# RNN 2nd Gen Model Fluor Corporation Heavy construction, except building construction - contractors

Stock predictor AI models:
Subscribe >> Deal exit on
Dec. 14, 2020
Deal entry on
Dec. 14, 2020
8.27%Expected margin
74.39% successful of 82 deals
$ 20.45 Last close price
at 22-jan-2021


Model's trade recommendations 9.50% Return for period

-26.43% Annual return

$8.22B Market Cap

β 1.48  


Model (following trade recommendations)


Underlying stock

S&P 500

Return for period 9.50%
52wk return 0.52%
52wk Range
Sortino ratio -0.31
Sharpe ratio -0.29
Norm. RMSE 2.05%
Downside risk 45.25%
Volatility 0.00%
  • 0.84 (1.43%) Div (Yield)
  • BUY Analysts consensus recommendation

Fluor is a FORTUNE 500 company that delivers engineering, procurement, construction, maintenance (EPCM), and project management to governments and clients in diverse industries around the world. Fluor serves a number of industries worldwide, including oil and gas, chemical and petrochemicals, transportation, mining and metals, power, life sciences and manufacturing. Fluor is also a primary service provider to the United States Federal Government. It performs operations and maintenance activities for major industrial clients, and also operates and maintains their equipment fleet. The Company is aligned into five principal operating segments: Oil and Gas, Industrial and Infrastructure, Government, Global Services and Power. The company also offers unionized management and construction services in the United States and Canada. Fluor Corporation is headquartered in Irving, Texas.

Industry sector: Construction

Sector classification: Heavy construction, except building construction - contractors

Deep Learning based analysis and prediction model for Fluor Corporation (FLR) stock is a 2nd Generation Non-linear Autoregressive (NAR) model based on the LSTM/GRU Recurrent Neural Network architecture.

Model is in the production pipeline since Oct. 24, 2015.

Market data for FLR model training are being downloaded from the Quandl premium datasets on a daily basis.
Risks related to the novel coronavirus disease 2019 (COVID-19) caused by the virus named “SARS-CoV-2” are accounted for in this model in the form of the historical data coincided with outbreaks and other global events in the past used to train ML prediction model for FLR.

Model is being retrained on a regular basis.

Float 138M
P/E 22.08
Shares Outstanding 140M
% Held by Insiders 1.40%
% Held by Institutions 86.53%
EPS (last reported FY) $1.63
EPS (last reported Q) $0.70
EPS, estimated (last reported Q) $0.63
Total revenues $20 B
Net income $0 B