Energy Recovery, Inc., a U.S.-based company operating within the Industrials sector and focusing on the Machinery industry, has been a notable player in the development and manufacturing of energy recovery devices, particularly for the water desalination industry. The company, headquartered in San Leandro, has carved a niche for itself by innovating technologies that facilitate the conversion of seawater into fresh water through advanced filtering membranes. These technologies are crucial for sectors such as oil and gas, chemicals, and water distribution.

As of March 5, 2026, Energy Recovery’s stock closed at $10.61 on the Nasdaq, where it is publicly traded. The company’s market capitalization stands at approximately $566.32 million USD. Over the past year, the stock has experienced significant price movements, reaching a 52-week high of $18.32 on October 26, 2025, and a 52-week low of $9.59 on March 2, 2026. This $8.73 range in stock price over the past twelve months reflects a moderate level of volatility.

The company’s valuation metrics indicate a price-to-earnings (P/E) ratio of 25.5, suggesting that it trades at a moderate premium relative to its earnings. Additionally, the price-to-book (P/B) ratio is 2.67, further supporting the notion of a moderate premium in terms of book value. These figures highlight the market’s valuation of Energy Recovery’s innovative capabilities and potential for growth within its industry.

Energy Recovery, Inc. was established as a public company following its Initial Public Offering (IPO) on June 2, 2008. Despite the absence of recent updates, with the latest announcement dated February 10, 2026, the company continues to be a significant entity in its field. For more detailed information on their offerings and initiatives, stakeholders and interested parties are encouraged to visit their official website at www.energyrecovery.com .

In summary, Energy Recovery, Inc. remains a key player in the energy recovery and water desalination sectors, with its stock reflecting moderate volatility and a valuation that underscores its market position and potential for future growth.