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Chevron CorporationNYSE:CVX Stok Raporu

Piyasa Değeri US$348.0b
Hisse Fiyatı
n/a
1Y19.7%
7D-3.5%
1D-2.6%
Portföy Değeri
Görünüm

Chevron Corporation

NYSE:CVX Stok Raporu

Piyasa değeri: US$348.0b

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Chevron Corporation Rakipler

Fiyat Geçmişi ve Performans

Hisse fiyatlarındaki yükseliş, düşüş ve değişimlerin özeti Chevron
Tarihsel hisse senedi fiyatları
Güncel Hisse FiyatıUS$171.45
52 Haftanın En Yüksek SeviyesiUS$214.71
52 Haftanın En Düşük SeviyesiUS$142.40
Beta0.47
1 Aylık Değişim-10.44%
3 Aylık Değişim-17.49%
1 Yıllık Değişim19.70%
3 Yıllık Değişim10.67%
5 Yıllık Değişim63.69%
Halka arzdan bu yana değişim4,473.83%

Son Haberler & Güncellemeler

Seeking Alpha 17h

Chevron's Microsoft AI Deal Could Be The Blueprint For A New Growth Engine (Rating Upgrade)

Summary Chevron has secured a 20-year deal to supply natural gas-fired power to Microsoft’s data center, marking a breakthrough in AI-driven energy demand. CVX’s Project Kilby will deliver up to 5GW capacity, with initial CapEx of $7B and potential EBITDA of $5.6–$10.5B, offering a replicable blueprint for future contracts. While the Microsoft agreement adds only 1.7%-3.2% to 2028 EBITDA, scaling similar deals could address CVX’s lack of organic growth. I upgrade CVX to Buy with a $243 price target, citing Hess synergies, cost reductions, commodity tailwinds, and incremental upside from data center power projects. Read the full article on Seeking Alpha
Anlatı Güncellemesi Jun 18

CVX: Tighter Oil Supply And Refining Margins Will Support Future Cash Returns

The analyst price target for Chevron stock has been reaffirmed at $216.04, with analysts citing higher oil price and refining crack assumptions alongside tighter global supply conditions as key supports for their updated view. Analyst Commentary Recent research on Chevron centers on how changing oil and gas assumptions feed into valuation, with several firms updating their price targets and ratings in response to tighter supply expectations and shifts in commodity pricing outlooks.
Anlatı Güncellemesi Jun 04

CVX: Tighter Oil Markets And Refining Margins Will Support Future Cash Returns

Analysts have nudged their Chevron fair value estimate higher to about $216 from roughly $213. This reflects updated views that tighter oil markets and stronger refining margins support a modestly lower future P/E assumption and a slightly richer valuation for the stock.

Recent updates

Seeking Alpha 17h

Chevron's Microsoft AI Deal Could Be The Blueprint For A New Growth Engine (Rating Upgrade)

Summary Chevron has secured a 20-year deal to supply natural gas-fired power to Microsoft’s data center, marking a breakthrough in AI-driven energy demand. CVX’s Project Kilby will deliver up to 5GW capacity, with initial CapEx of $7B and potential EBITDA of $5.6–$10.5B, offering a replicable blueprint for future contracts. While the Microsoft agreement adds only 1.7%-3.2% to 2028 EBITDA, scaling similar deals could address CVX’s lack of organic growth. I upgrade CVX to Buy with a $243 price target, citing Hess synergies, cost reductions, commodity tailwinds, and incremental upside from data center power projects. Read the full article on Seeking Alpha
Anlatı Güncellemesi Jun 18

CVX: Tighter Oil Supply And Refining Margins Will Support Future Cash Returns

The analyst price target for Chevron stock has been reaffirmed at $216.04, with analysts citing higher oil price and refining crack assumptions alongside tighter global supply conditions as key supports for their updated view. Analyst Commentary Recent research on Chevron centers on how changing oil and gas assumptions feed into valuation, with several firms updating their price targets and ratings in response to tighter supply expectations and shifts in commodity pricing outlooks.
Anlatı Güncellemesi Jun 04

