SUNNOVA ENERGY INTERNATIONAL INC.

NYSE: NOVA (Sunnova Energy International In)

Last update: 03 Jun, 10:28PM

0.209

0.01 (6.25%)

Previous Close 0.197
Open 0.193
Volume 4,794,600
Avg. Volume (3M) 16,073,000
Market Cap 26,268,166
Price / Earnings (Forward) 100.00
52 Weeks Range
0.153 (-26%) — 13.00 (6120%)
Earnings Date 29 Jul 2025 - 4 Aug 2025
Profit Margin -43.80%
Operating Margin (TTM) -45.69%
Diluted EPS (TTM) -2.96
Quarterly Revenue Growth (YOY) 15.40%
Total Debt/Equity (MRQ) 316.04%
Current Ratio (MRQ) 0.780
Operating Cash Flow (TTM) -310.85 M
Levered Free Cash Flow (TTM) -1.44 B
Return on Assets (TTM) -1.29%
Return on Equity (TTM) -18.60%

Market Trend

Short Term Medium Term
Industry Solar (US) Bullish Bearish
Solar (Global) Bullish Bearish
Stock Sunnova Energy International In Bearish Bearish

AIStockmoo Score

0.4
Analyst Consensus -2.0
Insider Activity NA
Price Volatility 0.5
Technical Moving Averages 3.5
Technical Oscillators -0.5
Average 0.38

Similar Stocks

Stock Market Cap DY P/E (TTM) P/B
NOVA 26 M - - -
SOL 98 M - - 0.320
SPRU 35 M - - 0.250
JKS 1 B 6.18% - 0.480

Sunnova Energy International Inc is a residential solar energy products and services provider company. It offers services such as operations and maintenance, monitoring, repairs and replacements, equipment upgrades, and onsite power optimization. The products and services offered by the group include Add-on battery storage, Home solar protection plans, New solar battery storage, and various other solar systems. It operates in a single reportable segment: solar energy products and services.

Sector Technology
Industry Solar
Investment Style Small Core
% Held by Insiders 2.69%
% Held by Institutions 67.81%

Ownership

Name Date Shares Held
Newlight Partners Lp 31 Mar 2025 6,505,811

No data within this time range.

No data within this time range.

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

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Risk Profile

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Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

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Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

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