Workflow
Phillips 66
icon
Search documents
Why Is Marathon Petroleum (MPC) Up 8.5% Since Last Earnings Report?
ZACKS· 2025-06-05 16:36
A month has gone by since the last earnings report for Marathon Petroleum (MPC) . Shares have added about 8.5% in that time frame, outperforming the S&P 500.Will the recent positive trend continue leading up to its next earnings release, or is Marathon Petroleum due for a pullback? Before we dive into how investors and analysts have reacted as of late, let's take a quick look at its most recent earnings report in order to get a better handle on the important catalysts.How Have Estimates Been Moving Since Th ...
金十图示:2025年06月03日(周二)美股热门股票行情一览(美股盘初)
news flash· 2025-06-03 13:56
金十图示:2025年06月03日(周二)美股热门股票行情一览(美股盘初) VISA * 7111.01億市值 6730.59億市值 5251.65億市值 750.32 364.77 578.35 +3.20(+0.43%) -0.55(-0.15%) -2.88(-0.49%) 甲骨文 強生 P&G 資潔 4692.04億市值 3909.88億市值 3738.80億市值 155.39 167.32 166.76 +0.75(+0.45%) -1.01(-0.60%) -0.01(-0.01%) 家得實 美國銀行 (catal 可口可樂 1711 3684.12億市值 3316.66億市值 3075.40億市值 370.29 44.03 71.45 -0.04(-0.10%) -0.55(-0.76%) +2.33(+0.63%) 阿斯麥 T-Mobile US Inc 聯合健康 - ASML 2899.92億市值 2764.75億市值 2762.24億市值 737.36 243.50 304.50 -9.17(-1.23%) +0.43(+0.18%) -0.22(-0.07%) 通用電氣(US) 賽富時 c ...
4 Refining & Marketing Stocks to Watch as Margins Stay Tight
ZACKS· 2025-05-30 14:51
Core Viewpoint - The Zacks Oil and Gas - Refining & Marketing industry is experiencing a paradox where strong fundamentals coexist with weak refining margins and market sentiment, primarily due to economic slowdown concerns and regulatory uncertainties [1][3][4]. Industry Overview - The industry includes companies that sell refined petroleum products and operate terminals, storage facilities, and transportation services, with refining margins being highly volatile and influenced by various factors such as inventory levels and capacity utilization [2]. Trends Defining the Industry's Future - Despite healthy demand for diesel and gasoline, refining margins have not met expectations, indicating a disconnect likely driven by macroeconomic concerns [3]. - The transition from the Blenders' Tax Credit to the Production Tax Credit has negatively impacted renewable diesel profitability, leading to reduced output and uncertainty regarding future recovery [4]. Long-Term Outlook - The refining industry is positioned for a favorable mid-cycle environment, supported by structural advantages in the U.S. market, including access to domestic crude and low-cost inputs [5]. - Marathon Petroleum anticipates continued global demand growth for refined products, despite upcoming capacity reductions in the U.S. and Europe [5]. Industry Performance - The Zacks Oil and Gas - Refining & Marketing industry ranks 139 out of 245 Zacks industries, placing it in the bottom 43% and indicating dull near-term prospects [6][7]. - The industry's earnings estimates for 2025 and 2026 have decreased by 38.3% and 19.7%, respectively, over the past year, reflecting a negative outlook [9]. Comparative Performance - Over the past year, the industry has underperformed compared to the broader Zacks Oil - Energy Sector and the S&P 500, with a decline of 16.9% versus an 8.2% decrease for the sector and a 12.5% gain for the S&P 500 [10]. Current Valuation - The industry is currently trading at an EV/EBITDA ratio of 3.76X, significantly lower than the S&P 500's 16.65X and the sector's 4.59X, indicating a potentially undervalued position [14]. Stocks in Focus - **Marathon Petroleum**: A leading independent refiner with a market cap of $48.7 billion, known for strong cash flow generation and shareholder returns, though shares have lost 9% in the past year [18][19]. - **Phillips 66**: Operates 13 refineries with a total capacity of 2.2 million barrels per day, shares have decreased by 19% in the past year [21][22]. - **Valero Energy**: The largest independent refiner in the U.S. with a capacity of 3.2 million barrels per day, shares have lost 18% in the past year [25][27]. - **Galp Energia**: A Portuguese firm with a market cap of $11.3 billion, shares have decreased by 25% in the past year [28][29].
