Chevron Corp (CVX)

Industry Oil & Gas Integrated

This stock can be held in an Investment ISA and an Investment Account
Sell

$141.44

Buy

$141.48

arrow-down$-0.21 (-0.15%)

Chevron Corp engages in the exploration, production, and refining operations worldwide. Its oil refineries are spread across the United States, South Africa, and Asia with an approximate capacity of 2 million barrels of oil a day.
Prices updated at 15 May 2025, 17:39 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
134,674m158,902m139,865m94,471m155,606m235,717m196,913m193,414m
39,560m44,905m30,534m22,815m45,432m73,982m60,391m56,926m
3,128m14,446m100m-6,097m16,180m39,950m26,229m18,917m
2.329.090.07-6.4510.4016.9513.329.78
9,195m14,824m2,924m-5,543m15,625m35,465m21,369m17,661m
27,386m40,040m24,299m10,436m39,364m65,485m45,042m44,725m
Sales, General and administrative4,110m3,838m4,143m4,213m4,014m4,312m4,141m4,834m
Interest expenses307m748m798m697m712m516m469m594m
Provision for income taxes-48m5,715m2,691m-1,892m5,950m14,066m8,173m9,757m
Operating expenses36,432m30,459m30,434m28,912m29,252m34,032m34,162m38,009m
Income before taxes9,221m20,575m5,536m-7,453m21,639m49,674m29,584m27,506m
Net income available to common shareholders9,195m14,824m2,924m-5,543m15,625m35,465m21,369m17,661m
4.887.811.55-2.968.1518.3611.419.76
Net interest income-307m-748m-798m-697m-712m-516m-469m-594m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.857.741.54-2.968.1418.2811.369.72
Free cash flow per share2.31517.46738.8961.57347.535918.456210.761210.201
Book value/share77.026880.708482.798768.447470.922683.469789.26188.299
Debt equity ratio0.2266410.1859090.1642780.324760.2237270.1341960.1261640.132191

Balance sheet

20172018201920202021202220232024
Current assets28,560m34,021m28,329m26,078m33,738m50,343m41,128m40,911m
Current liabilities27,737m27,171m26,530m22,183m26,791m34,208m32,258m38,558m
Total capital181,601m183,160m167,622m174,008m169,731m180,254m180,690m171,907m
Total debt38,763m34,459m26,973m44,315m31,369m23,339m20,836m24,541m
Total equity148,124m154,554m144,213m131,688m139,067m159,282m160,957m152,318m
Total non current liabilities--------
Loans33,477m28,606m23,409m42,320m30,664m20,972m19,733m19,589m
Total assets253,806m253,863m237,428m239,790m239,535m257,709m261,632m256,938m
Total liabilities--------
Cash and cash equivalents4,813m9,342m5,686m5,596m5,640m17,678m8,178m6,781m
Common stock1,905m1,903m1,882m1,925m1,916m1,901m1,851m1,769m

Cash flow

20172018201920202021202220232024
Cash at beginning of period6,988m5,943m10,481m6,911m6,737m6,795m19,121m9,275m
Cash dividends paid-8,132m-8,502m-8,959m-9,651m-10,179m-10,968m-11,336m-11,801m
7,111m16,826m13,198m1,655m21,131m37,628m19,780m15,044m
Investments (gains) losses-8,201m-12,290m-11,458m-6,965m-5,865m-12,108m-15,232m-8,936m
4,813m10,481m6,911m6,737m6,795m19,121m9,275m8,262m
Net income--------
20,515m30,618m27,314m10,577m29,187m49,602m35,609m31,492m
-13,404m-13,792m-14,116m-8,922m-8,056m-11,974m-15,829m-16,448m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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