Today
+0.17%
5 Days
+0.83%
1 Month
+12.16%
6 Months
+23.91%
Year to Date
+52.30%
1 Year
+64.48%
• Rising global crude and gas prices drove Equinor's upward momentum and volatility. • Operational execution and the Troll Phase 3 project supported investor sentiment. • Equinor executed share buybacks while maintaining a neutral RSI condition.
• Rising global crude oil prices drive upward momentum for Canadian Natural Resources. • Record quarterly financial results prompted management to raise full-year production guidance. • Institutional holdings increased while technical indicators show neutral to overbought conditions.
• BP stock rose due to higher global crude oil prices from Middle East tensions. • Rising crude realizations improve BP's short-term cash flow, debt reduction, and shareholder distributions. • BP shows neutral technical indicators with an annual revenue of $189.34B.
• Equinor shares rose due to higher European gas and crude oil prices. • The company secured a major fifteen-year gas supply contract with Uniper. • Equinor reported annual revenue of $105.83B and net profit of $5.04B.
• Middle East tensions and rising crude prices drive Chevron stock upward. • Angola offshore discoveries and Venezuelan expansion agreements strengthen production trajectory. • Analysts maintain bullish ratings supported by robust cash flow and earnings.
• Rising crude oil prices driven by Middle East geopolitical tensions boosted ExxonMobil shares. • Analysts issued Buy ratings with an average price target of $166.72. • ExxonMobil reported annual revenue of $323.90B and net profit of $28.84B.


| Shareholders | Proportion |
|---|---|
| Vanguard Capital Management, LLC | 6.50% |
| BlackRock Institutional Trust Company, N.A. | 5.73% |
| State Street Investment Management (US) | 5.65% |
| Vanguard Portfolio Management, LLC | 4.99% |
| Shareholder Types | Proportion |
|---|---|
| Investment Advisor | 49.71% |
| Investment Advisor/Hedge Fund | 28.82% |
| Research Firm | 3.05% |
| Hedge Fund | 2.62% |
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