CVX: Tighter Oil Markets And Refining Margins Will Support Future Cash Returns

Analysts have nudged their Chevron fair value estimate higher to about $216 from roughly $213. This reflects updated views that tighter oil markets and stronger refining margins support a modestly lower future P/E assumption and a slightly richer valuation for the stock.
Analiz Makalesi May 17

Why Chevron's (NYSE:CVX) Shaky Earnings Are Just The Beginning Of Its Problems

Chevron Corporation's ( NYSE:CVX ) recent weak earnings report didn't cause a big stock movement. Our analysis suggests...
Analiz Makalesi May 11

Results: Chevron Corporation Beat Earnings Expectations And Analysts Now Have New Forecasts

Last week, you might have seen that Chevron Corporation ( NYSE:CVX ) released its first-quarter result to the market...
Anlatı Güncellemesi Apr 18

CVX: Firmer Long Term Oil Prices Will Drive Future Cash Returns

Chevron's updated analyst price target has shifted from $203.00 to $213.29 as analysts factor in higher projected revenue growth, slightly better profit margins, and a modestly lower future P/E, supported by a series of recent upgrades and price target increases tied to expectations for firmer long term oil prices. Analyst Commentary Recent research commentary on Chevron clusters around oil price expectations, cash flow potential, and the company’s ability to execute on its project pipeline while maintaining shareholder returns.
Anlatı Güncellemesi Apr 03

CVX: Venezuela Licensing And Oil Market Risks Will Shape Future Cash Returns

Narrative Update: Chevron Chevron's updated analyst price target of $203, up from $192.29, reflects analysts incorporating higher long term oil price assumptions, modestly higher revenue growth expectations, and a slightly richer forward P/E multiple in light of recent sector wide target raises and upgrades. Analyst Commentary Recent research shows a clear tilt toward higher Chevron price targets, but with a wide spread of opinions on how durable the backdrop for oil and gas will be and what that could mean for valuation, execution risk, and growth options.
Anlatı Güncellemesi Mar 19

CVX: Venezuela Licensing And Permian Cash Generation Will Shape Future Capital Returns

The analyst price target for Chevron has increased by about $6, reflecting updated oil price assumptions, tighter expected crude balances into 2026, and what analysts view as underappreciated cash flow support for integrated oil and gas companies. Analyst Commentary Recent research on Chevron reflects a wide range of opinions, but there is a clear cluster of higher price targets tied to revised oil assumptions, perceived cash flow support, and capital allocation plans.
Anlatı Güncellemesi Mar 05

CVX: Venezuela Policy And Permian Cash Generation Will Influence Future Dividend Resilience

Chevron's fair value estimate has been nudged higher to $185.92 from $183.46 as analysts point to higher price targets and see support from stronger cash generation potential, renewed exploration plans, and a tighter crude supply backdrop linked to geopolitical risks. Analyst Commentary Recent Street research around Chevron highlights a split view on how sustainable the current setup is for the shares, with several price target increases sitting alongside a few cuts and downgrades.
Anlatı Güncellemesi Feb 19

CVX: Venezuela Policy And Permian Cash Generation Will Shape Future Dividend Resilience

Analysts have nudged their fair value estimate for Chevron higher to $183.46 from $181.67, citing increased confidence in cash generation from the Permian, a broader set of offshore exploration prospects, and a series of higher Street price targets that offset some differing views on the outlook for oil and gas equities. Analyst Commentary Recent Street research on Chevron presents a mix of optimism and caution, with several firms adjusting ratings and price targets as they reassess the company’s cash generation, exploration program, and exposure to oil price assumptions.
Analiz Makalesi Feb 06

Chevron (NYSE:CVX) Has Announced That It Will Be Increasing Its Dividend To $1.78

The board of Chevron Corporation ( NYSE:CVX ) has announced that it will be paying its dividend of $1.78 on the 10th of...
Anlatı Güncellemesi Feb 05

CVX: Venezuela Policy And Upstream Execution Will Shape Future Dividend Resilience

