$160.25
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:CVX

Chevron Corp Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$194.80B $235.92B $155.61B $142.90B $184.92B $195.34B $203.97B $255.11B $159.29B $189.61B $236.29B $222.58B $211.66B $192.31B $122.57B $103.31B $127.49B $158.90B $139.87B $94.47B
GM % Gross Margin %
39.29% 38.87% 42.57% 39.50% 35.51% 39.29% 39.60% 36.67% 42.53% 43.11% 39.97% 40.36% 40.38% 42.03% 49.10% 49.26% 46.21% 40.48% 42.72% 46.56%
OM Operating Margin
13.84% 17.81% 10.19% 11.62% 11.47% 13.96% 12.56% 13.72% 8.99% 13.38% 16.21% 15.73% 13.03% 10.44% -2.57% -2.93% 2.74% 9.20% 7.49% -3.51%
EPS Earnings Per Share
$0.00 $13.13 $18.83 $8.13 $-0.20 $6.27 $8.07 $3.70 $0.94 $3.70 $10.14 $11.09 $12.10 $13.44 $9.57 $4.84 $11.36 $8.39 $7.80 $6.54 $5.92
Div. Dividends
$6.04 $5.68 $5.31 $1.53 $1.75 $2.01 $2.26 $2.53 $2.66 $2.84 $3.09 $3.51 $3.90 $4.21 $4.28 $4.29 $4.32 $4.48 $4.76 $5.16
PR % Payout Ratio %
46.00% 30.16% 65.31% 25.84% 26.76% 25.77% 26.94% 22.27% 54.96% 29.68% 22.99% 29.01% 35.17% 41.52% 115.68% 456.38% 116.76% 55.51% 75.92% -2580.00%
Sha. Shares
1865.65m 1915.22m 1929.81m 2107.12m 2232.69m 2164.56m 2090.43m 2004.23m 2007.72m 2007.48m 1981.17m 1946.7m 1913.6m 1879.65m 1882.81m 1891.51m 1904.7m 1902.84m 1882.17m 1925.19m
OCF Operating Cash Flow
$35.61B $49.60B $29.19B $14.69B $20.11B $24.32B $24.98B $29.63B $19.37B $31.35B $41.10B $38.81B $35.00B $31.48B $19.46B $12.69B $20.34B $30.62B $27.31B $10.58B
FCF Free Cash Flow
$21.09B $35.50B $22.50B $8.38B $11.40B $10.51B $8.30B $6.86B $-470.00M $11.75B $14.60B $7.87B $-2983.00M $-3932.00M $-10048.00M $-5263.00M $7.11B $16.80B $13.20B $1.70B
FCFS Free Cash Flow Per Share
$10.56 $19.49 $11.03 $3.96 $5.32 $4.81 $3.92 $4.89 $-0.24 $5.88 $7.35 $4.04 $-1.56 $-2.09 $-5.38 $-2.89 $3.68 $8.87 $7.01 $0.89