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CVX Chevron

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  • 138.490
  • +1.450+1.06%
Close May 9 16:00 ET
  • 138.550
  • +0.060+0.04%
Post 19:59 ET
241.86BMarket Cap15.83P/E (TTM)

Chevron Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-24.00%5.19B
-11.56%31.49B
-30.07%8.7B
0.01%9.67B
-0.03%6.3B
-5.23%6.83B
-28.21%35.61B
-0.51%12.43B
-36.64%9.67B
-54.31%6.3B
Net income from continuing operations
-36.73%3.51B
-17.10%17.75B
45.30%3.26B
-31.41%4.5B
-26.05%4.44B
-15.96%5.55B
-39.87%21.41B
-64.83%2.24B
-41.67%6.56B
-48.72%6.01B
Operating gains losses
57.90%-690M
-14.76%-5.23B
-413.00%-1.42B
31.08%-1.07B
5.52%-1.1B
-4.73%-1.64B
49.39%-4.55B
79.96%-277M
45.35%-1.55B
60.54%-1.16B
Depreciation and amortization
2.82%4.24B
10.91%16.63B
13.58%4.09B
0.79%4.23B
17.59%4.19B
13.44%4.12B
-2.00%14.99B
3.36%3.6B
-0.59%4.2B
-6.32%3.56B
Deferred tax
-30.23%480M
316.11%1.24B
70.90%-305M
450.43%403M
-32.34%454M
-12.91%688M
-85.97%298M
-353.14%-1.05B
-131.17%-115M
-6.15%671M
Other non cash items
32.56%-816M
-1,099.20%-3.73B
-157.42%-1.22B
-189.52%-1.02B
33.97%-276M
-23.60%-1.21B
128.71%373M
1,699.15%2.12B
-80.10%-353M
38.89%-418M
Change In working capital
-84.90%-2.62B
103.00%100M
141.93%2.98B
124.82%1.23B
14.40%-2.7B
27.85%-1.42B
-261.42%-3.34B
41.08%1.23B
-67.07%548M
-824.60%-3.15B
-Change in receivables
289.46%1.1B
-161.18%-818M
-152.85%-1.16B
156.98%1.25B
-111.54%-330M
-138.76%-579M
161.78%1.34B
2.24%2.19B
-151.38%-2.19B
95.37%-156M
-Change in inventory
84.89%-201M
-79.38%-574M
-33.95%539M
506.49%752M
-1,673.53%-535M
-35.03%-1.33B
65.59%-320M
-34.19%816M
86.60%-185M
106.00%34M
-Change in prepaid assets
-401.57%-769M
98.67%-16M
-38.27%-112M
-81.75%52M
63.87%-211M
131.02%255M
-431.86%-1.2B
-132.02%-81M
--285M
5.19%-584M
-Change in payables and accrued expense
-579.52%-2.58B
195.89%2.73B
329.85%4.17B
-122.27%-615M
41.50%-1.36B
136.63%537M
-150.91%-2.85B
31.50%-1.82B
322.92%2.76B
-146.13%-2.33B
-Change in other working capital
42.67%-172M
-308.33%-1.23B
-473.98%-460M
-68.85%-206M
-123.28%-259M
-62.16%-300M
-41.51%-300M
210.81%123M
-777.78%-122M
-84.13%-116M
Cash from discontinued investing activities
Operating cash flow
-24.00%5.19B
-11.56%31.49B
-30.07%8.7B
0.01%9.67B
-0.03%6.3B
-5.23%6.83B
-28.21%35.61B
-0.51%12.43B
-36.64%9.67B
-54.31%6.3B
Investing cash flow
Cash flow from continuing investing activities
-42.01%-5.62B
41.33%-8.94B
165.59%2.67B
16.19%-3.7B
-0.25%-3.95B
-40.93%-3.96B
-25.80%-15.23B
-9.67%-4.07B
-59.38%-4.41B
20.55%-3.94B
