Sunrun stock (RUN) Guide
Sunrun stock (RUN)
Short description: This article explains sunrun stock — the publicly traded equity of Sunrun Inc. (ticker: RUN) listed on the Nasdaq. It describes what the ticker represents, where it trades, typical quote fields, and what readers will learn here: company background, business model, financials, market data, risks, recent material events, and how to follow the stock for research or trading.
Company overview
Sunrun Inc. is a U.S.-based residential solar company focused on designing, installing, owning, financing and maintaining rooftop solar systems and battery storage for homeowners.
Founded to accelerate the adoption of rooftop solar, Sunrun provides solar-as-a-service, system sales, lease and power purchase agreement (PPA) offerings, along with battery storage products that support backup power and energy management.
The company is headquartered in the United States and serves primary markets across many U.S. states where solar incentives and favorable economics support residential adoption.
Investor interest in Sunrun stems from its combination of recurring revenue via long-term service agreements, capital-intensity due to financing customer systems, and growth exposure to residential solar adoption and electrification trends.
Stock identification and market listing
Sunrun stock trades under the ticker RUN on the Nasdaq stock exchange. Common identifiers that investors use include ISIN and CUSIP (refer to company filings or major market-data providers for the exact codes).
The primary trading currency for RUN is U.S. dollars. Typical Nasdaq trading hours apply, with pre-market and after-hours sessions available through many brokers.
Standard quote fields for sunrun stock include last traded price, change, percent change, market capitalization, shares outstanding, float, 52-week high/low, volume and average daily volume. This article references common data sources such as company investor relations pages, market-data portals, and exchange feeds for those fields.
Key market data and quote metrics
Investors monitoring sunrun stock commonly track:
- Real-time or delayed last price and percent change.
- 52-week high and low to gauge longer-term volatility and range.
- Daily trading volume and 30/90-day average volume to assess liquidity.
- Beta to measure historical volatility relative to the market.
- Market capitalization as a snapshot of equity value.
- Earnings per share (EPS) and price-to-earnings (P/E) ratio where applicable; many renewable growth companies have negative or volatile earnings, making P/E less applicable at times.
Typical data sources include exchange feeds, company investor relations, TradingView, MarketWatch, Investing.com, and major financial news providers. Note that many of these metrics change frequently and should be time-stamped when quoted.
Historical price performance
Historical charts for sunrun stock are usually shown across multiple horizons: multi-year, year-to-date (YTD), 1-year, 3-month and intraday views.
Events that historically move RUN’s price include quarterly earnings releases, changes to solar tax credits and incentives, interest-rate shifts, major financing updates, and sector-wide news such as endorsements of solar or changes in raw-material costs.
For example, sector rallies driven by high-profile endorsements of solar have produced correlated gains across residential solar names. As of January 24, 2026, media coverage noted a rally in solar stocks following a high-profile endorsement of solar energy at a major forum (source: Benzinga reporting summarized below).
Financial results and fundamentals
Coverage of sunrun stock should include the company’s key financial statements: income statement, balance sheet and cash flow statement.
Key items to review are revenue trends (installation revenues and recurring service revenues), gross margin, operating income/loss, net income, adjusted EBITDA (if provided), cash flow from operations, capital expenditures, and changes in debt levels.
Trailing-twelve-month (TTM) summaries and fiscal-year comparisons help illustrate growth and profitability trends. Ratio analysis often highlights gross margin, operating margin, EPS trends and leverage ratios such as debt-to-equity or net debt to adjusted EBITDA.
Because Sunrun’s business often involves project-level financing and long-term customer contracts, assessing off-balance-sheet obligations, securitizations and asset-backed financing vehicles is crucial to understanding leverage and liquidity.
Business model and operations
Sunrun’s operating model spans multiple revenue streams:
- System sales: outright sale of solar systems to homeowners.
- Solar-as-a-service: long-term leases or PPAs where Sunrun retains system ownership and collects recurring payments.
- Service contracts: maintenance, monitoring and service fees for installed systems.
- Storage: sales or service agreements for battery storage paired with solar installations.
