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Chevron Corp (CVX)

151.94
+3.04 (2.04%)
NYSE · Last Trade: Oct 13th, 10:50 PM EDT
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Energy Sector Navigates Volatility Amidst Broader Market Rebound: A Closer Look at Investor Interest
The S&P 500 Energy sector finds itself at a fascinating crossroads, demonstrating a complex interplay of volatility and strategic importance as the broader market experiences a significant rebound. While the overall S&P 500 has been flirting with record highs, largely propelled by technology and consumer discretionary giants, the
Via MarketMinute · October 13, 2025
Valero Energy's Consistent Dividend Payout Signals Robust Financial Health Amidst Evolving Energy Landscape
Valero Energy Corporation (NYSE: VLO) continues its steadfast commitment to shareholder returns, with its upcoming quarterly dividend declaration anticipated around October 28, 2025. This consistent policy of returning capital to investors, exemplified by its most recent payment of $1.13 per share on September 2, 2025, translates to an attractive
Via MarketMinute · October 13, 2025
Check Out What Whales Are Doing With CVXbenzinga.com
Via Benzinga · October 10, 2025
Chevron's Steady Dividend Stream: A Beacon for Investors Amidst Market Volatility
In a financial landscape often characterized by fluctuating markets and economic uncertainties, the consistent declaration of a quarterly dividend by a corporate titan like Chevron Corporation (NYSE: CVX) serves as a powerful signal of stability and financial health. Even without the immediate revelation of a specific payout amount, such an
Via MarketMinute · October 13, 2025
Exxon Mobil's Steadfast Dividend Signals Stability in a Volatile Market
New York, NY – October 13, 2025 – In a financial landscape often characterized by rapid shifts and unpredictable turns, the consistent declaration of quarterly dividends by corporate giants like Exxon Mobil Corporation (NYSE: XOM) serves as a reassuring beacon for investors. While the specific amount of Exxon Mobil's next dividend, anticipated
Via MarketMinute · October 13, 2025
Chevron (CVX) Tumbles Nearly 2% Amidst Shifting Oil Dynamics and Earnings Concerns
San Ramon, CA – October 13, 2025 – Chevron Corporation (NYSE: CVX), a titan in the global energy landscape, experienced a notable downturn today, with its stock price falling by nearly 2%. This significant movement positioned the integrated energy giant as a bottom performer in a broader market that saw energy stocks
Via MarketMinute · October 13, 2025
Occidental and Berkshire Hathaway: A Deepening Alliance Reshapes the Energy Landscape
The long-standing, strategic relationship between Occidental Petroleum (NYSE: OXY) and Warren Buffett's Berkshire Hathaway (NYSE: BRK.A, BRK.B) has entered a new and pivotal phase, with Berkshire Hathaway agreeing to acquire Occidental's chemical division, OxyChem, for $9.7 billion in an all-cash transaction. Announced on October 2, 2025, and
Via MarketMinute · October 13, 2025
Chevron Corporation (NYSE: CVX): A Deep Dive into an Energy Giant in Transition
Chevron Corporation (NYSE: CVX) is a multinational energy corporation with a rich history and a significant presence in the global energy sector. Its ticker is CVX and it trades on the New York Stock Exchange (NYSE). Headquartered in San Ramon, California, Chevron is one of the largest integrated energy companies globally and the second-largest oil [...]
Via PredictStreet · October 3, 2025
Here Are My Top 3 High-Yield Energy Stocks to Buy Nowfool.com
If you are looking for high-yielding energy options, here are three choices that span the risk spectrum.
Via The Motley Fool · October 13, 2025
3 Magnificent S&P 500 Dividend Stocks Down 19% to 28% to Buy and Hold Foreverfool.com
Buying these beaten-down S&P 500 dividend stocks could make you a lot of money in the coming years.
Via The Motley Fool · October 13, 2025
Trump's Truth Social Roars: How Presidential Posts Send Shockwaves Through Global Markets
President Donald Trump's social media pronouncements continue to be a dominant force in shaping global financial markets, proving that even outside the Oval Office, his words can trigger immediate and often dramatic shifts in investor sentiment and stock futures. As of October 2025, his posts, particularly on trade and monetary
Via MarketMinute · October 12, 2025
Oil Markets Find Respite: Trump-Xi Trade Truce Fuels Sharp Rebound in Crude Prices
A temporary de-escalation in the fraught US-China trade war in December 2018, sparked by statements from then-President Donald Trump following a G20 summit, provided a much-needed jolt of optimism to global financial markets, leading to a significant rebound in oil prices. After months of escalating tariffs and fears of a
Via MarketMinute · October 12, 2025
The Best Dividend ETF to Invest $1,000 in Right Nowfool.com
This high-quality ETF can be a reliable source of income for investors.
