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Chevron Corp (CVX)

158.25
+0.46 (0.29%)
NYSE · Last Trade: Sep 12th, 3:51 AM EDT
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Detailed Quote

Previous Close157.79
Open156.50
Bid158.00
Ask158.20
Day's Range156.01 - 158.92
52 Week Range132.04 - 168.96
Volume6,417,470
Market Cap306.04B
PE Ratio (TTM)20.37
EPS (TTM)7.8
Dividend & Yield6.840 (4.32%)
1 Month Average Volume8,213,752

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About Chevron Corp (CVX)

Chevron Corporation is a multinational energy company engaged in all aspects of the oil and gas industry, including exploration, production, refining, and marketing of crude oil and natural gas. The company operates in various regions around the world, focusing on both conventional and unconventional resources. In addition to its fossil fuel operations, Chevron is also investing in renewable energy technologies, such as biofuels and geothermal energy, as part of its commitment to transitioning towards a more sustainable energy future. Through its extensive supply chain, Chevron provides fuels and lubricants for transportation, industrial, and commercial needs, while also prioritizing safety and environmental stewardship in its operations. Read More

News & Press Releases

3 Top EV Stocks to Buy in Septemberfool.com
BYD, QuantumScape, and EVgo could head higher once the EV market warms up.
Via The Motley Fool · September 12, 2025
Global Storm Brews: International Headwinds Force Fed's Hand in Pivotal Policy Decisions
The global economy is currently navigating a treacherous landscape, marked by a confluence of significant headwinds that are increasingly dictating the Federal Reserve's monetary policy path. Intensifying geopolitical tensions, a palpable resurgence of protectionist trade policies, stubbornly persistent inflationary pressures, and a general deceleration in global economic growth are the
Via MarketMinute · September 11, 2025
All It Takes Is $27,000 Invested in These 2 High-Yield Dividend Stocks and ETF to Help Generate Over $1,000 in Passive Income Per Yearfool.com
These Dow Jones stocks and ETF offer ways to collect a sizable amount of passive income from equities.
Via The Motley Fool · September 11, 2025
The Great Squeeze: Homeownership Costs Skyrocket as Inflation and Interest Rates Bite
The American dream of homeownership has become an increasingly distant reality for millions, as a perfect storm of persistent inflation and soaring interest rates has sent the cost of buying and maintaining a home to unprecedented levels since 2020. This dramatic surge has not only strained household budgets but has
Via MarketMinute · September 10, 2025
Navigating the New Normal: An Investor's Guide to Market Volatility, Inflation, and Policy Shifts
The U.S. financial landscape in 2025 is a complex tapestry woven with threads of economic shifts, political uncertainties, and evolving monetary policy. Investors are confronted with a "new normal" characterized by slowing job growth, stubbornly persistent inflation, and the Federal Reserve's delicate dance with interest rate adjustments, all set
Via MarketMinute · September 10, 2025
A Tale of Two Energies: Biden's Green Vision Clashes with Trump's Fossil Fuel Push
The United States stands at a critical crossroads, facing a stark choice between two fundamentally divergent energy futures. President Joe Biden's administration has aggressively championed a clean energy transition, aiming to decarbonize the economy and position the nation as a leader in renewable technologies. In stark contrast, former President Donald
Via MarketMinute · September 10, 2025
The Specter of Stagflation: A Looming Threat to Global Markets
The global economy is once again grappling with the disquieting prospect of stagflation, a rare and challenging economic phenomenon defined by the simultaneous occurrence of slow economic growth, high unemployment, and persistent inflation. This peculiar confluence, which defies traditional economic models, is sending ripples of concern through financial markets and
Via MarketMinute · September 10, 2025
Escalating Tariffs: A Looming Threat to Global Economic Stability and Inflation
The global economy is grappling with a significant wave of escalating tariffs throughout 2025, primarily initiated by the United States, which has triggered widespread retaliatory measures from its key trading partners. These protectionist policies are casting a long shadow over global economic stability, threatening to decelerate growth, disrupt intricate supply
Via MarketMinute · September 10, 2025
US Economy at a Crossroads: Soft Landing or Slump Amidst Shifting Indicators?
The United States economy is currently navigating a period of profound uncertainty, with a complex array of economic indicators presenting a mixed picture for policymakers, businesses, and investors alike. A heated debate rages among economists: is the nation on track for a fabled "soft landing," where inflation moderates without triggering
Via MarketMinute · September 10, 2025
Stagflationary Fears Loom: Fed Grapples with Persistent Prices Amidst Economic Slowdown
The global economy finds itself at a precarious crossroads, grappling with the twin challenges of persistently "sticky" inflation and an undeniable deceleration in growth. This delicate equilibrium has thrust the Federal Reserve into an unenviable balancing act, as it strives to tame rising prices without pushing the economy into a
Via MarketMinute · September 10, 2025
2 Dividend ETFs to Buy Hand Over Fist and 1 to Avoidfool.com
Most of them have at least one very redeeming quality at this point, but one has proverbially painted itself into a corner.