Capital expenditure reported
3.96%-3.93B
-3.91%-16.45B
0.53%-4.34B
13.22%-4.06B
-5.56%-3.97B
-34.60%-4.09B
-32.19%-15.83B
-13.72%-4.36B
-56.03%-4.67B
-18.00%-3.76B
Net business purchase and sale
-4,365.38%-2.22B
-29.86%195M
132.26%72M
-91.49%8M
-3.08%63M
-40.91%52M
116.73%278M
-74.38%31M
1,442.86%94M
102.81%65M
Net investment purchase and sale
--0
-76.57%41M
--0
-102.29%-4M
--0
-52.63%45M
49.57%175M
160.00%91M
110.84%175M
-18,500.00%-186M
Net other investing changes
1,363.89%527M
4,952.78%7.28B
4,028.57%6.94B
6,016.67%355M
22.73%-51M
-25.00%36M
-89.79%144M
609.09%168M
-103.95%-6M
-112.38%-66M
Cash from discontinued investing activities
Investing cash flow
-42.01%-5.62B
41.33%-8.94B
165.59%2.67B
16.19%-3.7B
-0.25%-3.95B
-40.93%-3.96B
-25.80%-15.23B
-9.67%-4.07B
-59.38%-4.41B
20.55%-3.94B
Financing cash flow
Cash flow from continuing financing activities
65.78%-1.66B
22.04%-23.47B
-42.40%-8.78B
38.96%-5.26B
47.82%-4.57B
26.02%-4.86B
-20.54%-30.11B
4.37%-6.17B
4.48%-8.62B
-7.50%-8.75B
Net issuance payments of debt
389.78%5.03B
187.99%3.57B
-4,065.71%-1.39B
207.94%2.58B
184.27%1.35B
1,127.00%1.03B
52.18%-4.06B
111.36%35M
4.92%-2.39B
56.30%-1.6B
Net common stock issuance
-31.53%-3.92B
-1.94%-15.23B
-31.54%-4.5B
-40.12%-4.75B
31.41%-3B
20.65%-2.98B
-32.73%-14.94B
8.77%-3.42B
9.60%-3.39B
-75.00%-4.38B
Cash dividends paid
0.63%-2.98B
-4.10%-11.8B
-2.78%-2.89B
-2.84%-2.93B
-5.68%-2.98B
-5.11%-3B
-3.36%-11.34B
-3.54%-2.81B
-3.97%-2.85B
-1.88%-2.82B
Proceeds from stock option exercised by employees
150.57%218M
26.44%330M
466.67%136M
-35.71%36M
102.86%71M
-40.41%87M
-95.53%261M
-92.79%24M
5.66%56M
-95.68%35M
Net other financing activities
-375.00%-11M
-750.00%-340M
-3,675.00%-143M
-385.37%-199M
-133.33%-2M
144.44%4M
64.91%-40M
136.36%4M
38.81%-41M
119.35%6M
Cash from discontinued financing activities
Financing cash flow
65.78%-1.66B
22.04%-23.47B
-42.40%-8.78B
38.96%-5.26B
47.82%-4.57B
26.02%-4.86B
-20.54%-30.11B
4.37%-6.17B
4.48%-8.62B
-7.50%-8.75B
Net cash flow
Beginning cash position
-10.92%8.26B
-51.49%9.28B
-17.73%5.76B
-52.26%4.97B
-57.32%7.21B
-51.49%9.28B
181.40%19.12B
-58.04%7.01B
-22.13%10.4B
31.96%16.9B
Current changes in cash
-5.12%-2.09B
90.59%-916M
17.62%2.58B
121.32%716M
65.22%-2.22B
8.46%-1.99B
-177.76%-9.73B
-6.03%2.2B
-196.63%-3.36B
-1,040.44%-6.4B
Effect of exchange rate changes
95.83%-3M
14.91%-97M
-216.44%-85M
330.56%83M
77.88%-23M
-53.19%-72M
40.00%-114M
-16.09%73M
73.13%-36M
20.00%-104M
End cash Position
-14.50%6.17B
-10.92%8.26B
-10.92%8.26B
-17.73%5.76B
-52.26%4.97B
