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Everybody chasing tech when companies like CVX are putting up 21% YTD. Just sayin.
Exxon mobile (XOM) and Chevron (CVX), also Shell and BP, all spiked sharply before the Israeli strike on Iran in June. Precisely, June 5th 2025. The recent spike in these stocks looks much the same. Probably just a lot of people like me who are trying to catch this run before the US strikes Iran. That said, a US strike on Iran is imminent. We all know Bibi wants a strike and ultimately a regime change. It has to happen before midterms. Don't miss this chance fellas, beware high risk holds that will be caught in a risk-off selloff. GL.
xom cop cvx mlpi gld till june or until credit spreads widen; shipping, cyclicals & emerging markets ETFs begin to underperform
Still holding CVX and ABNB calls
I'm simple, COP and CVX maybe OXY. Probably someone smarter picks shit based on who profits most specifically from this situation.
Companies were a much better buy tbh as of like 2 months ago. A lot of them were still trading at Liberation Day prices, so even if nothing happens here I don't see like CVX revisiting $145-$155 even if nothing happens, but it'll be dropping back to $155-$172 potentially. OIl itself has a lot of room it could run \*in theory\*, but so many things can be done to short-circuit it. Getting in now at the current prices though feels very binary.
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