Schlumberger Ltd (SLB)
35.52
+0.93 (2.69%)
NYSE · Last Trade: Sep 28th, 12:24 AM EDT
SLB (NYSE: SLB) has outperformed the market over the past 5 years by 2.63% on an annualized basis producing an average annual return of 17.26%. Currently, SLB has a market capitalization of $51.79 billion.
Via Benzinga · September 25, 2025
Why Did Transocean Stock Fall Over 12% After-Hours Today?stocktwits.com
Via Stocktwits · September 24, 2025
Financial markets are currently navigating a complex and divergent commodity landscape as of September 24, 2025. After an extended period of robust gains, both gold and silver futures have begun to retreat from their recent record highs, signaling a potential wave of profit-taking and a cautious recalibration by investors. Simultaneously,
Via MarketMinute · September 24, 2025
Halliburton (NYSE: HAL), a global leader in oilfield services, saw its stock price climb by approximately +8% today, closing between $24.15 and $24.59. This significant surge is largely attributed to a notable rebound in crude oil prices, which has reignited optimism across the energy sector. The event underscores
Via MarketMinute · September 23, 2025
SLB, Apple, Nvidia, Merck, Gilead Sciences: What Sparked Heavy After-Hours Trading In These 5 Stocks?stocktwits.com
Via Stocktwits · September 11, 2025
A recent and stark warning from the International Energy Agency (IEA) has cast a long shadow over the future of global energy markets. The agency's latest report reveals an alarming acceleration in the decline rates of existing oil and gas fields, far outpacing previous estimates. This natural depletion is compounded
Via MarketMinute · September 23, 2025
Via Benzinga · September 22, 2025
Schlumberger (SLB) meets Peter Lynch's criteria with strong EPS growth, a low PEG ratio, and robust profitability, making it an attractive long-term investment.
Via Chartmill · September 19, 2025
On Monday, the tech-heavy Nasdaq Composite climbed to a new high despite the ongoing uncertainty regarding the state of the U.S. economy and the rate outlook.
Via Stocktwits · September 9, 2025
Nvidia and Alphabet stocks diverged, with the former stock dropping for a fifth straight session.
Via Stocktwits · September 4, 2025
September has a long-standing bearish reputation for U.S. stocks. Here's what history tells us—and the S&P 500 stocks to watch.
Via Benzinga · September 1, 2025
Volatility in stock market creates opportunities for investors as companies navigate earnings. Analysts monitor metrics for investment prospects.
Via Benzinga · August 29, 2025
Schlumberger (SLB) is a top energy stock matching Peter Lynch's GARP strategy, with strong EPS growth, a low PEG ratio, and solid financials for long-term investors.
Via Chartmill · August 29, 2025
The S&P 500 Index is up over 200% over the past decade, but 22 stocks have declined during that period, and one is set to be removed soon.
Via Benzinga · August 26, 2025
The global financial landscape is currently witnessing a fascinating divergence in the fortunes of two of its most pivotal commodities: gold and crude oil. While gold continues its impressive ascent, solidifying its role as a resilient safe haven amidst a backdrop of geopolitical turmoil and economic uncertainty, crude oil prices
Via MarketMinute · August 26, 2025
Helix Energy stock ticked higher after securing a multi-year Gulf of Mexico well services contract.
Via Benzinga · August 21, 2025
Oil bears may be too crowded; if demand surprises higher, Chevron, Exxon, and Schlumberger could see strong upside as oil prices rally
Via MarketBeat · August 21, 2025
The global financial landscape is currently navigating a complex interplay of forces, as U.S. crude oil inventories experience a significant drawdown, propelling oil prices upward, while the yield on the 10-year U.S. Treasury note subtly retreats. These concurrent movements paint a nuanced picture of market sentiment, reflecting both
Via MarketMinute · August 20, 2025
The global financial landscape is once again grappling with the intricate dance of geopolitics, as a recent summit between former U.S. President Donald Trump and Russian President Vladimir Putin in Anchorage, Alaska, on August 15, 2025, has sent ripples of uncertainty and cautious optimism through the markets. While the
Via MarketMinute · August 18, 2025
Via Benzinga · August 15, 2025
The financial markets are currently experiencing a significant sector rotation, as investors increasingly shift their capital from growth-oriented technology stocks towards more value-driven cyclical sectors. This strategic reallocation of assets reflects a broader recalibration of market expectations, signaling a potential late-stage economic cycle or an environment characterized by persistent inflation.
Via MarketMinute · August 14, 2025
The global financial markets are currently navigating a fascinating dichotomy, with the International Energy Agency (IEA) projecting a significant surplus in global oil supply, while major airline carriers are experiencing a robust surge in their stock valuations. This seemingly contradictory scenario is a testament to the complex interplay of supply-side
Via MarketMinute · August 13, 2025
Schlumberger (SLB) aligns with Peter Lynch's GARP strategy, offering steady earnings growth, strong ROE, and reasonable valuation—ideal for long-term investors.
Via Chartmill · August 7, 2025