Installations occur through company crews and authorized installers or partner channels. The company’s geographic footprint emphasizes U.S. states with high solar adoption and favorable incentives.
Capital structure matters: when Sunrun finances rooftop systems, it often raises capital via debt, securitizations, or equity to fund installations. Those financing choices affect company-level economics because Sunrun may carry system assets on its balance sheet and collect revenue over time.
Products and services
Core products associated with sunrun stock include residential solar systems and integrated battery-storage solutions. Battery products provide backup power, time-shifting of solar generation, and participation in grid services in some markets.
The company also offers customer-facing apps and monitoring services for energy production and usage. Financing solutions—sales, loans, leases and PPAs—are central to making rooftop solar accessible to a wider homeowner base.
Sunrun may also form product partnerships and joint ventures to secure supply, lower hardware costs, or enter new markets. Such collaborations can influence margins and growth prospects.
Corporate governance and management
Investor-oriented coverage of sunrun stock includes profiles of the executive leadership team, the CEO, CFO and other key officers, plus board composition and governance practices.
Recent management changes, executive transitions, or updates to strategy announced by the board can materially affect sentiment around the stock. Investors evaluate governance factors including compensation policies, related-party transactions and board independence.
Major shareholders and ownership
Major shareholders typically include institutional investors, mutual funds and ETFs that hold significant positions, as well as insider holdings by executives and board members.
Ownership metrics for sunrun stock to monitor include percentage of shares held by institutions, insider ownership levels, and the float available to public investors. Short-interest and changes in short-interest are also relevant for understanding potential short squeezes or negative sentiment trends.
Analyst coverage and investor sentiment
Analyst coverage of sunrun stock often features sell/hold/buy ratings, consensus price targets, and periodic analyst notes tied to earnings or material company events.
Retail sentiment indicators—message-board themes, social sentiment and search trends—can affect short-term price action, particularly in a stock with active retail participation.
Institutional analyst commentary frequently focuses on growth visibility, margin expansion, capital access and policy risk. Tracking revisions in earnings or revenue estimates provides insight into changing expectations.
Trading instruments and derivatives
Sunrun stock trades as common shares under RUN. Options markets are typically available for RUN with listed option chains on U.S. options exchanges. Liquidity in options and the underlying stock varies by volume and open interest.
Other instruments to watch include any listed warrants, preferred securities, or structured products issued by third parties that reference RUN. Investors can trade RUN through U.S. brokerages; for crypto-native users or those exploring cross-asset platforms, the Bitget exchange offers equity trading access where available and provides integrated tools for research and order execution.
Risks and controversies
Key investment risks for sunrun stock include:
- Policy and regulatory risk: changes to federal and state solar incentives, tax credits or utility regulation can materially affect demand and project economics.
- Execution risk: scaling installations while maintaining margins and operational quality is challenging for residential installers.
- Interest-rate sensitivity: higher rates raise the cost of capital for financing customer systems and securitizations.
- Commodity and supply risks: fluctuations in panel and inverter prices, or supply-chain disruptions, affect equipment costs.
- Leverage and liquidity: high debt levels or tight liquidity can increase vulnerability in credit-market stress.
- Legal and counterparty risk: litigation, large warranty claims, or counterparties’ financial distress may create exposures.
Past controversies in the sector have included installation safety incidents, warranty disputes and debates over the economics of leases and PPAs. Any material regulatory investigations or class-action suits should be tracked via SEC filings and company disclosures.
Regulatory and macro policy environment
Federal tax credits, such as investment tax credits (ITC) for solar, state-level incentives and net metering policies strongly influence residential solar economics and adoption.
Utility regulation—rates, interconnection rules and grid tariffs—also affects economics for rooftop solar customers and thus Sunrun’s addressable market.
Macro trends such as electrification of homes, growth in electric-vehicle adoption, and broader renewable energy policy can provide tailwinds for the residential-solar sector and, by extension, sunrun stock.
Recent developments and notable events
As of January 24, 2026, according to Benzinga reporting, an endorsement of solar energy at the 2026 World Economic Forum in Davos by a high-profile technology leader helped trigger a rally across the solar sector, with several solar-related stocks trading higher that day.