金十图示:2025年05月29日(周四)美股热门股票行情一览(美股盘中)
news flash· 2025-05-29 16:41
Market Overview - The market capitalization of major US stocks shows varied performance, with Oracle at 684.618 billion, ExxonMobil at 522.654 billion, and Procter & Gamble at 505.289 billion [3] - Notable stock movements include Oracle down by 1.76%, ExxonMobil up by 0.41%, and Procter & Gamble down by 0.06% [3] Company Performance - Home Depot has a market cap of 394.563 billion, with a stock price decrease of 0.78% [3] - Bank of America shows a slight increase of 0.01% with a market cap of 439.389 billion [3] - Coca-Cola's market cap stands at 455.870 billion, with a stock price increase of 0.56% [3] Additional Company Insights - T-Mobile US Inc has a market cap of 364.335 billion, with a minor decrease of 0.51% [3] - UnitedHealth's market cap is 331.892 billion, showing a slight increase of 0.01% [3] - ASML's market cap is 268.241 billion, with a stock price decrease of 1.43% [3] Sector Performance - The technology sector is represented by Cisco with a market cap of 249.997 billion, showing a decrease of 0.73% [3] - Financial services are highlighted by Wells Fargo at 240.286 billion, with a stock price increase of 1.63% [3] - The consumer goods sector includes McDonald's at 222.661 billion, with a slight increase of 0.40% [3] Summary of Notable Stocks - Pfizer has a market cap of 140.145 billion, with a stock price increase of 0.01% [4] - Comcast's market cap is 127.357 billion, showing a decrease of 1.50% [4] - Micron Technology has a market cap of 108.555 billion, with a minor decrease of 0.09% [4]
金十图示:2025年05月29日(周四)美股热门股票行情一览(美股盘初)
news flash· 2025-05-29 13:48
Pinterest Inc-A 福克斯-B 陶氏 229.26亿市值 212.83亿市值 205.27亿市值 50.99 29.04 31.45 -0.51(-0.99%) +0.03(+0.08%) +0.70(+2.47%) 西部数据 哈里伯顿 华纳音乐 182.74亿市值 136.75亿市值 172.33亿市值 52.38 20.05 26.23 +0.03(+0.06%) +0.18(+0.93%) -0.07(-0.25%) Dropbox Inc-A Lyft Inc-A IMAX Corp 80.00亿市值 66.04亿市值 14.89亿市值 15.70 27.71 28.42 -0.28(-1.75%) -0.24(-0.84%) -0.12(-0.43%) @ JIN10.COM 金十数据 | 一个交易工具 43.09 131.40 125.61 -0.04(-0.10%) -3.33(-2.58%) +0.73(+0.56%) 奧多比 CAT 卡特彼勒 Uber 优步 1767.37亿市值 1763.48亿市值 1658.38亿市值 414.68 84.33 352.61 +2.45(+0 ...
金十图示:2025年05月28日(周三)美股热门股票行情一览(美股盘中)
news flash· 2025-05-28 16:42
+1.63(+0.84%) +0.96(+0.20%) +0.05(+0.04%) 高露洁 力拓(US) 英国石油(US) _ 高重星 770.34亿市值 745.75亿市值 752.38亿市值 28.99 92.02 60.00 -0.16(-0.55%) -0.80(-1.32%) -0.41(-0.44%) 巴克莱 PayPal Holdings ...... 纽约梅隆银行 PayPal Inc 638.88亿市值 629.18亿市值 695.88亿市值 71.55 89.30 17.62 +0.07(+0.10%) -0.93(-1.03%) -0.29(-1.62%) 德意志银行 恩智浦半导体 纽蒙特 the state 0 ND 500.08亿市值 584.27亿市值 534.10亿市值 52.49 27.52 197.95 -0.21(-0.41%) -0.49(-1.75%) -0.95(-0.48%) 美国国际集团 GM 通用汽车 Phillips 66 AIG 478.57亿市值 464.71亿市值 464.44亿市值 48.34 113.95 83.04 -0.38(-0.33%) -0 ...