Via The Motley Fool · October 12, 2025
All It Takes Is $2,500 Invested in Each of These 3 High-Yield Dow Dividend Stocks to Help Generate Over $350 in Passive Income per Yearfool.com
These Dow stocks pay high-yielding dividends that steadily rise.
Via The Motley Fool · October 12, 2025
The Smartest Dividend Stocks to Buy With $10,000 Right Nowfool.com
An eclectic mix of stocks that allows for monthly income, solid dividend yield, and capital appreciation.
Via The Motley Fool · October 11, 2025
iShares CUD: Navigating the Nuances of Dividend Growth in a Dynamic Market
As the closing bell rings on October 10, 2025, the iShares US Dividend Growers Index ETF (CAD-Hedged) (TSX: CUD) stands as a crucial barometer for Canadian income investors seeking exposure to resilient U.S. companies with a consistent history of increasing dividends. While its long-term trajectory showcases robust growth, recent
Via MarketMinute · October 10, 2025
Global Commodity Markets Brace for Impact Amidst Surging Volatility on October 10, 2025
Financial markets are on high alert as global commodity prices exhibit extreme volatility on October 10, 2025, with investors and traders keenly awaiting crucial reports such as the OPEC Monthly Oil Market Report and the latest U.S. construction spending data. A complex web of geopolitical tensions, strategic resource competition,
Via MarketMinute · October 10, 2025
Global Markets Reel as Renewed US-China Tariff Threats Ignite Widespread Sell-Off
October 10, 2025 – Global financial markets experienced a dramatic downturn today, Friday, October 10, 2025, as a sudden re-escalation of trade tensions between the United States and China triggered a broad-based sell-off across major global indexes. Renewed threats of "massive" tariffs from the US, met with immediate retaliatory measures from
Via MarketMinute · October 10, 2025
Inflation's Shadow Lengthens: September CPI Ignites Fed Caution Amidst Government Shutdown
Washington D.C., October 10, 2025 – The financial markets are bracing for impact as the September 2025 Consumer Price Index (CPI) report looms, a critical piece of economic data that promises to shine a harsh light on persistent inflation. This report, due for release amidst an ongoing government shutdown, is
Via MarketMinute · October 10, 2025
OPEC+ Eases Production Cuts, Sending Ripples Through Volatile Oil Markets
The recent decision by OPEC+ nations to slightly ease voluntary oil production cuts, effective November 2025, has introduced a fresh wave of uncertainty into the global energy landscape. This cautious unwinding of previous deeper cuts comes amidst a backdrop of shifting market fundamentals and growing concerns over a potential supply
Via MarketMinute · October 10, 2025
OPEC Report and Construction Spending Data Set to Define Monday's Commodity Landscape
As global markets brace for a pivotal Monday, October 13, 2025, two critical economic indicators are poised to send significant ripples through the commodity sector: the latest OPEC Monthly Oil Market Report (MOMR) and the U.S. Construction Spending data. These releases, eagerly anticipated by traders and analysts alike, are
Via MarketMinute · October 10, 2025
Oil Market Reels as Renewed Trump Tariff Threats Drive Prices to Five-Month Low
Global oil markets are experiencing significant turbulence, with crude prices plummeting to a five-month low following a fresh wave of tariff threats emanating from a hypothetical Trump administration in May 2025. The prospect of an escalating trade war has reignited fears of a global economic slowdown, directly impacting demand forecasts
Via MarketMinute · October 10, 2025
Crude Oil Futures Plunge to 5-Month Lows Amidst Oversupply Fears and Escalating Tariff Tensions
Global oil markets are in turmoil as crude oil futures have plummeted to their lowest levels in five months, with both WTI and Brent benchmarks registering significant declines around October 10, 2025. This sharp downturn is primarily fueled by a potent cocktail of persistent oversupply concerns, the specter of a
Via MarketMinute · October 10, 2025
Geopolitical Fault Lines Reshape 2025 Commodity Markets: A New Era of Volatility and Strategic Shifts
As of October 2025, the global commodity markets are navigating a tempest of geopolitical tensions, where shifting alliances, assertive resource nationalism, and persistent supply chain disruptions are redrawing the landscape of global trade and investment. This intricate web of political and economic forces is exerting significant pressure on the prices
Via MarketMinute · October 10, 2025
U.S. Stock Market Defies Gravity Near Record Highs as Sinking Oil Prices Fuel Economic Optimism
The U.S. stock market is currently experiencing a fascinating dichotomy, with major indices persistently flirting with record highs even as the price of crude oil continues a notable descent. As of October 10, 2025, market sentiment is a complex blend of robust performance in key sectors, particularly technology, and
Via MarketMinute · October 10, 2025