OXY

Occidental Petroleum Corporation (OXY) Stock Analysis

Research Occidental Petroleum Corporation (OXY) with company financials, earnings context, valuation indicators, risk analysis and related market news.

Research record updated: . Individual measures may refer to different reporting periods.

Ticker
OXY
Company
Occidental Petroleum Corporation
Sector
Energy
Industry
Oil & Gas Exploration & Production
Market cap
$58.14B
Financial data source
SEC company filings + StockAnalysis complete statements + FMP cash flow statements + FMP balance sheet + income statements
Annual revenue (reporting year not supplied)
$21.59B
Annual net income (reporting year not supplied)
$2.37B
Annual free cash flow (reporting year not supplied)
$3.83B
Trailing revenue
$25.03B
Trailing net income
$7.31B
Total assets
$84.19B
Total liabilities
$47.59B

Occidental Petroleum Corporation (OXY) Stock Analysis research

Occidental Petroleum Corporation is an integrated energy producer focused on oil, natural gas, chemicals, and carbon-management services, with major operations in the United States and the Middle East. Its portfolio combines upstream exploration and production, midstream infrastructure, and OxyChem products used in industrial, water-treatment, and manufacturing applications. Recent Seeking Alpha coverage and comparable energy-market reporting have emphasized debt reduction, post-CrownRock integration, disciplined capital spending, oil-price sensitivity, and Berkshire Hathaway’s continuing influence on investor sentiment. The company’s improving share performance suggests renewed confidence, although enthusiasm remains tempered by commodity volatility and execution risk. Occidental is also developing carbon capture and direct-air-capture systems through its low-carbon subsidiary, 1PointFive; these technologies remove carbon dioxide from industrial emissions or ambient air for permanent storage or commercial use. If deployed economically at scale, carbon removal could become a game changer by creating a new revenue stream, supporting lower-emission oil production, and helping heavy industries meet climate obligations. Within Energy, Occidental is a large-cap operator with meaningful scale, diversified assets, solid cash generation, and a valuation that appears reasonable relative to the broader market, though its growth depends heavily on crude prices rather than rapid structural expansion. Sector sentiment is constructive but selective; my Energy-sector score is 7/10, and the stock’s sector-relative value is also 7/10 because its cash-flow strength and strategic assets partly offset leverage and cyclical exposure. Performance shows improving momentum over recent months and a favorable risk-adjusted trend, but substantial volatility means the stock can decline quickly when oil weakens. In simple terms, Occidental generates enough operating cash to support investment and debt repayment, yet its balance sheet remains meaningful, shareholder profitability looks modest, and future gains depend on successful integration, disciplined spending, stable energy prices, and commercially viable carbon technology. Final verdict: Bullish.

Review the available company profile, financial history, valuation context and investor signals for Occidental Petroleum Corporation. Compare the reported operating results with the valuation and risk measures below.

The figures are cached research data and can change after new filings, earnings reports or market updates. Verify material facts with primary company disclosures before making an investment decision.