Chevron Corporation
CVX
Unten findest du den Live-Kurs für Chevron Corporation (CVX), einen 1-Jahres-Chart, 8 Indikatoren (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volumen) und einen Vergleichsmodus. Hinzufügen zum Portfolio, auf die Beobachtungsliste setzen oder einen Preisalarm einrichten — alles in einem.
Chevron Corporation (CVX) ist ein in United States ansässiges Energy-Unternehmen. Tätig in der Branche Oil & Gas Integrated, beschäftigt rund 43,039 Mitarbeiter:innen. Im vergangenen Jahr bewegte sich CVX zwischen 146.49 und 214.71 USD. Das Trailing-KGV liegt bei rund 32.7, die Marktkapitalisierung bei etwa 373.19B USD. Aktuell wirft die Aktie eine Dividendenrendite von 3.80 % ab.
- Prev close
- $183.86
- Volume (24h)
- $1.32B
- Market cap
- $373.19B
- Currency
- USD
Bewertung
43/ 100 · Schwach
- Wert63
- Qualität43
- Momentum50
- Wachstum16
- Risiko83
- Dividende24
- Liquidität20
Komposit aus öffentlichen Marktdaten. Nur zur Information — keine Anlageberatung.
Trendprojektion
Wohin der jüngste Trend zeigt, wenn er sich fortsetzt.
- +5 Bars
- 186.2154 -0.62%
- +20 Bars
- 184.6203 -1.47%
- +60 Bars
- 184.0069 -1.80%
- +120 Bars
- 183.9844 -1.81%
Lineare Regressions-Fortschreibung — keine Vorhersage, keine Anlageberatung. ±1σ ≈ 68% · ±2σ ≈ 95%: ±0.0332 USD.
Interpretation
Die zusammengesetzten Signale wirken schwach. Stärke: Risikoprofil mit schwäche: wachstum. Kurs liegt in der Mitte der jüngsten Spanne, Trend zeigt nach unten.
Beschreibende Beobachtung — keine Anlageberatung.
Bewertungs-Aufschlüsselung
Die Rohwerte hinter jedem Pillar — so siehst du, was die zusammengesetzte Bewertung liest.
- Wert63/100
Wert wirkt solide — getragen von KGV (32.7).
KGV:32.7KBV:2.02PEG:0.77 - Qualität43/100
Qualität wirkt schwach — getragen von Bruttomarge (42.42%).
EK-Rendite:6.64%GK-Rendite:3.46%Nettomarge:5.93%Bruttomarge:42.42% - Momentum50/100
Momentum wirkt gemischt — getragen von 52-Wo. Veränderung (25.19%).
52-Wo. Veränderung:25.19% - Wachstum16/100
Wachstum wirkt fragil — getragen von EPS-Wachstum (-44.50%).
Umsatzwachstum:2.30%EPS-Wachstum:-44.50% - Risiko83/100
Risiko wirkt stark — getragen von Verschuldungsgrad (23.99).
Beta:0.49Verschuldungsgrad:23.99Leerverkaufsquote:0.95% - Dividende24/100
Dividende wirkt fragil — getragen von Ausschüttungsquote (120.38%).
Dividendenrendite:3.80%Ausschüttungsquote:120.38% - Liquidität20/100
Liquidität wirkt fragil — getragen von Liquidität 3. Grades (1.09).
Liquidität 3. Grades:1.09Liquidität 2. Grades:0.73
Abgeleitet aus öffentlichen Marktdaten — informativ, keine Anlageberatung.
Referenzniveaus
Fibonacci-Retracements und -Extensions im jüngsten Bereich.
Nur Referenz — keine Anlageberatung.
Diese Koordinaten beschreiben Preisballungen aus der Vergangenheit, nicht wo gekauft oder verkauft werden sollte. Recherchiere selbst, bevor du handelst.