Via The Motley Fool · September 10, 2025
Why This Dividend ETF is Perfectly Balanced for Yield and Growthfool.com
You can have the best of both worlds with this ETF.
Via The Motley Fool · September 10, 2025
Political Whiplash: Trump's Return Fuels Market Optimism Amidst Inflationary Headwinds
The landscape of American economic policy has undergone a significant transformation with the recent inauguration of former President Donald Trump for his second non-consecutive term in January 2025. This transition, coming on the heels of President Biden's "Bidenomics" agenda, has unleashed a wave of both optimism and uncertainty across financial
Via MarketMinute · September 9, 2025
Inflation's Stubborn Grip: A Tightrope Walk for the Fed Amidst a Faltering Job Market
The U.S. economy finds itself at a critical juncture, grappling with a paradoxical scenario: inflation remains persistently "sticky" and above target, even as the once-robust labor market shows undeniable signs of weakening. This delicate balance presents a profound challenge for the Federal Reserve, which must navigate its dual mandate
Via MarketMinute · September 9, 2025
Global Inflation Outlook: Navigating Moderation Amidst Persistent Tariff Pressures
The global economic landscape is currently presenting a nuanced picture, where disinflationary trends are taking hold in some key regions while new, aggressive trade-related tariffs, particularly in the United States, continue to exert upward pressure on prices. This creates a challenging environment for businesses, consumers, and policymakers alike, demanding strategic
Via MarketMinute · September 9, 2025
Geopolitical Storm Brews: Ukraine and Israel-Hamas Conflicts Unleash Unprecedented Volatility in Global Energy Markets
The global energy landscape is currently navigating a treacherous sea, buffeted by the simultaneous geopolitical storms of the Ukraine War and the Israel-Hamas conflict. These two major flashpoints are jointly contributing to extreme volatility across oil, natural gas, and coal markets, forcing a dramatic recalculation of energy strategies worldwide. From
Via MarketMinute · September 9, 2025
The Sunset of the Petrodollar: A New Dawn for Global Finance and a Reckoning for US Debt
The global financial landscape is undergoing a monumental shift, marked by the effective expiration of the petrodollar system in June 2024. This historic development sees Saudi Arabia, a cornerstone of the original agreement, no longer exclusively accepting US dollars for its oil sales. Instead, the Kingdom is now open to
Via MarketMinute · September 9, 2025
Here Are Billionaire Ken Griffin's 5 Biggest Stock Holdingsfool.com
One was recently acquired by a much bigger company.
Via The Motley Fool · September 9, 2025
Geopolitical Undercurrents and Washington's Shifting Sands: Navigating the Future of the Stock Market
The global financial landscape in 2025 is being profoundly shaped by a potent cocktail of escalating geopolitical tensions and a reconfigured U.S. political administration. From the volatile battlegrounds of the Middle East to the contentious trade corridors with China, these flashpoints are sending ripples through global supply chains and
Via MarketMinute · September 9, 2025
The Schwab U.S. Dividend Equity ETF (SCHD) Is One of the Leading Blue Chip ETFs in 2025. Here's Why.fool.com
This investment offers a great mix of dividend income and appreciation over time.
Via The Motley Fool · September 9, 2025
Phillips 66 To Acquire Cenovus Stake In WRB Refining For $1.4 Billion Cash Dealbenzinga.com
Phillips 66 to acquire remaining 50% stake in WRB Refining LP from Cenovus Energy for $1.4 billion, gaining full ownership of two US refineries and simplifying operations.
Via Benzinga · September 9, 2025
Global Economic Slowdown and Escalating Tariffs: A Looming Threat to Market Growth
The global economy is currently grappling with a projected deceleration in GDP growth, a situation severely exacerbated by an unprecedented escalation of U.S. tariffs. These twin forces are creating a potent cocktail of stagflationary pressures, threatening to disrupt corporate supply chains, erode investor confidence, and reshape the landscape of
Via MarketMinute · September 8, 2025
Investors Brace for Critical CPI Report as Inflation Nears 3% Hurdle
Financial markets are holding their breath as the highly anticipated August 2025 Consumer Price Index (CPI) report looms, a critical barometer for inflation and a potential swing factor for the Federal Reserve's monetary policy. With inflation stubbornly hovering near the 3% mark, this economic data release, scheduled for Thursday, September
Via MarketMinute · September 8, 2025
The Great Rebalancing: Small-Cap and Value Stocks Emerge as Market Leaders Amidst Fed Pivot Hopes
Global financial markets are witnessing a significant and potentially enduring shift, as investors increasingly rotate capital away from the long-dominant mega-cap growth stocks towards their undervalued counterparts: small-cap and value-oriented companies. This pivotal recalibration, gaining substantial traction in August 2025, signals a broadening of market leadership beyond a select few
Via MarketMinute · September 8, 2025
Will Sticky Services and Tariffs Spoil the Fed's Rate Cut Plans?
Despite widespread market expectations for a September interest rate cut, the Federal Reserve finds itself navigating a perilous economic landscape marked by persistently high inflation. Stubbornly "sticky" services inflation, coupled with the escalating impact of new tariffs on core goods, is creating a complex dilemma for policymakers. While a cooling
Via MarketMinute · September 8, 2025