Analysts have raised their fair value estimate for Chevron from $174.83 to $181.67, citing a group of higher Street price targets and updated assumptions about future revenue growth, margins, and P/E expectations. Analyst Commentary Recent Street research on Chevron has been active, with several firms adjusting price targets in both directions and a few changing their ratings.
Anlatı Güncellemesi Jan 21

CVX: Future Dividend Capacity Will Reflect Venezuela Exposure And Upstream Execution

Narrative Update on Chevron The updated analyst price target for Chevron moves slightly higher to about US$175. Analysts attribute this to modestly higher fair value estimates, a small adjustment to the discount rate, and mixed views on near term crude and refining fundamentals, as reflected in recent target changes across the Street.
Anlatı Güncellemesi Jan 06

CVX: Future Dividend Capacity Will Reflect Free Cash Flow And Upstream Execution

Analysts have slightly trimmed their Chevron fair value estimate to about $172.08 per share. This reflects modestly softer revenue growth and profit margin assumptions, even as recent price target increases highlight confidence in free cash flow support for dividends and the company’s longer term growth plans.
Anlatı Güncellemesi Dec 16

CVX: Future Dividend Capacity Will Be Driven By Strong Free Cash Flow

Analysts have nudged their average price target on Chevron higher by roughly $5 to reflect stronger than expected Q3 results, visible production growth and free cash flow support for dividend expansion, even as they modestly temper longer term revenue growth assumptions. Analyst Commentary Street research remains broadly constructive on Chevron, with a series of upward price target revisions reinforcing confidence in the company's capacity to sustain higher free cash flow, support dividend growth, and execute on its long term production plans.
Anlatı Güncellemesi Dec 02

CVX: Future Dividend Payouts And Asset Integration Will Drive Outperformance

Chevron's analyst price target increased from $172.80 to $172.92, as analysts cite a stronger financial profile and consistent dividend growth highlighted by recent investor updates. Analyst Commentary Chevron's recent investor day and third quarter results have prompted a variety of responses from Wall Street.
Anlatı Güncellemesi Nov 18

CVX: Dividend Strength And Asset Synergies Will Drive Shareholder Returns

Chevron's analyst price target has increased modestly to $172.80 from $172.04. Analysts cite strong Q3 financial performance, improving profit margins, and confidence in future cash flow and dividend growth as key factors for the upward revision.
Anlatı Güncellemesi Nov 03

CVX: Upcoming Investor Day Will Preview Long-Term Production and Dividend Upside

Chevron's analyst price target has risen from $168.78 to $172.04 per share. Analysts cite solid Q3 results, operational outperformance, and positive expectations ahead of its upcoming investor day as key factors supporting the upward adjustment.
Anlatı Güncellemesi Sep 11

Permian Production And Renewables Will Shape Enduring Value

Analysts have raised their price target for Chevron, citing resilient Q2 results, improved refining margins, strong resource depth, and long-term support from rising natural gas demand, partially offset by integration risks post-acquisition, resulting in a modest upward revision of fair value to $168.78. Analyst Commentary Bullish analysts highlight Chevron’s strong second-quarter results, demonstrating resilience and outperformance among integrated oil companies due to a diversified asset portfolio and reliable shareholder returns.
Analiz Makalesi Aug 08

Chevron's (NYSE:CVX) Shareholders Have More To Worry About Than Only Soft Earnings

The subdued market reaction suggests that Chevron Corporation's ( NYSE:CVX ) recent earnings didn't contain any...
Seeking Alpha Apr 15

Chevron: Why The Stars Are Aligning

Summary Chevron is undervalued with a favorable P/E ratio of 13x and strong shareholder returns through dividends and buybacks. Despite recent declines, Chevron's long-term support and potential for significant EPS growth make it a buy. Key risks include rising costs, geopolitical issues, and potential global recession impacts on oil prices. Technical analysis shows CVX near crucial support, with resistance in the $165-$170 range and potential for recovery. Read the full article on Seeking Alpha
Seeking Alpha Mar 31

