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The Wayback Machine - https://web.archive.org/web/20241128063148/https://finance.yahoo.com/sectors/energy/
Energy
Companies that produce or refine oil and gas, oilfield-services and equipment companies, and pipeline operators. This sector also includes companies that mine thermal coal and uranium. Companies in this sector include BP, ExxonMobil, Royal Dutch Shell, and China Shenhua Energy.
Market Cap
3.142T
Market Weight
4.62%
Industries
8
Companies
255
Energy S&P 500 ^GSPC
Loading Chart for Energy
DELL

Day Return

Sector
0.31%
S&P 500
0.38%

YTD Return

Sector
12.65%
S&P 500
25.76%

1-Year Return

Sector
12.24%
S&P 500
31.57%

3-Year Return

Sector
58.30%
S&P 500
30.56%

5-Year Return

Sector
61.76%
S&P 500
90.98%

Note: Sector performance is calculated based on the previous closing price of all sector constituents

Industries in This Sector

Select an Industry for a Visual Breakdown

IndustryMarket WeightYTD Return
All Industries
100.00%
12.65%
Oil & Gas Integrated
36.03%
12.95%
Oil & Gas Midstream
25.49%
37.29%
Oil & Gas E&P
23.21%
1.93%
Oil & Gas Equipment & Services
7.04%
3.48%
Oil & Gas Refining & Marketing
5.84%
-10.75%
Uranium
1.25%
32.13%
Oil & Gas Drilling
0.74%
-18.18%
Thermal Coal
0.40%
17.67%

Note: Percentage % data on heatmap indicates Day Return

Largest Companies in This Sector

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Table View
Heatmap View
Name
Last Price
1Y Target Est.
Market Weight
Market Cap
Day Change %
YTD Return
Avg. Analyst Rating
2,634.46 - 55.24% 3.127T 0.00% +43.41%
117.66 130.26 9.13% 517.126B -0.26% +17.68%
Buy
162.11 170.26 5.11% 289.029B -0.26% +8.68%
Buy
107.39 132.88 2.45% 138.915B +0.57% -7.48%
Buy
133.09 142.18 1.32% 74.856B +0.41% +10.04%
Buy
33.65 34.26 1.29% 72.939B +2.40% +27.70%
Buy
58.14 52.62 1.25% 70.873B -0.39% +66.93%
Buy
19.42 19.99 1.17% 66.493B +1.15% +40.72%
Buy
112.59 103.50 1.16% 65.781B -0.76% +60.34%
Buy
28.07 25.69 1.10% 62.361B -0.07% +59.13%
Buy

Investing in the Energy Sector

Start Investing in the Energy Sector Through These ETFs and Mutual Funds

ETF Opportunities

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Name
Last Price
Net Assets
Expense Ratio
YTD Return
95.12 35.34B 0.09% +13.45%
133.67 9.451B 0.10% +13.98%
50.31 8.871B 0.85% +18.32%
145.00 2.411B 0.35% +5.91%
41.97 2.094B 0.41% +7.31%

Mutual Fund Opportunities

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Name
Last Price
Net Assets
Expense Ratio
YTD Return
66.75 9.451B 0.10% +13.91%
98.71 5.774B 0.36% +13.11%
52.58 5.774B 0.36% +13.05%
6.78 3.677B 6.24% +21.51%
6.15 3.677B 6.24% +20.12%

Energy Research

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Discover the Latest Analyst and Technical Research for This Sector

  • Analyst Report: MPLX LP

    MPLX is a partnership that owns both pipelines and gathering and processing assets with extensive holdings in the Appalachian region. The asset base is made up of pipeline assets dropped down from Marathon Petroleum, its sponsor, and gathering and processing assets from MarkWest, which it acquired in 2015. MPLX also acquired Andeavor Logistics in 2019.

    Rating
    Price Target
     
  • Daily – Vickers Top Insider Picks for 11/27/2024

    The Vickers Top Insider Picks is a daily report that utilizes a proprietary algorithm to identify 25 companies with compelling insider purchase histories based on transactions over the past three months.

     
  • CTRA: What does Argus have to say about CTRA?

    COTERRA ENERGY INC has an Investment Rating of HOLD; a target price of $28.000000; an Industry Subrating of Low; a Management Subrating of Medium; a Safety Subrating of Medium; a Financial Strength Subrating of Medium; a Growth Subrating of Low; and a Value Subrating of Medium.

    Rating
    Price Target
     
  • WKC: Raising target price to $31.00

    WORLD KINECT CORP has an Investment Rating of HOLD; a target price of $31.000000; an Industry Subrating of Low; a Management Subrating of Medium; a Safety Subrating of Medium; a Financial Strength Subrating of High; a Growth Subrating of Medium; and a Value Subrating of Medium.

    Rating
    Price Target
     

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