Chevron Corporation

NYSE:CVX

137.27 (USD) • At close May 20, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 17,66121,41135,60815,689-5,5612,80014,9009,269-4314,71019,31021,59726,33627,00819,13610,56323,93118,68817,13814,09913,3287,2301,1323,2887,7273,2491,3393,2562,6079301,6931,2651,569
Afschrijvingen & Amortisatie 17,28214,55316,31917,92519,50829,20019,40019,34919,45721,03716,79314,18613,41312,91113,06312,1109,5288,7087,5065,9134,9355,3845,2317,0595,3214,9340000000
Uitgestelde Inkomstenbelasting 1,2402982,124700-3,604-2,0001,100-3,203-3,835-1,8611,5721,8762,0151,5895594675982616141,393-224164-81-76852123266622359-258000
Aandelen Gebaseerde Vergoedingen 001,07376119039416536864234435851546000000000000000000000
Verandering in Werkkapitaal 100-3,3352,125-1,361-1,6521,500-700476-550-1,979-540-1,3313632,509112-2,358-1,918733764774301621,12564391266-809-28864140-1,77346382
Vorderingen 01,337-2,164-7,5482,4231,852437-915-2,1213,6314,491-1,1011,15300000000000000000000
Voorraden 00-930-5302847-424-26760385-146-237-233-404151,213-1,545-749-5360-298115185-294120320-1160-162-57288292
Crediteuren 0-492,7505,475-3,576-109-494875533-5,769-3,7371605440000000001,8450000000000
Overig Werkkapitaal -1,077-4,6232,4691,242-783-250-219-567104-34254-13887834148201-245-612-66800000000-90167-16000
Overige Niet-Contante Posten -4,6612,682-7,647-4,5271,696-4,594-500-3,49113,39621,43532,015-728-2,7267161,1931,222-1,358-1,928259-66900000-2615-1,307-26-18395228-89
Kasstroom uit Operationele Activiteiten 31,49235,60949,60229,18710,57727,30030,60020,51512,84619,45631,47535,00238,81241,09831,35919,37329,63224,97724,32320,10514,69012,3159,94111,45713,4677,7713,7314,5835,7974,0752,8964,2213,914
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -16,400-15,829-11,974-8,100-8,900-14,100-13,800-13,404-18,109-29,504-35,407-37,985-30,938-26,500-19,612-19,843-19,666-16,678-13,813-8,701-6,310-5,625-7,597-9,713-7,629-7,895-3,880-3,899-3,424-3,529-3,405-3,323-3,352
Netto Overnames 0278-2,9004394501423925,0962,7775,739000-3,0090-2441,0593,338847-5,93409545,58001,229003,8993,4243,529000
Aankoop van Beleggingen 0-289-7-435-1-1,001-35-9-6-686-2,108-962-329-781244432-799142336-450153-5,580-183-8400-2,724-3,443-2,759000
Verkoop/verval van Beleggingen 04641243-3595313,79275231803313,0273,999003719151851423360378209568059702,9263,5312,903000
Overige Investeringsactiviteiten 7,5001442,6491,7621,4501,506-11,6835,2317435,5225,8691,4573,1052,349-5222,900179214632,4023,261682,3412987621,68821-2,765-2,690-2,9481869381,088
Kasstroom uit Investeringsactiviteiten -8,936-15,232-12,108-5,900-7,000-11,500-12,300-8,201-16,852-23,808-29,893-35,609-24,796-27,489-20,915-16,572-17,081-13,933-12,219-11,561-3,499-4,072-5,047-9,542-5,642-5,610-3,859-2,563-2,602-2,804-3,219-2,385-2,264
Financieringsactiviteiten:
Schuldaflossingen 3,568-4,055-8,479-12,9367,470-5,025-4,502-7,4617,47010,7247,3888,2462,047-2,3698821,6591,682-3,038-2,901-1,055-1,284-3,941-1,1211,386-3,2021,4341,549-558-1,560206314-36296
Uitgifte van Gewone Aandelen 00000001,1176502110000000000057411400108017300000
Terugkoop van Gewone Aandelen -15,400-14,939-11,255-1,383-1,757-4,039-604-1,15100-4,412-4,494-4,142-3,193-3060-6,821-6,389-4,491-2,737-1,663-750-763-1,498000-4-4-5-4-382
Uitgekeerde Dividenden -11,800-11,336-10,968-10,179-9,651-8,959-8,500-8,132-8,032-7,992-7,928-7,474-6,844-6,139-5,674-5,302-5,162-4,791-4,396-3,876-3,277-3,070-2,991-2,858-2,789-2,672-1,596-1,493-1,358-1,255-1,206-1,139-1,115
Overige Financieringsactiviteiten 145-405,7241,385202-1,7351,0561,040-63-128-47-99-41-71-72-71-99-77-60-980-3,03320000000000
Kasstroom uit Financieringsactiviteiten -23,500-30,109-24,978-23,100-3,700-19,800-13,700-14,554252,815-4,999-3,821-8,980-11,772-5,170-3,546-10,400-14,295-11,848-7,668-6,224-7,029-4,069-2,095-7,489-1,130-308-1,878-2,922-1,053-897-1,505-1,401
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -100-114-190-200-100300-10065-53-226-43-26639-3370114-166120194-124589515-31-5-30-10-19-2-10-11213
Netto Kasstroomverandering -1,013-9,84612,32658-174-3,6004,500-2,175-4,034-1,763-3,460-4,6945,0751,8045,344-6311,985-3,1314507525,0251,309840-2113311,001-446123271208-1,231352252
Kaspositie aan het Einde van de Periode 09,27519,1216,7956,7375,7009,3004,8136,98811,02212,78516,24520,93915,86414,0608,7169,3477,36210,49310,0439,2914,2662,9572,1172,3281,9975691,0158926214131,6441,292