Chevron Is Hitting The Pavement With Natural Gas

Summary Chevron Corporation is targeting 6% annual production growth, focusing on Gulf of America and international projects, with a significant push towards growth in natural gas. The company plans to expand gas power production, partnering with hyperscalers to support the growing data center footprint, aiming for 1GW of power capacity by 2027-2028. Chevron's acquisition of Hess is under arbitration, with potential impacts on its stake in Stabroek assets; management remains optimistic about closing by Q3 2025. CVX shares are rated Buy with a $204 target, supported by strong production growth, cost-cutting initiatives, and attractive dividend yield compared to peers. Read the full article on Seeking Alpha
Seeking Alpha Mar 05

Chevron Loses Venezuelan Conditional License

Summary The Trump Administration will end Chevron's conditional license to operate in Venezuela, impacting the company's operations significantly by 2025. The decision should be viewed as a bi-partisan one in my opinion when looking at the timeline of events. Chevron's involvement in Venezuela under Biden's administration helped double production, but recent unfair elections led to the license revocation. Despite the setback, Chevron recovered significant revenue, unlike ConocoPhillips, which still struggles to get compensated for asset seizures in Venezuela. Read the full article on Seeking Alpha
Seeking Alpha Feb 24

Chevron Stock's Outlook Is Uncertain At This Point (Technical Analysis)

Summary The majority of technical indications are in favor of the bulls, as they show that an upside breakout is likely for the stock. However, most recent earnings show mixed results, with key metrics diverging on the fundamental outlook. The stock has been determined to be moderately overvalued after analyzing the valuation ratios relative to their respective growth rates and to peers. With the technicals and fundamentals clashing on the stock's outlook, I believe a hold rating is the most appropriate currently. Read the full article on Seeking Alpha
Seeking Alpha Feb 11

Chevron Has Continued Cash Flow Potential

Summary Chevron has continued to pay a strong and increasing dividend funded by FCF. The company has a number of exciting growth projects coming online to drive returns. Investors who invest today and hold on for the next several years will be well rewarded. Read the full article on Seeking Alpha
Seeking Alpha Feb 04

Chevron: A Capital Return Investment In 2025

Summary Chevron's strong earnings, driven by U.S. production growth and high petroleum prices, make it an attractive investment for long-term energy investors. Despite a Q4 earnings miss, Chevron's free cash flow and capital returns, including $27B to shareholders in FY 2024, remain robust. The Permian Basin's high productivity and Chevron's acquisition of PDC Energy support continued production growth and profitability. Chevron has outperformed other large-cap U.S. energy companies in the last ten years in terms of dividend growth. With a forward P/E ratio of 11.6X, Chevron is a top dividend growth play despite a Q/Q drop in earnings and free cash flow. Read the full article on Seeking Alpha
Seeking Alpha Jan 25

Chevron's Profit Engine Remains Strong, But I Have Concerns

Summary Chevron's robust profits, steady dividends, and healthy balance sheet make it a core holding, but operational issues and uncertain growth raise concerns. The company operates globally across upstream and downstream sectors, with significant investments in low-carbon technologies and European natural gas demand. Management's focus on long-term value and high-grade assets over production volume requires careful communication to keep investors aligned. Despite strong profitability and shareholder returns, the potential for future growth remains uncertain, especially with earnings showing signs of steadying. Read the full article on Seeking Alpha
Seeking Alpha Jan 07

Chevron: Why I Agree With The Crowd On This One

Summary As a contrarian investor, I tend to place my bets against the crowd. However, in the case of Chevron Corporation, my conclusion is in line with the prevailing ratings for several reasons. There are indeed some ongoing headwinds, which are likely to cause an EPS decline in FY 2024. However, I expect significant EPS recovery/growth starting in FY 2025, given the many catalysts (e.g., margin normalization, Hess merger, cost-control measures, etc.). The EPS recovery potential is not captured in its current valuation yet, judging either by the P/E ratio or the dividend yield. Read the full article on Seeking Alpha
Seeking Alpha Dec 18