Jim Cramer Says This Quantum Computing Stock Is 'So High' And 'Too Speculative'
Benzinga· 2025-05-28 12:05
Group 1 - IonQ, Inc. is considered "too speculative" and is losing significant money, according to Jim Cramer [1] - IonQ formed a strategic partnership with the Korea Institute of Science and Technology Information to advance South Korea's quantum technology goals [1] - Oklo Inc. is viewed as being "five years behind" GE Vernova, leading to a preference for GE Vernova over Oklo [1] Group 2 - Valero Energy reported first-quarter sales of $30.26 billion, exceeding analyst expectations of $28.68 billion [2] - Cramer prefers Phillips over Valero Energy, suggesting Valero has already seen too much growth [2] - Verona Pharma is described as a "rocket ship" but is also highly speculative due to significant losses and insider selling [2] Group 3 - Centrus Energy reported better-than-expected first-quarter revenue results [3] - Cramer advises caution regarding Centrus Energy, recommending GE Vernova instead [3] Group 4 - Valero Energy shares increased by 1.7% to $130.71 [4] - IONQ shares rose by 5.1% to $48.04 [4] - Verona Pharma shares gained 0.7% to $75.61 [4] - Centrus Energy shares surged by 12.9% to $127.86 [4] - Oklo shares jumped by 10.3% to $53.90 [4]
ESG热点周聚焦(5月第2期):制造业低碳发展行动方案审议通过
Guoxin Securities· 2025-05-24 15:07
Core Insights - The report highlights the collaborative advancement of ESG policies, market practices, and technological innovations in overseas markets, with the EU easing CBAM rules for SMEs while maintaining a 99% emissions coverage rate [2] - In China, the State Council approved the "Manufacturing Green and Low-Carbon Development Action Plan (2025-2027)", driving the green transformation of the manufacturing sector [2] - The report discusses significant academic research indicating that incorporating ESG factors into asset pricing models can more accurately reflect asset values, while also noting a lack of systematic impact of ESG investments on stock performance over the past two decades [2] Overseas ESG Events - ReNew Energy Global committed $2.5 billion to build one of India's largest hybrid renewable energy projects, which will generate 2.8GW of power [2][6] - Masdar raised $1 billion through green bonds to fund renewable energy projects, with total funding under its green bond program reaching $2.75 billion since 2023 [2][6] - Blackstone Infrastructure announced the acquisition of TXNM Energy for $11.5 billion, emphasizing a commitment to clean energy transition [2][6] Domestic ESG Events - The Tibet Autonomous Region facilitated green electricity trading, reducing carbon emissions by 20,600 tons and generating economic benefits of 6 million yuan [2] - Beijing's sub-center green heart park received carbon neutrality certification, marking a significant achievement in the domestic power sector [2] - Jiaao Environmental Protection became the first company in China to obtain a bio-jet fuel export license, entering the international market [2] Academic Frontiers - Research published in "Finance Research Letters" indicates that stochastic ESG scores and non-pecuniary ESG preferences significantly influence asset pricing [2][4] - A study in the "Journal of Corporate Finance" found no significant correlation between ESG ratings and stock returns over the past two decades, suggesting limited impact from national ESG regulations [2][4] - Another study highlighted that institutional investors' ESG concerns lead to increased depth and breadth in corporate ESG disclosures during site visits [2][4]
金十图示:2025年05月23日(周五)美股热门股票行情一览(美股盘初)
news flash· 2025-05-23 13:47
金十图示:2025年05月23日(周五)美股热门股票行情一览(美股盘初) @ JIN10.COM 金十数据 | 一个交易工具 IINTU D.UU -0.13(-0.74%) +0.41(+0.78%) -0.29(-1.05%) 恩智浦半导体 AG 美国国际集团 Phillips 66 ND 457.23亿市值 481.26亿市值 468.79亿市值 190.50 81.34 112.18 -6.01(-3.06%) -0.80(-0.71%) -0.68(-0.83%) 斯伦贝谢 © Torget 塔吉特 0 本田汽车 426.25亿市值 455.38亿市值 428.15亿市值 94.23 33.48 29.42 -0.83(-0.87%) -0.10(-0.34%) -0.27(-0.80%) 福特汽车 淡水河谷 Yum! Brands Ford Inc 412.37亿市值 405.53亿市值 402.42亿市值 10.37 9.50 144.78 -0.07(-0.67%) -0.08(-0.84%) -0.72(-0.50%) 瓦莱罗能源 2 367.94亿中值 易趣 ebay 402.42亿市值 ...
金十图示:2025年05月22日(周四)美股热门股票行情一览(美股盘初)
news flash· 2025-05-22 13:49
金十图示:2025年05月22日(周四)美股热门股票行情一览(美股盘初) 5076.63亿市值 422.55亿市值 170.15亿市值 569.37 1192.90 102.62 -1.04(-1.00%) -0.17(-0.03%) -1.73(-0.15%) 甲骨文 强生 P&G 宝浩 3881.27亿市值 3680.75亿市值 4410.92亿市值 165.54 157.29 152.98 +0.12(+0.07%) +0.12(+0.07%) -0.20(-0.13%) 家得宝 美国银行 (eget 可口可乐 111 3645.63亿市值 3248.12亿市值 3095.23亿市值 366.79 71.91 43.13 -4.05(-1.09%) -0.13(-0.29%) +0.06(+0.08%) T-Mobile US Inc 赛富时 t | 联合健康 2735.29亿市值 2730.40亿市值 2706.82亿市值 240.90 300.99 282.12 +0.14(+0.06%) -1.99(-0.66%) -0.17(-0.06%) IBM Crop (%) 通用电气(US) cisco ...