Chevron Corp (CVX)

neg -0.10
Today's Range: 105.75 - 106.71 | CVX Avg Daily Volume: 6,135,100
Last Update: 05/25/17 - 10:33 AM EDT
Volume: 504,789
YTD Performance: -9.75%
Open: $106.11
Previous Close: $106.22
52 Week Range: $97.53 - $119.00
Oustanding Shares: 1,894,561,619
Market Cap: 201,335,063,251
6-Month Chart
TheStreet Ratings Grade for CVX
Buy Hold Sell
A+ A A- B+ B B- C+ C C- D+ D D- E+ E E- F
TheStreet Ratings is the source for accurate ratings that you can rely upon to make sound, informed financial decisions. Click here to find out about our methodology.
Analysts Ratings
Historical Rec Current 1 Mo. Ago 2 Mo. Ago 3 Mo. Ago
Strong Buy 9 9 9 10
Moderate Buy 2 2 2 2
Hold 5 4 4 4
Moderate Sell 0 0 0 0
Strong Sell 0 0 0 0
Mean Rec. 1.72 1.63 1.63 1.59
Latest Dividend: 1.08
Latest Dividend Yield: 4.07%
Dividend Ex-Date: 05/17/17
Price Earnings Ratio: 69.46
Price Earnings Comparisons:
CVX Sector Avg. S&P 500
69.46 69.50 29.70
Price Performance History (%Change):
3 Mo 1 Yr 3 Y
-3.54% 6.02% -13.90%
Revenue -15.20 -0.50 -0.20
Net Income -100.00 -1.00 0.00
EPS -100.00 -1.00 0.00
Earnings for CVX:
Revenue 110.22B
Average Earnings Estimates
Qtr (06/17) Qtr (09/17) FY (12/17) FY (12/18)
Average Estimate $1.02 $1.21 $4.44 $5.26
Number of Analysts 6 4 10 9
High Estimate $1.24 $1.85 $6.52 $7.25
Low Estimate $0.80 $0.85 $3.76 $3.56
Prior Year $0.48 $0.68 $1.00 $4.44
Growth Rate (Year over Year) 112.50% 78.31% 344.30% 18.39%
Chart Benchmark
Average Frequency Timeframe
Indicator Chart Scale  
Symbol Comparison Bollinger Bands
There's no reason to think any resolution on the table will offset the current supply glut.
These three companies hold significant assets that the market has yet to fully value.
Don't miss this opportunity: Buy now or add to your existing longs.
But don't buy blindly. There are too many companies that can be retaliated against.
After the election passes we are going to talk about companies again -- and these have done well.
But base metals are doing well in today's risk-on rally.
The Energy Select Sector ETF is lower on Friday following six days of declining oil prices and the October jobs report.
Crude tumbles yet again on big U.S. inventories build-up.
Analyst action changes the outlook for the oil industry, while shareholders are running from Nike.
Analysts downgrade Exxon Mobil and upgrade Chevron, while Barclays prefers ConocoPhillips and Suncor Energy.

Columnist Conversations

Sally Beauty's CEO put his money to work buying 10,000 shares on the new low today (@ $17.91 per share). ...


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Except as otherwise indicated, quotes are delayed. Quotes delayed at least 20 minutes for all exchanges. Market Data provided by Interactive Data. Company fundamental data provided by Morningstar. Earnings and ratings provided by Zacks. Mutual fund data provided by Valueline. ETF data provided by Lipper. Powered and implemented by Interactive Data Managed Solutions.

TheStreet Ratings updates stock ratings daily. However, if no rating change occurs, the data on this page does not update. The data does update after 90 days if no rating change occurs within that time period.

IDC calculates the Market Cap for the basic symbol to include common shares only. Year-to-date mutual fund returns are calculated on a monthly basis by Value Line and posted mid-month.