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Chevron Corp
Chevron Corp

Chevron Corp (CVX)

24HHigh$182.3824HLow$179.02
$182.21
+0.02%

Last updated: 2026-07-14 10:21:17

K-Line Chart, actual market data is subject to the trading page.

Key Data

Prev. Open
$179.02
Prev. Close
$182.21
Prev. Day's Range
$179.02 - $182.38
52W Range
$140.64 - $212.76
Trading Volume
6.194M
MC
$351.318B
P/E Ratio
30.8x
EPS
$5.73

Company Overview

NYSE

Chevron Corporation is an American multinational energy corporation. One of the successor companies of Standard Oil, it is headquartered in San Ramon, California, and active in more than 180 countries. Chevron is engaged in every aspect of the oil and natural gas industries, including hydrocarbon exploration and production; refining, marketing and transport; chemicals manufacturing and sales; and power generation.

SectorENERGY
IndustryOIL & GAS INTEGRATED
Headquarters1400 SMITH STREET, HOUSTON, TX, UNITED STATES, 77002-7327
CountryUSA
Listing Date1921-06-24
Fiscal Year Ended2026-03-31
Shares Outstanding1.992B
CIK Code93410

Financial Metrics

Indicator2026-03-312025-12-312025-09-302025-06-30
Income$47.556B$45.787B$48.169B$44.375B
Operating Expenses$43.002B$31.232B$33.179B$31.202B
Net Income$2.21B$2.77B$3.539B$2.49B
Net Profit Margin4.6%6.0%7.3%5.6%
Earnings Per Share$1.11$1.39$1.82$1.44
EBITDA$10.099B$10.924B$11.633B$8.83B
Effective Tax Rate41.9%38.1%33.3%39.4%

Investment Method

Stock Holdings (Spot)

Hold tokenized underlying assets with a 1:1 peg to US stocks. Ideal for long-term value investing and eligible for dividend payouts (if applicable).

Learn About Spot
Trade Stock Futures (Perpetual Contracts)

Settled in USDT, supports up to 20x leverage, allows for two-way trading (long/short), no need to hold underlying assets, suitable for short-term trend trading and hedging.

Understanding Futures
Spot Investment Details
Investment Nature:Hold underlying tokenized assets, 1:1 pegged to US stocks, with prices fluctuating in sync with the original Nasdaq shares.
Dividend Rights:Based on company policy. When the underlying stock pays dividends, the platform distributes equivalent dividends in USDT according to holding proportions.
Suitable For:Long-term investors, value investors, and users who are optimistic about the company's long-term growth and wish to hold assets to enjoy dividends.
Risk:Stock price volatility risk: investment principal may face losses, and long-term holding involves bearing cyclical market fluctuations.
Trading Rules:Settled in USDT, trade 24/7 with no minimum deposit requirement. One account supports both spot and futures trading.
Stock Futures Module
Futures:CVXUSDTUSDT Perpetual Mark Price $--, 24H Chg --%, Funding Rate --%
USDT SettledTwo-way TradingLeverage Risk, No Dividends
Trading de volatilidad de gananciasShort-term Trend TradingHedge Spot Risk
Trade CVX Now
Spot vs. Futures Comparison
Comparison item
Asset Ownership
Leverage
Direction
Dividends
Risk
Spot Stocks
Yes
No
Long Only
Yes
Stock Price Volatility
Stock Futures
No
1-20x
Long / Short
No
Leverage Amplification

FAQ

Chevron Corporation (CVX) is a leading energy company operating in the oil, natural gas, and geothermal energy sectors. Its core business includes exploration, production, refining, marketing, and the transportation of energy products. Chevron also invests in renewable energy initiatives, reflecting its commitment to long-term energy solutions.
Chevron's revenue primarily comes from its upstream operations, which involve the exploration and production of crude oil and natural gas. Additional revenue streams include downstream activities such as refining, marketing, and distributing petroleum products, as well as investments in chemical manufacturing and renewable energy projects.
Chevron faces risks including fluctuating oil and gas prices, geopolitical instability in key regions of operation, regulatory changes related to fossil fuels, and competition from renewable energy companies. Additionally, shifts in global energy demand and environmental concerns present challenges to its long-term strategy.
Yes, Chevron is known for paying regular dividends and has a strong history of dividend payments. However, the sustainability of future dividends depends on factors such as oil prices, cash flow, and overall business performance. Each dividend decision is subject to board approval.
Chevron's main competitors in the energy sector include ExxonMobil, BP, Shell, and TotalEnergies. These companies similarly operate in oil, gas, and renewable energy markets, competing on exploration projects, refining capabilities, and energy transition strategies.
Chevron is investing in renewable energy initiatives such as carbon capture and hydrogen energy. Additionally, the company is expanding its renewable diesel, biofuels, and other low-carbon technologies to align with the global transition toward cleaner energy sources.
Chevron employs risk management strategies, such as hedging and maintaining a diversified asset portfolio, to navigate the volatility of oil prices. Its integrated business model, which includes both upstream and downstream operations, helps mitigate the financial impact of price fluctuations.
Investors should consider Chevron's profitability, cash flow generation, and capital allocation trends. While earnings often depend on oil and gas prices, the company's cost-management efforts, dividend history, and investments in energy transition projects are critical factors in assessing its performance.
Risk Warning
  1. 1.Stock prices may fluctuate significantly; invest with caution. Past performance is not indicative of future results.
  2. 2.Digital asset trading involves multiple risks, including market and technical risks. Please make rational decisions and allocate assets wisely.
  3. 3.The information contained on this page is for reference only and does not constitute any investment advice.