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Exxon Mobil (XOM)

110.64
-0.97 (-0.87%)
NYSE · Last Trade: Oct 16th, 9:12 PM EDT
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Global Economic Outlook Shrouded in Acute Uncertainty as Financial Vulnerabilities and Geopolitical Tensions Mount
The global economy in October 2025 finds itself navigating a landscape of profound and acute uncertainty, with a confluence of financial vulnerabilities and escalating geopolitical tensions casting a long shadow over future market trends. Despite pockets of unexpected resilience, particularly in some equity markets, the overarching sentiment points towards a
Via MarketMinute · October 16, 2025
Global Turmoil Propels Gold and Silver to Record Highs as Commodity Currencies Falter
October 16, 2025, marks a pivotal moment in global financial markets, as a pervasive wave of uncertainty has sent commodity currencies into a significant decline while simultaneously propelling gold and silver to unprecedented record highs. This dramatic shift underscores a profound recalibration of investor sentiment, signaling a widespread retreat from
Via MarketMinute · October 16, 2025
Global Turmoil Drives Commodity Currencies Down, Gold and Silver Soar to Record Highs Amidst Investor Flight to Safety
October 16, 2025 – Global financial markets are witnessing a dramatic shift today as commodity-linked currencies falter significantly, while gold and silver prices surge to unprecedented record highs. This pronounced divergence signals an intensifying "risk-off" sentiment among investors, who are rapidly reallocating capital from growth-sensitive assets to traditional safe havens amidst
Via MarketMinute · October 16, 2025
Fed Signals Further Easing Amid Uneven Inflation and Softening Labor Market: SF FedViews Points to More Rate Cuts
The Federal Reserve Bank of San Francisco's latest "SF FedViews" publication, released on October 16, 2025, offers a nuanced picture of the U.S. economy, highlighting inconsistent progress on inflation and a discernibly softening labor market. This pivotal report, delivered by Sylvain Leduc, executive vice president and director of research,
Via MarketMinute · October 16, 2025
Treasury Yields Tumble Below 4% as Market Jitters Intensify, Igniting Safe-Haven Demand
New York, NY – October 16, 2025 – The benchmark 10-year U.S. Treasury yield plummeted below the critical 4% threshold today, reaching as low as 3.97%, marking its lowest point in months. This significant decline signals a pronounced shift in investor sentiment, driven by escalating stock market jitters, a broad
Via MarketMinute · October 16, 2025
Pacer Advisors Bets on Uber’s Cash Flow Strength With $386 Million Buyfool.com
Via The Motley Fool · October 16, 2025
Investment Advisor Bulk Buys Semiconductor Stock, According to Recent Filingfool.com
Via The Motley Fool · October 16, 2025
Commodities Roar: GSG Emerges as a Key Alternative Amidst Market Volatility
As global financial markets navigate a landscape shaped by persistent inflation concerns, geopolitical tensions, and shifting economic paradigms, the iShares S&P GSCI Commodity Indexed Trust (NYSEARCA: GSG) has cemented its position as a prominent alternative investment vehicle. Offering diversified exposure to a broad spectrum of commodity futures, with a
Via MarketMinute · October 16, 2025
ExxonMobil, Chevron Supplier Archrock Garners Attention, Eyeing Superior Growth Gainsbenzinga.com
Archrock, key supplier to ExxonMobil & Chevron, joins top 10% in growth rankings, eyeing strong gains in the booming natural gas market.
Via Benzinga · October 16, 2025
Deep-Pocketed Investment Advisor Takes a $351 Million Step Back From This Shipping Giant, According to Wall Street Filingfool.com
Via The Motley Fool · October 15, 2025
Global Economy Defies Trade War Headwinds, Shows Surprising Resilience
The world economy is exhibiting unexpected signs of resilience despite the escalating U.S. trade war, a sentiment echoed by Canadian Finance Minister François-Philippe Champagne. Speaking from Washington on October 15, 2025, where he chaired the G7 finance ministers' meeting and attended the annual gatherings of the International Monetary Fund
Via MarketMinute · October 15, 2025
Delta Capital Management Bets Big on Deere & Company (NYSE: DE) in Q3fool.com
Via The Motley Fool · October 15, 2025
Is Chevron the Smartest Investment You Can Make Today?fool.com
Chevron, facing weak energy prices, has an above-average yield, a long history of dividend increases, and a solid balance sheet.