Benzinga reported sector price moves, noting that sunrun stock was trading higher alongside peers during that session, as investors reacted to remarks positioning solar as central to a broader power transition and to comments criticizing U.S. solar tariffs.
Material company-level events to track for sunrun stock include quarterly earnings releases, announcements of major financing or securitization transactions, joint ventures, large customer wins or material contract changes, management changes, and any regulatory filings that could alter incentives or revenue recognition.
Valuation and comparative metrics
Valuing sunrun stock typically uses multiple approaches depending on profitability. Common methods include:
- Relative valuation: comparing revenue multiples, EV/EBITDA (if positive) and other ratios to residential solar peers and renewable-energy companies.
- Discounted cash flow (DCF): projecting cash flows from owned system assets and securitization structures; DCFs must account for negative near-term earnings and capital intensity.
- Growth-adjusted metrics: considering recurring revenue composition and expected long-term system economics.
Because many companies in the residential-solar space may report negative GAAP earnings while scaling, analysts often rely on adjusted metrics such as adjusted EBITDA, cash conversion, and customer-level economics (gross margin per system, lifetime value of customer contracts).
Peer comparisons often include other residential solar providers and companies in distributed energy resources and storage. When evaluating price targets and multiples cited by analysts, confirm the date of each estimate and the assumptions used.
Technical analysis and market structure
Technical commentary on sunrun stock commonly highlights recent trend direction, support and resistance price levels, key moving averages, volume patterns and short-term indicators like RSI or MACD.
Traders may watch liquidity patterns—daily average volume and option open interest—for execution considerations. Technical analysis is descriptive of historical price action and should not be construed as investment advice.
How to research and follow the stock
Reliable sources to follow sunrun stock include:
- Sunrun Investor Relations for SEC filings, earnings releases and investor presentations (company IR site).
- SEC EDGAR filings for 10-Ks, 10-Qs and current reports that disclose material contracts and risk factors.
- Market-data providers such as TradingView, MarketWatch, Investing.com and Barron's for quotes, charts and historical data.
- News services that cover sector and macro events impacting solar demand and policy.
For trading and custody, many investors use regulated U.S. brokerages. For crypto-native or multi-asset users seeking an integrated platform, consider Bitget for trading tools, custody and research features where available. For wallet needs related to Web3, Bitget Wallet is recommended as the preferred option in this context.
See also
- Residential solar industry overview
- Key peers in residential solar and storage
- Renewable energy policy and tax credits
- Solar financing structures (PPAs, leases, securitizations)
References and external links
Primary sources used or recommended for further reading (named without direct links):
- Sunrun Investor Relations — Stock Reference
- TradingView — NASDAQ:RUN profile
- MarketWatch — RUN quote and overview
- CNBC — RUN: Sunrun Inc. quote and news
- Robinhood — Sunrun stock page
- Barron's — RUN company page and market-data
- FinancialContent market quote pages
- Investing.com — Sunrun historical data
- Benzinga reporting on sector moves tied to the 2026 World Economic Forum
When using these sources, confirm timestamped metrics since prices, market cap and volume change continuously.
Appendix: Example time-stamped market note
As of January 24, 2026, according to Benzinga reporting summarizing market activity at the World Economic Forum in Davos, sunrun stock traded higher during a sector-wide rally following high-profile comments endorsing solar as a central solution to rising power demand. Benzinga cited same-session quotes that showed RUN trading up alongside peers during that news-driven move.
Readers should consult real-time market-data services for the latest numerical metrics, and cross-check against company filings for material corporate developments.
Further steps and next actions
If you want to monitor sunrun stock:
- Bookmark Sunrun’s investor relations and the company’s SEC filings for official disclosures.
- Set alerts on a market-data platform for price changes, earnings releases and material news.
- Use Bitget’s research and trading tools to watch order flows and execute trades where available.
Explore Bitget features to follow and trade equities with integrated market data and wallet services.
Note: This article is informational and factual in nature. It does not provide investment advice, recommendations, or endorsements of buy/sell actions.























