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Fluence Energy, Inc. (FLNC) Stock Profile & Financial OverviewFluence Energy, Inc.

Listed on NASDAQ • Utilities / Renewable Utilities
FLNC logo

FLNC Company Overview & Business Description

Fluence Energy, Inc. provides energy storage products and services, and artificial intelligence enabled digital applications for renewables and storage applications worldwide. The company sells energy storage products with integrated hardware, software, and digital intelligence, as well as engineering and delivery services to support the deployment of its storage products; operational and maintenance, and energy storage-as-a-service; and digital applications and solutions. Its energy storage products include Gridstack, a grid-scale industrial strength energy storage product; Sunstack for optimizing solar capture and delivery; and Edgestack, a commercial energy storage product that discharges when needed to flatten a facility's energy load profile. The company serves utilities, developers, and commercial and industrial customers. Fluence Energy, Inc. was founded in 2018 and is headquartered in Arlington, Virginia. Fluence Energy, Inc. is a joint venture of Siemens Aktiengesellschaft and The AES Corporation.

Key Information

Symbol: FLNC
CEO: Julian Jose Nebreda Marquez
Exchange: NASDAQ
CIK: 0001868941
SEC Filings: View SEC →

Current Trend for FLNC

An assessment of the current trend environment for FLNC, based on the latest closing price data and intended to describe the market context heading into the next trading session.

As of 2025-12-24, the current trend for FLNC is a Sideways Consolidation (Range-Bound Environment).

The weekly trend is in a consolidation regime, which automatically downgrades the daily signal to sideways conditions. This environment favors short-term mean-reversion rather than trend-following.

  • The weekly context is non-trending (sideways), which typically caps the duration and magnitude of daily trend moves.
  • Price is currently compressing tightly (optimal low-risk zone), sitting 0.29 ATR away from the adaptive KAMA baseline.
  • The market is maintaining a healthy 'Higher-High, Higher-Low' sequence, confirming buyer control.

Explore More Data

Adaptive Trend Model · Daily & Weekly (2025-12-24 ET)

This model uses an adaptive trend algorithm based on daily and weekly price data to identify whether a stock is in an uptrend, downtrend, or consolidation over a multi-week to multi-month horizon. Compared with traditional moving-average systems, it filters short-term noise more effectively, captures trend continuation more reliably, and provides a stronger basis for position sizing and risk-management decisions such as stop-loss and take-profit levels.

As of 2025-12-24, FLNC showing momentum fatigue; Long-term trend is bullish.

Trend Strength: FLNC last closed at 19.83, trading 1.1 ATR below the adaptive KAMA baseline (22.12). Technical Classification: Late-Cycle / Momentum Divergence.

Trend Score: Technical Score: 55/100. Classification: Late/Exhausted. Alignment: Indeterminate. Logic: Price action is range-bound or lacking sufficient slope for trend confirmation.

SuperTrend Risk: Structural Support: Adaptive SuperTrend at 14.25. This level serves as the calculated invalidation point for the current upward structure.

Risk Skew: Multi-timeframe risk skew is currently assessed as Upside-Biased / Overextended. While the macro trend is bullish, internal momentum shows exhaustion or significant price extension. Risk-reward for new longs is poor; focus on profit protection.

Key Levels: Key technical references: Spot 19.83, KAMA 22.12.

FLNC Real-Time Stock Price & Market Data (Updated: Dec 23 12:49 PM EST)

Price
19.94
Change
-0.51
Change %
-2.49%
Open
19.84
Previous Close
20.45
High
21.14
Low
19.42
Volume
2,009,074
Market Cap
3,646,400,768
EV/EBITDA
0

FLNC Shares Outstanding, Float, Short Interest & Ownership (Updated: Dec 23 12:49 PM EST)

Shares Outstanding
131,369,447
FloatShares
115,953,242
Float Ratio
88.26%
Shares Short
21,801,894
Short Percent Of Float
The percent of float shares currently sold short. Reflects market sentiment and risk of a short squeeze.
33.67%
Short Ratio
Days needed to cover all short positions. Indicates short-selling pressure.
2.9 trading days
Held Percent Insiders
30.82%
Held Percent Institutions
74.19%