Via The Motley Fool · October 15, 2025
Crude Awakening: Oversupply and Strong Dollar Drive Oil Prices to Multi-Month Lows, Reshaping Global Energy Landscape
The global crude oil market is currently in a state of flux, experiencing a notable decline in prices as of October 2025. Benchmark crude futures, including West Texas Intermediate (WTI) and Brent, have fallen to multi-month lows, a downturn primarily fueled by a significant outlook of oversupply and a strengthening
Via MarketMinute · October 14, 2025
Oil Markets Reel as Strengthening Dollar and Oversupply Fears Drive Prices Down
New York, NY – October 14, 2025 – The global crude oil market is currently in the throes of a significant downturn, with benchmark prices plummeting to multi-month lows. This sharp dip is largely attributed to a potent combination of a strengthening U.S. dollar and a burgeoning outlook for substantial oversupply
Via MarketMinute · October 14, 2025
Oil Markets Brace for Oversupply as Strong Dollar Dents Crude Prices Amid Shifting Global Dynamics
The global crude oil market is currently experiencing a significant dip in prices, primarily driven by a strengthening U.S. dollar and a looming outlook of substantial oversupply in the fourth quarter of 2025. This downturn marks a notable contrast to earlier expectations and presents a complex scenario for producers,
Via MarketMinute · October 14, 2025
Oil Markets Grapple with Bearish Winds: Surging Supply, Strong Dollar, and Waning Demand Drive Prices Downward
The global oil market is currently navigating a period of intense volatility, characterized by a distinct downward trend in crude prices leading up to mid-October 2025. This significant shift is primarily driven by a confluence of factors: persistent projections of oversupply from the U.S. Energy Information Administration (EIA), the
Via MarketMinute · October 14, 2025
Global Oil Markets Brace for Q4 2025 Oversupply: A Looming Price Correction
The global crude oil market is on the cusp of a significant shift, with prevailing forecasts pointing towards an anticipated oversupply in the fourth quarter of 2025. Contrary to earlier concerns of tightening, robust production growth from non-OPEC+ nations, coupled with moderating global demand, is setting the stage for substantial
Via MarketMinute · October 14, 2025
US Business Optimism Takes a Hit: NFIB Index Signals Growing Economic Headwinds
The American economic landscape just received a cautionary signal as the National Federation of Independent Business (NFIB) Business Optimism Index unexpectedly dipped in September 2025. Released on October 14, 2025, this latest report indicates a notable decline in confidence among small business owners, marking the first drop in three months
Via MarketMinute · October 14, 2025
Exxon Versus The International Energy Agency - The Energy Reportcontent/com
There seems to be a huge disparity in the outlook for global oil supplies, as the International Energy Agency not only doubles down on its call for a massive oil cut but decides to increase it.
Via Talk Markets · October 14, 2025
Oil Markets Reel: US-China Tensions and IEA Report Send Crude Plummeting Over 2%
Global crude oil markets were rocked on October 14, 2025, as prices plummeted by more than 2%, hitting a five-month low. This significant downturn was a direct consequence of escalating trade tensions between the United States and China, coupled with a strikingly bearish outlook presented in the latest International Energy
Via MarketMinute · October 14, 2025
Hedge Funds Bet Big on Commodity Curves Amidst Global Volatility
London, UK – October 14, 2025 – A significant shift is underway in global financial markets as hedge funds increasingly pile into sophisticated commodity curve option bets. This strategic maneuver, primarily involving calendar spread options, allows these powerful financial players to capitalize on the intricate relationships between commodity prices across various delivery
Via MarketMinute · October 14, 2025
Global Markets Tremble: Tariffs, Tensions, and Tapering Fears Trigger Synchronized Sell-Off
Global financial markets have been gripped by a wave of synchronized downturns, with cryptocurrency, traditional stocks, and oil prices experiencing significant dips from late 2024 through mid-2025, culminating in renewed volatility in October 2025. This broad-based correction, wiping billions from market capitalizations, is largely attributed to a potent cocktail of
Via MarketMinute · October 14, 2025
Energy Sector Navigates Volatility Amidst Broader Market Rebound: A Closer Look at Investor Interest
The S&P 500 Energy sector finds itself at a fascinating crossroads, demonstrating a complex interplay of volatility and strategic importance as the broader market experiences a significant rebound. While the overall S&P 500 has been flirting with record highs, largely propelled by technology and consumer discretionary giants, the
Via MarketMinute · October 13, 2025
Valero Energy's Consistent Dividend Payout Signals Robust Financial Health Amidst Evolving Energy Landscape
Valero Energy Corporation (NYSE: VLO) continues its steadfast commitment to shareholder returns, with its upcoming quarterly dividend declaration anticipated around October 28, 2025. This consistent policy of returning capital to investors, exemplified by its most recent payment of $1.13 per share on September 2, 2025, translates to an attractive
Via MarketMinute · October 13, 2025