Exxon Mobil (XOM)
117.68
-1.61 (-1.35%)
NYSE · Last Trade: Nov 17th, 11:46 PM EST
Investor sentiment has dropped as the financial headlines increasingly stoke concerns.
Via The Motley Fool · November 17, 2025
The US Dollar, the undisputed heavyweight of global finance, is once again asserting its dominance, sending ripples across international commodity markets. As of November 17, 2025, a strengthening greenback is exerting significant downward pressure on the prices of essential raw materials worldwide, from crude oil to agricultural staples. This phenomenon,
Via MarketMinute · November 17, 2025
The Dow Jones Industrial Average experienced a significant setback today, November 17, 2025, plummeting by approximately 800 points as mounting concerns over the health of the U.S. economy gripped investors. This sharp decline follows closely on the heels of another substantial drop just days earlier, on November 13, 2025,
Via MarketMinute · November 17, 2025
Via MarketBeat · November 17, 2025
ExxonMobil partners with BASF to build a demonstration methane pyrolysis plant at Baytown, producing 2,000 tons of low-emission hydrogen and 6,000 tons of solid carbon annually.
Via Benzinga · November 17, 2025
The American oil and gas industry is rewriting the rules of energy production, consistently shattering output records for both crude oil and natural gas even as the number of active drilling rigs continues its remarkable decline. This counterintuitive trend, particularly pronounced in the prolific Permian Basin, signals a profound shift
Via MarketMinute · November 17, 2025
November 17, 2025 – Financial markets are currently navigating a turbulent landscape marked by increasing skepticism over Federal Reserve rate cuts, a strengthening US dollar, and persistent geopolitical tensions affecting global oil supplies. This confluence of factors is exerting significant downward pressure on precious metals like gold and silver, while keeping
Via MarketMinute · November 17, 2025
The global financial landscape, already navigating a labyrinth of complex geopolitical risks from persistent US-China trade tensions to the ongoing Russia-Ukraine conflict and Middle Eastern instability, faces a potentially seismic shock. A hypothetical, yet increasingly plausible, escalation of tensions in the South China Sea involving major global powers looms large,
Via MarketMinute · November 17, 2025
As of November 17, 2025, the financial markets are grappling with a significant recalibration of expectations regarding Federal Reserve interest rate cuts. What was once a strong anticipation of imminent rate reductions has now given way to a more cautious outlook, with the perceived probability of a December 2025 cut
Via MarketMinute · November 17, 2025
As November 2025 unfolds, the global financial markets find themselves at a critical juncture, characterized by a palpable sense of unease over elevated valuations in specific sectors and a pronounced "Great Rotation" of capital. Investors are navigating a complex landscape where the promise of innovation clashes with macroeconomic headwinds, prompting
Via MarketMinute · November 17, 2025
Buying the S&P 500 takes the belief that today's leading companies deserve their lofty valuations.
Via The Motley Fool · November 17, 2025
Strategy Inc.
Via Benzinga · November 17, 2025
The Vanguard Dividend Appreciation Index Fund ETF (VIG) Delivers Stronger Growth Than the iShares Core High Dividend ETF (HDV)
Via The Motley Fool · November 16, 2025
If you're looking for diversification, here are three excellent stocks to scoop up today.
Via The Motley Fool · November 16, 2025
The Schwab U.S. Dividend Equity ETF (SCHD) Offers a Higher Yield and Lower Cost Than the iShares Core High Dividend ETF (HDV)
Via The Motley Fool · November 16, 2025
Meme coins are known for their explosive volatility.
Via The Motley Fool · November 16, 2025
The American economy finds itself at a precarious juncture, grappling with the twin challenges of persistently high inflation and the recent, historically long government shutdown. These formidable headwinds are rapidly eroding market confidence in further Federal Reserve interest rate cuts, injecting a palpable sense of uncertainty into financial markets and
Via MarketMinute · November 14, 2025
As the broader S&P 500 (SPX) concluded November 14, 2025, with a mixed performance, the energy sector found itself at a critical juncture, reflecting the complex interplay of global economic forces, geopolitical shifts, and the ongoing energy transition. While some segments of the market struggled for direction, the performance
Via MarketMinute · November 14, 2025
Washington D.C. – November 14, 2025 – The specter of political gridlock and potential government shutdowns looms large over the global financial landscape, casting a long shadow of uncertainty across key commodity markets. While often perceived as a domestic political squabble, the cessation of government operations, even temporarily, can send significant
Via MarketMinute · November 14, 2025
Washington D.C. – November 14, 2025 – The protracted US government shutdown, which gripped the nation for a record 43 days, concluded on November 12, 2025, with President Donald Trump signing a crucial funding bill into law. This long-awaited resolution immediately injected a wave of optimism into global financial markets, with
Via MarketMinute · November 14, 2025
London, UK – November 14, 2025 – The global financial markets are currently navigating a complex landscape shaped by divergent trends in key commodity prices. As of mid-November 2025, crude oil is grappling with a significant supply surplus, exerting downward pressure on prices and consequently impacting the energy sector. Conversely, gold continues
Via MarketMinute · November 14, 2025
The global financial landscape on November 14, 2025, is defined by a potent and challenging combination: persistent exchange rate volatility clashing with a mixed but often elevated trajectory of commodity prices. This intricate interplay is generating significant economic pressure across virtually all sectors, forcing businesses and consumers alike to grapple
Via MarketMinute · November 14, 2025
New York, NY – November 14, 2025 – Global financial markets have recently experienced a significant upheaval, marked by a sharp stock selloff driven primarily by escalating concerns over the lofty valuations of Artificial Intelligence (AI) companies and growing skepticism regarding the likelihood of imminent US interest rate cuts. This dual-pronged anxiety
Via MarketMinute · November 14, 2025
Global commodity markets are poised for a period of significant recalibration as late 2025 and early 2026 approach, with a broad consensus among analysts pointing towards a moderation or even a decline in overall prices following years of substantial gains. This anticipated shift is primarily driven by a complex interplay
Via MarketMinute · November 14, 2025
The Federal Reserve's recent hawkish commentary and increasingly clear signals of delayed interest rate cuts are sending ripples of apprehension across global commodity markets. This cautious stance, driven by persistent inflation and a resilient U.S. economy, has triggered a widespread decline in commodity prices and fueled significant investor uncertainty.
Via MarketMinute · November 14, 2025