4.64B
Retained Earnings -$3.72B -$3.92B -$3.99B -$3.99B -$3.99B
Gains/Losses Not Affecting Retained Earnings $347,000.00 $2.97M -$369,000.00 -$369,000.00 -$1.18M
Minority Interests $28.67M $26.54M $24.32M $24.32M $24.41M
-Dividends Payable $902,000.00

Cash flow

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Operating Cash Flow $226.43M $73.61M $113.95M $418.07M $19.67M
Net cash flow from continuing operations $226.43M $73.61M $113.95M $418.07M $19.67M
Net Income from Continuing Operations $198.86M $73.69M -$87.14M $1.43M -$22.96M
Gain/Loss from Continuing Operations -$4.20M $19.33M $71.44M $21.11M $22.79M
Depreciation & Depletion & Amortization $13.75M $13.28M $50.57M $13.18M $12.80M
Other Non-Cash Items $7.54M $1.74M $122.07M $92.88M $9.80M
Change in Working Capital -$49.92M -$79.56M -$217.29M $233.95M -$62.19M
-Change in Receivables -$224.34M -$52.91M -$131.55M $57.85M -$74.86M
-Change in Inventory -$26.47M -$88.58M -$119.21M $59.95M -$36.56M
-Change in Prepaid Assets -$78.18M -$54.16M -$3.60M -$5.06M -$4.67M
-Change in Payables and Accrued Expense $193.65M $53.95M $194.70M $92.68M $76.38M
-Change in Other Current Assets -$70.65M -$25.99M -$11.09M -$12.82M $902,000.00
-Change in Other Current Liabilities $81,000.00 $3,000.00 $2.35M $1.30M $85,000.00
-Change In Other Working Capital $155.98M $88.14M -$148.88M $40.05M -$23.46M
Net cash flow from investing -$54.55M -$45.94M -$93.12M -$34.82M -$36.87M
Net Cash Flow from Continuing Investing Activities -$54.55M -$45.94M -$93.12M -$34.82M -$36.87M
Net PPE Purchase and Sale -$51.61M -$26.09M -$56.63M -$22.90M -$12.30M
Net Business Purchase and Sale -$2.95M -$19.85M -$36.49M -$11.92M -$24.57M
Financing Cash Flow $1.23M $7.06M $1.51B $1.47B $39.42M
Net Cash Flow from Continuing Financing Activities $1.23M $7.06M $1.51B $1.47B $39.42M
Net Issuance Payments Of Debt -$5.19M -$7.97M $1.51B $1.52B -$2.94M
Net Common Stock Issuance $7.32M $15.84M $59.12M $9.09M $42.35M
Net Other Financing Charges $14,000.00 -$806,000.00 -$62.56M -$59.36M $0.00
Ending Cash Balance $2.69B $2.52B $2.48B $2.48B $627.02M
Net Change in Cash $173.11M $34.73M $1.53B $1.85B $22.21M
Beginning Cash Balance $2.52B $2.48B $950.97M $627.02M $606.05M
Effect of Exchange Rate Changes -$2.88M $1.98M $1.38M $396,000.00 -$1.25M
Free Cash Flow $174.79M $47.43M $57.19M $395.12M $7.37M
Net Preferred Stock Issuance $0.00
Cash Dividends Paid -$947,000.00 $0.00 $0.00
Proceeds from Stock Option Exercised $0.00
Scroll to Top