September 17, 2025 a 09:32 am

Energy Stocks - Performance Analysis

Energy Market Overview

๐Ÿ“Š The energy sector has shown varying performance trends across different timeframes. Over the past week, there has been a mix of bullish and bearish sentiments reflecting the market's volatility. Longer timeframes bring forth clearer winners, with some stocks experiencing considerable growth.

Energy Stocks Performance One Week

๐Ÿ” In the past week, ExxonMobil (XOM) leads with a modest gain, while Schlumberger (SLB) faces the most significant decline. Market fluctuations have returned heterogeneous outcomes.

Stock Performance (%) Performance
XOM 1.94
PSX 1.26
CVX 1.12
MPC 0.74
EOG 0.54
COP 0.27
KMI -0.62
OKE -1.05
WMB -1.38
SLB -2.54
One Week Stock Performance Chart

Energy Stocks Performance One Month

๐Ÿ“ˆ Over one month, Marathon Petroleum Corporation (MPC) emerges as the top gainer, recording a substantial increase. Phillips 66 (PSX) also shows a strong upward trajectory. The positive performance in this period contrasts with Oneok's (OKE) slight loss.

Stock Performance (%) Performance
MPC 11.92
PSX 8.19
XOM 7.35
SLB 5.99
KMI 3.74
EOG 2.89
CVX 2.83
WMB 2.59
COP 0.87
OKE -0.50
One Month Stock Performance Chart

Energy Stocks Performance Three Months

๐Ÿ“‰ Observing longer-term trends, Marathon Petroleum Corporation (MPC) continues to lead, while Oneok (OKE) experiences substantial setbacks. The disparity in performances highlights differing strategic positions and market interpretations.

Stock Performance (%) Performance
MPC 9.47
CVX 7.83
PSX 7.20
XOM 1.84
COP 1.55
SLB -0.46
KMI -0.80
WMB -1.37
EOG -1.72
OKE -10.44
Three Months Stock Performance Chart

Summary

โœ… It's evident that Marathon Petroleum Corporation (MPC) consistently performs well across all evaluated periods. Conversely, Oneok (OKE) demonstrates a problematic pattern, particularly over the three-month timeframe. The energy sector reveals diverse outcomes subjected to market volatility, economic shifts, and sector-specific developments. Investors may consider focusing on diversified positions to balance short-term risks and long-term gains in the energy domain.