-57.32%7.21B
-51.49%9.28B
-51.49%9.28B
-58.04%7.01B
-22.13%10.4B
Free cash flow
-53.92%1.26B
-23.94%15.04B
-46.03%4.36B
12.38%5.62B
-8.31%2.33B
-34.27%2.74B
-47.43%19.78B
-6.81%8.07B
-59.26%5B
-76.03%2.54B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -24.00%5.19B-11.56%31.49B-30.07%8.7B0.01%9.67B-0.03%6.3B-5.23%6.83B-28.21%35.61B-0.51%12.43B-36.64%9.67B-54.31%6.3B
Net income from continuing operations -36.73%3.51B-17.10%17.75B45.30%3.26B-31.41%4.5B-26.05%4.44B-15.96%5.55B-39.87%21.41B-64.83%2.24B-41.67%6.56B-48.72%6.01B
Operating gains losses 57.90%-690M-14.76%-5.23B-413.00%-1.42B31.08%-1.07B5.52%-1.1B-4.73%-1.64B49.39%-4.55B79.96%-277M45.35%-1.55B60.54%-1.16B
Depreciation and amortization 2.82%4.24B10.91%16.63B13.58%4.09B0.79%4.23B17.59%4.19B13.44%4.12B-2.00%14.99B3.36%3.6B-0.59%4.2B-6.32%3.56B
Deferred tax -30.23%480M316.11%1.24B70.90%-305M450.43%403M-32.34%454M-12.91%688M-85.97%298M-353.14%-1.05B-131.17%-115M-6.15%671M
Other non cash items 32.56%-816M-1,099.20%-3.73B-157.42%-1.22B-189.52%-1.02B33.97%-276M-23.60%-1.21B128.71%373M1,699.15%2.12B-80.10%-353M38.89%-418M
Change In working capital -84.90%-2.62B103.00%100M141.93%2.98B124.82%1.23B14.40%-2.7B27.85%-1.42B-261.42%-3.34B41.08%1.23B-67.07%548M-824.60%-3.15B
-Change in receivables 289.46%1.1B-161.18%-818M-152.85%-1.16B156.98%1.25B-111.54%-330M-138.76%-579M161.78%1.34B2.24%2.19B-151.38%-2.19B95.37%-156M
-Change in inventory 84.89%-201M-79.38%-574M-33.95%539M506.49%752M-1,673.53%-535M-35.03%-1.33B65.59%-320M-34.19%816M86.60%-185M106.00%34M
-Change in prepaid assets -401.57%-769M98.67%-16M-38.27%-112M-81.75%52M63.87%-211M131.02%255M-431.86%-1.2B-132.02%-81M--285M5.19%-584M
-Change in payables and accrued expense -579.52%-2.58B195.89%2.73B329.85%4.17B-122.27%-615M41.50%-1.36B136.63%537M-150.91%-2.85B31.50%-1.82B322.92%2.76B-146.13%-2.33B
-Change in other working capital 42.67%-172M-308.33%-1.23B-473.98%-460M-68.85%-206M-123.28%-259M-62.16%-300M-41.51%-300M210.81%123M-777.78%-122M-84.13%-116M
Cash from discontinued investing activities
Operating cash flow -24.00%5.19B-11.56%31.49B-30.07%8.7B0.01%9.67B-0.03%6.3B-5.23%6.83B-28.21%35.61B-0.51%12.43B-36.64%9.67B-54.31%6.3B
Investing cash flow
Cash flow from continuing investing activities -42.01%-5.62B41.33%-8.94B165.59%2.67B16.19%-3.7B-0.25%-3.95B-40.93%-3.96B-25.80%-15.23B-9.67%-4.07B-59.38%-4.41B20.55%-3.94B
Capital expenditure reported 3.96%-3.93B-3.91%-16.45B0.53%-4.34B13.22%-4.06B-5.56%-3.97B-34.60%-4.09B-32.19%-15.83B-13.72%-4.36B-56.03%-4.67B-18.00%-3.76B