- ResistanceFib-Extension +161.8%254.0276 USD+35.57% vom aktuellen Kurs
- ResistanceFib-Extension +100%232.96 USD+24.32% vom aktuellen Kurs
- ResistanceFib-Extension +61.8%219.9376 USD+17.38% vom aktuellen Kurs
- ResistanceFib-Extension +27.2%208.1425 USD+11.08% vom aktuellen Kurs
- ResistanceFib-Retracement 23.6%190.8248 USD+1.84% vom aktuellen Kurs
- Aktuell187.38 USD
- SupportFib-Retracement 38.2%185.8476 USD-0.82% vom aktuellen Kurs
- SupportFib 50% Mittelpunkt181.825 USD-2.96% vom aktuellen Kurs
- SupportFib-Retracement 61.8%177.8024 USD-5.11% vom aktuellen Kurs
- SupportFib-Retracement 78.6%172.0753 USD-8.17% vom aktuellen Kurs
- SupportFib-Extension −27.2%155.5075 USD-17.01% vom aktuellen Kurs
- SupportFib-Extension −61.8%143.7124 USD-23.30% vom aktuellen Kurs
- SupportFib-Extension −100%130.69 USD-30.25% vom aktuellen Kurs
Financials
- 52w high
- $214.71
- 52w low
- $146.49
- 52w change
- 25.19%
- Day high
- $188.12
- Day low
- $185.54
- P/E (TTM)
- 32.7
- Forward P/E
- 15.01
- PEG
- 0.77
- Price / Book
- 2.02
- Beta (5Y)
- 0.49
- Enterprise value
- 416.29B
- EV / Revenue
- 2.24
- EV / EBITDA
- 10.98
- EPS (TTM)
- $5.73
- Forward EPS
- $12.49
- Dividend yield
- 3.80%
- Dividend rate
- $7.12
- Payout ratio
- 120.38%
- Revenue (TTM)
- 185.74B
- EBITDA
- 37.91B
- Free cash flow
- 11.78B
- Total cash
- 5.33B
- Total debt
- 45.43B
- Debt / Equity
- 23.99
- Current ratio
- 1.09
- Quick ratio
- 0.73
- Profit margin
- 5.93%
- Gross margin
- 42.42%
- Return on assets
- 3.46%
- Return on equity
- 6.64%
- Shares outstanding
- 1.99B
- Float
- 1.88B
Chevron Corporation, through its subsidiaries, engages in the integrated energy and chemicals operations in the United States and internationally. It operates through Upstream, Downstream, and All Other segments. The Upstream segment engages in the exploration for, development, production, and transportation of crude oil and natural gas; processing, liquefaction, transportation, and regasification of liquefied natural gas; transportation of crude oil through pipelines; transportation, storage, and marketing of natural gas; carbon capture and storage; and operation of a gas-to-liquids plant. Its Downstream segment refines crude oil into petroleum products; markets crude oil, refined products, and lubricants; manufactures and markets renewable fuels; transports crude oil and refined products through pipeline, marine vessel, motor equipment, and rail car; and manufactures and markets commodity petrochemicals, plastics for industrial uses, and fuel and lubricant additives. The All Other segment engages in cash management and debt financing; insurance; real estate; and technology activities. It has operations in North America, South America, Europe, Africa, Asia, and Australia. The company was formerly known as ChevronTexaco Corporation and changed its name to Chevron Corporation in May 2005. Chevron Corporation was founded in 1879 and is headquartered in Houston, Texas.
Analyst & Risk
- Beta (vs S&P 500)
- 0.49
- very stable
- 52-week change
- 25.19%
- Short % of float
- 0.95%
- Short ratio (days)
- 1.98
- Debt / Equity
- 23.99
- very high leverage
- Current ratio
- 1.09
- Quick ratio
- 0.73
- ROE
- 6.64%
- ROA
- 3.46%
- PEG ratio
- 0.77
- potentially undervalued
- EV / Revenue
- 2.24
- EV / EBITDA
- 10.98
- Revenue growth
- 2.30%
- Earnings growth
- -44.50%
- EBITDA
- 37.91B
- Free cash flow
- 11.78B
- Total cash
- 5.33B
- Total debt
- 45.43B
- Insider holdings
- 4.73%
- Institutional
- 70.33%
Recent rating changes
- 2026-07-02Wolfe ResearchPeer Perform → Outperformup
- 2026-06-29Morgan StanleyOverweight → Overweightmain
- 2026-05-27MizuhoOutperform → Outperformmain
- 2026-05-26BarclaysEqual-Weight → Equal-Weightmain
- 2026-05-22Morgan StanleyOverweight → Overweightmain
- 2026-05-11BernsteinMarket Perform → Market Performmain
- 2026-05-05RBC CapitalOutperform → Outperformreit
- 2026-05-04UBSBuy → Buymain
Financial documents
- Annual report of employee stock purchase11-K2026-06-24
- Corporate Changes & Voting Matters8-K2026-05-29
- Specialized Disclosure Report filed pursuant to Section 1502 of the Dodd-Frank Wall Street Reform and Consumer Protection Act relating to the use of conflict minerals (Rule 13p-1)SD2026-05-08
- Periodic Financial Reports10-Q2026-05-07
- Corporate Changes & Voting Matters8-K2026-05-01
- Corporate Changes & Voting Matters8-K2026-04-09
- Proxy StatementsDEFA14A2026-04-07
- Corporate Changes & Voting Matters8-K2026-03-25
- Periodic Financial Reports10-K2026-02-24
- Corporate Changes & Voting Matters8-K2026-01-30
- Corporate Changes & Voting Matters8-K2026-01-27
- Corporate Changes & Voting Matters8-K/A2025-12-19
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