
Cvr Energy (CVI) Stock
US petroleum refiner and chemical producer with fertilizer. Here's the price, business snapshot, and what's worth knowing about Cvr Energy in August 2026.
CVR Energy, Inc. (CVI) is a US-focused downstream energy company principally involved in petroleum refining and related chemicals. Investors should know it operates in a cyclical part of the energy complex: profitability depends heavily on refining margins, crude oil and product prices, throughput levels and operational uptime. The business may also have exposure to nitrogen-based chemicals or fertiliser-related activities through subsidiaries, which can add diversification but also distinct commodity and seasonal risks. Capital spending, maintenance cycles and environmental rules can affect cash flow and returns. Smaller-market-cap energy companies can be more volatile than integrated majors, and regulatory and commodity-price moves can drive significant earnings swings. For many investors, CVR Energy is an example of a cash-flow-driven industrial with sector-specific risk—suitable for those who understand commodity cycles and operational risk. This is general educational information, not personal financial advice. Market cap: $3.49B.
About This Stock
CVR ENERGY INC
CVI
Current Price
$38.11
Potential 12 Month Profit
-35.27%
Sector
Energy
Industry
Oil & Gas
Ticker
CVI
Market Cap
$3.81B
Potential 12 Month Profit
-35.27%
Sector
Energy
Industry
Oil & Gas
Sixth Month Growth Performance
Stock Performance Snapshot
Analyst Rating
Analysts recommend selling CVR Energy's stock due to a target price significantly lower than its current price.
Financial Health
CVR Energy has steady revenue and cash flow, but low profit margins may limit its growth.
Dividend
CVR Energy's dividend yield of 0.26% is low, indicating limited returns for investors seeking dividends. If you invested $1000, you would be paid $2.60 a year in dividends (based on the last 12 months).
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Why You’ll Want to Watch This Stock
Refining margins matter
Profitability is highly sensitive to the gap between product prices and crude costs, so margin trends are a key watch—though they can swing widely.
Operational resilience
Turnarounds, outages and maintenance schedules directly affect output and cash flow; operational performance can meaningfully change results.
Regulation & transition
Environmental rules and energy transition policies can influence costs and future strategy, creating both risk and potential opportunities.
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