Net business purchase and sale -4,365.38%-2.22B-29.86%195M132.26%72M-91.49%8M-3.08%63M-40.91%52M116.73%278M-74.38%31M1,442.86%94M102.81%65M
Net investment purchase and sale --0-76.57%41M--0-102.29%-4M--0-52.63%45M49.57%175M160.00%91M110.84%175M-18,500.00%-186M
Net other investing changes 1,363.89%527M4,952.78%7.28B4,028.57%6.94B6,016.67%355M22.73%-51M-25.00%36M-89.79%144M609.09%168M-103.95%-6M-112.38%-66M
Cash from discontinued investing activities
Investing cash flow -42.01%-5.62B41.33%-8.94B165.59%2.67B16.19%-3.7B-0.25%-3.95B-40.93%-3.96B-25.80%-15.23B-9.67%-4.07B-59.38%-4.41B20.55%-3.94B
Financing cash flow
Cash flow from continuing financing activities 65.78%-1.66B22.04%-23.47B-42.40%-8.78B38.96%-5.26B47.82%-4.57B26.02%-4.86B-20.54%-30.11B4.37%-6.17B4.48%-8.62B-7.50%-8.75B
Net issuance payments of debt 389.78%5.03B187.99%3.57B-4,065.71%-1.39B207.94%2.58B184.27%1.35B1,127.00%1.03B52.18%-4.06B111.36%35M4.92%-2.39B56.30%-1.6B
Net common stock issuance -31.53%-3.92B-1.94%-15.23B-31.54%-4.5B-40.12%-4.75B31.41%-3B20.65%-2.98B-32.73%-14.94B8.77%-3.42B9.60%-3.39B-75.00%-4.38B
Cash dividends paid 0.63%-2.98B-4.10%-11.8B-2.78%-2.89B-2.84%-2.93B-5.68%-2.98B-5.11%-3B-3.36%-11.34B-3.54%-2.81B-3.97%-2.85B-1.88%-2.82B
Proceeds from stock option exercised by employees 150.57%218M26.44%330M466.67%136M-35.71%36M102.86%71M-40.41%87M-95.53%261M-92.79%24M5.66%56M-95.68%35M
Net other financing activities -375.00%-11M-750.00%-340M-3,675.00%-143M-385.37%-199M-133.33%-2M144.44%4M64.91%-40M136.36%4M38.81%-41M119.35%6M
Cash from discontinued financing activities
Financing cash flow 65.78%-1.66B22.04%-23.47B-42.40%-8.78B38.96%-5.26B47.82%-4.57B26.02%-4.86B-20.54%-30.11B4.37%-6.17B4.48%-8.62B-7.50%-8.75B
Net cash flow
Beginning cash position -10.92%8.26B-51.49%9.28B-17.73%5.76B-52.26%4.97B-57.32%7.21B-51.49%9.28B181.40%19.12B-58.04%7.01B-22.13%10.4B31.96%16.9B
Current changes in cash -5.12%-2.09B90.59%-916M17.62%2.58B121.32%716M65.22%-2.22B8.46%-1.99B-177.76%-9.73B-6.03%2.2B-196.63%-3.36B-1,040.44%-6.4B
Effect of exchange rate changes 95.83%-3M14.91%-97M-216.44%-85M330.56%83M77.88%-23M-53.19%-72M40.00%-114M-16.09%73M73.13%-36M20.00%-104M
End cash Position -14.50%6.17B-10.92%8.26B-10.92%8.26B-17.73%5.76B-52.26%4.97B-57.32%7.21B-51.49%9.28B-51.49%9.28B-58.04%7.01B-22.13%10.4B
Free cash flow -53.92%1.26B-23.94%15.04B-46.03%4.36B12.38%5.62B-8.31%2.33B-34.27%2.74B-47.43%19.78B-6.81%8.07B-59.26%5B-76.03%2.54B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------

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