Chevron

Chevron

Price: 189.85

Company and Business Model

Chevron Corporation is a multinational energy company engaged in the exploration, production, and refining of oil and natural gas. Its core products include crude oil, natural gas, and refined petroleum products. Major business segments encompass upstream operations (exploration and production) and downstream operations (refining and marketing). The company generates revenue primarily from the sale of crude oil and natural gas, as well as refined products and chemicals.

Investment Profile

Chevron's investment profile is characterized by a focus on dividends, appealing to income-oriented investors due to its consistent dividend yield. The company also demonstrates growth potential through its upstream activities and strategic investments in energy projects. This profile may attract balanced investors looking for a combination of income and growth opportunities.

Official website

Fundamental metrics (experimental)

EPS (TTM) — earnings per share for the last 12 months, $
5.79 OK
Revenue QoQ — quarter-over-quarter revenue growth
3.9%
EPS surprise
41.0% better than expected
20d volatility
1.5% stable
Dividend yield
3.7% moderate last ex-date: 2026-05-19
FMP / FinFeed data updated: 2026-06-05

Forecast impact

positive
Target Raised · Mizuho Securities · valid until 2026-06-26 · updated 2026-06-11
Target +21.1% target fill 82.5%
Reaction D5 -0.46% · D10 +3.96% market trust
Impact Potential +3 · Risk -1 up to 30 days or until target is reached
Reco: Buy Potential: 73 Risk: 38 Updated: 2026-06-11 05:33
How recommendation works
Why AI thinks so:
Strong fundamentals and positive momentum support growth potential.

Track in portfolio

Price chart

AI recommendation Analyst forecast Calendar event Positive signal Negative signal Neutral / update Hold / informational B My buy S My sell
AI recommendation changes
Date Before After Reason
2026-06-05 02:35 Hold Buy Strong fundamentals with solid dividend yield and positive momentum.
2026-05-28 02:41 Buy Hold Weak momentum and high risk; cautious approach advised.
2026-05-16 02:34 Hold Buy Strong performance and solid dividend yield support growth.
Analyst forecasts
Date Analyst Action Target Price Then
2026-05-27 10:39 Mizuho Securities Target Raised 225 → 230 184.69
2026-05-26 11:24 Barclays Target Raised 192 → 213 191.43
2026-05-22 13:04 Morgan Stanley Target Raised 212 → 214 190.51
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