NextEra Energy (NEE)
72.05
-0.04 (-0.06%)
NYSE · Last Trade: Sep 1st, 9:33 PM EDT
Detailed Quote
Previous Close | 72.09 |
---|---|
Open | 72.40 |
Bid | 72.00 |
Ask | 72.18 |
Day's Range | 71.82 - 72.83 |
52 Week Range | 61.72 - 86.10 |
Volume | 11,280,550 |
Market Cap | - |
PE Ratio (TTM) | - |
EPS (TTM) | - |
Dividend & Yield | 2.268 (3.15%) |
1 Month Average Volume | 9,453,574 |
Chart
About NextEra Energy (NEE)
NextEra Energy is a leading clean energy company that focuses on generating renewable energy and providing utility services. It primarily operates through its subsidiaries, which include one of the largest electric utility companies in the United States and a prominent renewable energy developer. NextEra Energy is committed to sustainability and innovation, investing heavily in wind and solar energy projects to promote environmental stewardship and reduce carbon emissions. Through its initiatives, the company aims to create a cleaner energy future while delivering reliable service to its customers. Read More
News & Press Releases
NextEra Energy plans to bring the Duane Arnold nuclear plant back online as major tech companies seek more nuclear energy.
Via Benzinga · September 1, 2025
Companies that have increased their dividends annually for 25 consecutive years are a rare breed. These three also stand out for their attractive yields.
Via The Motley Fool · August 30, 2025
Dividend stocks are a great way to stay invested in the market without your entire return depending on stock prices increasing.
Via The Motley Fool · August 29, 2025
As the financial markets brace for the mid-decade, leading institutions Goldman Sachs and J.P. Morgan have unveiled their intricate blueprints for the stock market's trajectory in 2025 and 2026. Their detailed outlooks, while sharing some common ground, also present significant divergences, creating a complex landscape for investors seeking clarity
Via MarketMinute · August 28, 2025
The financial markets are currently navigating a perplexing paradox: a select group of technology giants are reporting robust earnings, propelling major stock indices to unprecedented highs, yet beneath this surface of exuberance, persistent concerns about a potential economic slowdown continue to fester. This apparent divergence creates a "two-speed" market, where
Via MarketMinute · August 28, 2025
The global financial markets are currently navigating a tempest of elevated volatility and profound uncertainty, a landscape that has become the new normal for investors worldwide. From persistent geopolitical tensions to unpredictable policy shifts and evolving macroeconomic conditions, the confluence of these factors demands a re-evaluation of traditional investment strategies.
Via MarketMinute · August 27, 2025
The global economy in 2025 is navigating a landscape profoundly reshaped by the escalating demands of Artificial Intelligence (AI) and transformative shifts in healthcare. While the burgeoning energy consumption of AI data centers is putting unprecedented strain on power grids and catalyzing a new wave of investment across traditional and
Via MarketMinute · August 27, 2025
The financial markets are bracing for a pivotal shift in monetary policy as the Federal Reserve, facing a complex interplay of persistent inflation, a softening labor market, and unprecedented political pressures on its independence, signals a growing openness to interest rate cuts in the latter half of 2025. This delicate
Via MarketMinute · August 27, 2025
The Federal Reserve is on the cusp of a significant shift in its monetary policy, with strong indications pointing towards an interest rate cut in September 2025. This widely anticipated move, primarily influenced by a softening labor market and moderating inflation, has sent ripples through financial markets, igniting optimism among
Via MarketMinute · August 27, 2025
Let's have a look at what is happening on the US markets in the middle of the day on Wednesday. Below you can find the top S&P500 gainers and losers in today's session.
Via Chartmill · August 27, 2025
The global economy is sailing into Q3 2025 with a blend of cautious optimism and persistent challenges. While a new tariff regime and elevated geopolitical tensions introduce elements of uncertainty, the underlying currents suggest continued, albeit slower, economic expansion, particularly within the United States. Investors are keenly watching the interplay
Via MarketMinute · August 27, 2025
Let's take a look at the S&P500 stocks that are experiencing notable price gaps in today's session on Wednesday. Discover the gap up and gap down stocks in the S&P500 index.
Via Chartmill · August 27, 2025
Forget chips. AI's real bottleneck is power, and these stocks own the solution.
Via The Motley Fool · August 27, 2025
The current financial market is witnessing a stark divergence in sector performance, painting a complex picture for investors and the broader economy. While the technology sector, particularly its AI-driven segments, continues its meteoric rise, alongside robust showings from Utilities and Financials, other traditionally stable sectors like Healthcare, Energy, and Industrials
Via MarketMinute · August 27, 2025
While clean energy has been battered by recent legislation, NextEra Energy stock has been on the rise.
Via The Motley Fool · August 26, 2025
The list of the world's largest utilities is topped by a U.S. company that has a powerful mix of new and old driving its growth and dividend higher.
Via The Motley Fool · August 26, 2025
This company could continue delivering decades of dividend increases.
Via The Motley Fool · August 26, 2025
AI is changing this industry in ways that you may not expect, perhaps making it an attractive addition to your portfolio today.
Via The Motley Fool · August 26, 2025
The U.S. Leading Economic Index (LEI) has experienced a consistent decline in recent months, sparking concerns about the nation's economic trajectory for the second half of 2025. While the current economic activity, as measured by the Coincident Economic Index (CEI), shows some resilience, the persistent downward trend in the
Via MarketMinute · August 26, 2025
The stock market is currently undergoing a significant rebalancing act, as investors strategically shift their capital from one sector to another in anticipation of evolving economic conditions. This phenomenon, known as sector rotation, is a critical indicator of changing market sentiment and can have profound implications for portfolio performance and
Via MarketMinute · 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
The U.S. labor market is showing clear signs of cooling, with key indicators such as the unemployment rate, nonfarm payrolls, and unemployment insurance claims all pointing towards a softening trend. This shift is having a profound impact on the Federal Reserve's monetary policy, with growing expectations that the central
Via MarketMinute · August 26, 2025
The specter of persistent inflation continues to loom large over the U.S. economy, as the latest data for the Consumer Price Index (CPI), Personal Consumption Expenditures (PCE) price index, and Producer Price Index (PPI) all indicate that price pressures remain stubbornly above the Federal Reserve's long-sought 2% target. This
Via MarketMinute · August 25, 2025
The U.S. stock market has been on an exhilarating ascent in 2025, with the Dow Jones Industrial Average, S&P 500, and Nasdaq Composite all achieving significant milestones, including multiple new all-time highs. This robust performance is largely fueled by a wave of investor optimism, buoyed by expectations of
Via MarketMinute · August 22, 2025