The energy sector demonstrates notable volatility, with stocks displaying a mix of robust performances and underperformance across various timeframes. Identifying persistent trends among top performers such as MPC and PSX is crucial, while attention should be paid to the fluctuating dynamics affecting companies like SLB and CVX.
Stock | Performance (%) | Performance |
---|---|---|
SLB | 6.01% | |
COP | 3.36% | |
PSX | 2.95% | |
MPC | 2.56% | |
CVX | 1.63% | |
EOG | 1.15% | |
OKE | 1.01% | |
XOM | 0.84% | |
KMI | 0.17% | |
WMB | -3.02% |
Stock | Performance (%) | Performance |
---|---|---|
EOG | 8.77% | |
PSX | 7.71% | |
MPC | 7.00% | |
COP | 6.28% | |
XOM | 6.08% | |
SLB | 5.91% | |
CVX | 5.62% | |
KMI | -0.94% | |
OKE | -1.67% | |
WMB | -3.87% |
Stock | Performance (%) | Performance |
---|---|---|
MPC | 29.74% | |
PSX | 16.45% | |
KMI | 3.39% | |
EOG | 2.87% | |
WMB | 0.70% | |
COP | -1.00% | |
XOM | -1.77% | |
CVX | -5.61% | |
SLB | -7.71% | |
OKE | -11.25% |
The energy sector exhibits both resilience and vulnerability across different timeframes, with stocks like MPC and PSX illustrating upward momentum while others like OKE and SLB present challenges. The divergent performance underscores the importance of strategic positioning within the sector, catering to both short-term gains and long-term stability. Consideration of broader macroeconomic impacts and sector-specific dynamics remains indispensable for making informed investment decisions.