Chevron: Cash, Baby, Cash Is Good News For Shareholders

Summary Chevron's share price has been underperforming the market over the past year, but this is not bothering me. The stock is attractively priced and production is growing at healthy levels, which reduces the dividend risk. Drill, baby, drill plan has been a major risk for Oil & Gas companies, but the recent announcement by Chevron's management has dispelled these fears. Read the full article on Seeking Alpha
Seeking Alpha Dec 08

Chevron: Oil Prices Break Below $70, But CVX Remains Undervalued

Summary I maintain a buy rating on Chevron (CVX) due to its modest earnings multiple, solid free cash flow, and healthy share repurchases. Chevron's Q3 results were strong, with EPS and revenue beating forecasts, despite a YoY profit dip from lower margins and fewer tax assets. Management forecasts $2-$3 billion in cost reductions through 2026, with increased share repurchases and a $2 billion drop in organic capex next year. Despite a weak technical chart, Chevron's high yield, ongoing buybacks, and solid Q3 results present more positives than negatives for investors. Read the full article on Seeking Alpha
Seeking Alpha Nov 18

Chevron: A Top Energy Investment For 2025

Summary Chevron has fully recovered from its Q2’24 earnings dip, driven by strong production growth and shareholder-friendly policies like dividends and stock buybacks. Despite a 31% year-over-year earnings decline in Q3’24, CVX's production, especially in the Permian, grew rapidly. The energy firm remained high free cash flow profitable in the September quarter and bought back a large amount of its shares. The Company's valuation remains attractive with a forward P/E ratio of 14.1x and an earnings yield of 7.1%, making it a compelling long-term investment. The primary risk for Chevron is a potential decline in petroleum and natural gas prices, but OPEC+ support for prices mitigates this concern. Read the full article on Seeking Alpha
Seeking Alpha Nov 03

Chevron: Good Quarter But Mr. Market Turns Pessimistic

Summary Mr. Market currently does not like the commodity price outlook. The quarterly performance was overshadowed by the market pessimism. Closed acquisitions accounted for the strong performance. Management has yet to talk about cost reductions related to technology advances both in the field and administrative. The recent sales will get better prices than the ones made back in 2021 (give or take). Read the full article on Seeking Alpha

Hissedar Getirileri

CVXUS Oil and GasUS Pazar
7D-3.5%-0.9%-2.5%
1Y19.7%20.5%20.1%

Getiri vs. Endüstri: CVX geçen yıl boyunca % 20.5 oranında getiri sağlayan US Oil and Gas sektörüyle eşleşti.

Getiri vs Piyasa: CVX geçen yıl boyunca % 20.1 oranında getiri sağlayan US Piyasası ile eşleşti.

Fiyat Oynaklığı

Is CVX's price volatile compared to industry and market?
CVX volatility
CVX Average Weekly Movement3.8%
Oil and Gas Industry Average Movement5.9%
Market Average Movement7.2%
10% most volatile stocks in US Market16.7%
10% least volatile stocks in US Market3.1%

İstikrarlı Hisse Senedi Fiyatı: CVX son 3 ayda US piyasasına kıyasla önemli bir fiyat oynaklığı yaşamadı.

Zaman İçindeki Volatilite: CVX 'nin haftalık oynaklığı ( 4% ) son bir yıldır istikrarlı seyretti.

Şirket Hakkında

KurulduÇalışanlarCEOWeb sitesi
187943,039Mike Wirthwww.chevron.com

Chevron Corporation, iştirakleri aracılığıyla, Amerika Birleşik Devletleri'nde ve uluslararası alanda entegre enerji ve kimyasal faaliyetlerinde bulunmaktadır. Upstream, Downstream ve Diğer Tüm segmentler aracılığıyla faaliyet göstermektedir. Upstream segmenti ham petrol ve doğal gazın aranması, geliştirilmesi, üretimi ve taşınması; sıvılaştırılmış doğal gazın işlenmesi, sıvılaştırılması, taşınması ve yeniden gazlaştırılması; ham petrolün boru hatlarıyla taşınması; doğal gazın taşınması, depolanması ve pazarlanması; karbon yakalama ve depolama; ve gazdan sıvıya tesisinin işletilmesi faaliyetlerini yürütmektedir.

