CHEVRON CORP
About CHEVRON CORP
Chevron is an integrated energy company with exploration, production, and refining operations worldwide. It is the second-largest oil company in the United States with 2025 worldwide net oil-equivalent production of 3.7 million barrels per day, including 8.5 billion cubic feet per day of natural gas and 2.3 million barrels of liquids per day. Production takes place in North America, South America, Europe, Africa, Asia, and Australia. The company's refining networks arelocated in the United States and Asia, with a total worldwide refining capacity of 1.8 million barrels of oil a day at year-end 2025. Net proved reserves at year-end 2025 stood at 10.6 billion barrels of oil equivalent, consisting of 5.7 billion barrels of liquids and 29.2 trillion cubic feet of natural gas.
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Financial summary
- Revenue FY2025
- $184.4B
- Net income
- $12.3B
- Total assets
- $324.0B
- Market cap
- $373.0B
- Gross margin
- 42.8%
- Operating margin
- 10.4%
- Net margin
- 6.6%
Source: SEC EDGAR · updated Jun 7, 2026
Revenue & profit trend
Financial statements
Income statement
- Revenue
- $189.0B
- Cost of revenue
- $108.2B
- Gross profit
- $80.8B
- Operating expenses
- $61.1B
- Operating income
- $19.7B
- Income tax
- $7.3B
- Net income
- $12.5B
- EPS (basic)
- $6.65
- EPS (diluted)
- $6.63
Balance sheet
- Total assets
- $324.0B
- Current assets
- $38.6B
- Total liabilities
- $131.8B
- Current liabilities
- $33.4B
- Shareholders’ equity
- $192.2B
Cash flow
- Operating cash flow
- $33.9B
- Investing cash flow
- -$15.9B
- Financing cash flow
- -$19.1B
- Net cash flow
- -$977.0M
Statements via Polygon.io (SEC filings)
15-minute delayed · data by Polygon.io
Past year
52-week range
- Market cap
- $373.0B
- P/E ratio
- 28.5
- EPS (diluted)
- $6.63
- Dividend yield
- 3.76%
- Shares outstanding
- 2.0B
- Open
- —
- Day range
- –
- Prev close
- —
- Volume
- —
- IPO date
- Jan 2, 1970
Market data by Polygon.io · prices are 15-minute delayed
At a glance
- Profitable — net income of $12.3B in FY2025.
- Revenue grew 16% from FY2021 to FY2025.
- Gross margin of 42.8%, net margin 6.6%.
- Trading 10% below its 52-week high.
- Pays a dividend yielding about 3.76% annually.
- Valued at a price-to-earnings (P/E) ratio of 28.5.
Automatically generated from public filings and market data. Informational only — not investment advice or a recommendation to buy or sell any security.
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