Chevron Corporation Temel Bilgiler Özeti

Chevron'un kazançları ve gelirleri piyasa değeriyle nasıl karşılaştırılır?
CVX temel i̇stati̇sti̇kler
Piyasa değeriUS$347.99b
Kazançlar(TTM)US$11.01b
Gelir(TTM)US$185.74b
30.8x
F/K Oranı
1.8x
P/S Oranı

Kazanç ve Gelir

En son kazanç raporundan temel karlılık istatistikleri (TTM)
CVX gelir tablosu (TTM)
GelirUS$185.74b
Gelir MaliyetiUS$106.95b
Brüt KârUS$78.79b
Diğer GiderlerUS$67.78b
KazançlarUS$11.01b

Son Raporlanan Kazançlar

Mar 31, 2026

Sonraki Kazanç Tarihi

n/a

Hisse başına kazanç (EPS)5.57
Brüt Marj42.42%
Net Kâr Marjı5.93%
Borç/Özkaynak Oranı24.0%

CVX uzun vadede nasıl bir performans gösterdi?

Geçmiş performansı ve karşılaştırmayı görün

Temettüler

4.2%
Mevcut Temettü Verimi
120%
Ödeme Oranı

Şirket Analizi ve Finansal Veri Durumu

VeriSon Güncelleme (UTC saati)
Şirket Analizi2026/06/24 04:12
Gün Sonu Hisse Fiyatı2026/06/24 00:00
Kazançlar2026/03/31
Yıllık Kazançlar2025/12/31

Veri Kaynakları

Şirket analizimizde kullanılan veriler S&P Global Market Intelligence LLC'den alınmıştır. Bu raporu oluşturmak için analiz modelimizde aşağıdaki veriler kullanılmıştır. Veriler normalize edilmiştir, bu da kaynağın mevcut olmasından kaynaklanan bir gecikmeye neden olabilir.

PaketVeriZaman ÇerçevesiÖrnek ABD Kaynağı *
Şirket Finansalları10 yıl
  • Gelir tablosu
  • Nakit akış tablosu
  • Bilanço
Analist Konsensüs Tahminleri+3 yıl
  • Finansal tahminler
  • Analist fiyat hedefleri
Piyasa Fiyatları30 yıl
  • Hisse senedi fiyatları
  • Temettüler, Bölünmeler ve Eylemler
Sahiplik10 yıl
  • En büyük hissedarlar
  • İçeriden öğrenenlerin ticareti
Yönetim10 yıl
  • Liderlik ekibi
  • Yönetim Kurulu
Önemli Gelişmeler10 yıl
  • Şirket duyuruları

* ABD menkul kıymetleri için örnek, ABD dışı için eşdeğer düzenleyici formlar ve kaynaklar kullanılmıştır.

Belirtilmediği sürece tüm finansal veriler yıllık bir döneme dayanmaktadır ancak üç ayda bir güncellenmektedir. Bu, İzleyen On İki Ay (TTM) veya Son On İki Ay (LTM) Verileri olarak bilinir. Daha fazla bilgi edinin.

Analiz Modeli ve Kar Tanesi

Bu raporu oluşturmak için kullanılan analiz modelinin ayrıntıları GitHub sayfamızda mevcuttur; ayrıca raporlarımızı nasıl kullanacağınıza dair kılavuzlarımız ve YouTube'da eğitim videolarımız da bulunmaktadır.

Simply Wall St analiz modelini tasarlayan ve oluşturan dünya standartlarındaki ekip hakkında bilgi edinin.

Endüstri ve Sektör Metrikleri

Sektör ve bölüm metriklerimiz Simply Wall St tarafından her 6 saatte bir hesaplanmaktadır, sürecimizin ayrıntıları Github'da mevcuttur.

Analist Kaynakları

Chevron Corporation 46 Bu analistlerden 19, raporumuzun girdisi olarak kullanılan gelir veya kazanç tahminlerini sunmuştur. Analistlerin gönderimleri gün boyunca güncellenmektedir.

AnalistKurum
William SeleskyArgus Research Company
Yim ChengBarclays
Wei JiangBarclays