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NextEra Energy (NEE)

83.99
-1.90 (-2.21%)
NYSE · Last Trade: Nov 13th, 9:10 PM EST
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Detailed Quote

Previous Close85.89
Open85.78
Bid83.90
Ask85.40
Day's Range83.93 - 85.93
52 Week Range61.72 - 87.53
Volume11,859,267
Market Cap-
PE Ratio (TTM)-
EPS (TTM)-
Dividend & Yield2.268 (2.70%)
1 Month Average Volume9,185,599

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

Meren Energy (TSE:MER) Q3 2025 Results Highlight Energy Sector Resilience Amidst Shifting Tides
Meren Energy (TSE:MER) has announced robust financial and operational results for the third quarter ended September 30, 2025, alongside the declaration of its fourth quarterly cash dividend. This performance underscores the company's strategic focus on financial stability and shareholder returns, positioning it as a beacon of resilience within a
Via MarketMinute · November 13, 2025
Market Reels as Inflation Fears Trigger Broad Sell-Off on November 13, 2025
November 13, 2025, witnessed a significant downturn across U.S. equity markets, as renewed inflation concerns and a hawkish stance from the Federal Reserve sent investors scurrying for safety. The Dow Jones Industrial Average, S&P 500, and Nasdaq Composite all closed sharply lower, signaling a potential shift in market
Via MarketMinute · November 13, 2025
The Great Energy Divide: Green Stocks Soar Amidst Divergent Oil and Gas Fortunes
The energy sector is currently undergoing a significant transformation, marked by a fascinating divergence in fortunes. While the broader narrative might suggest a uniform rise, November 2025 paints a more nuanced picture. Green energy stocks are experiencing a robust surge, propelled by technological advancements and shifting global priorities. Concurrently, natural
Via MarketMinute · November 13, 2025
Market Sentiment Pivots: From Momentum to Caution in Late 2025
As November 2025 unfolds, the financial markets are witnessing a palpable shift in sentiment, moving away from a period of sustained, growth-driven momentum towards a more circumspect and cautious outlook. This transition, influenced by a complex interplay of economic headwinds, stretched valuations, and geopolitical uncertainties, signals a significant re-evaluation of
Via MarketMinute · November 13, 2025
Market Jitters Persist as Wall Street Opens Lower Amidst Economic Headwinds and Geopolitical Tensions
Wall Street experienced a turbulent start to the trading day, opening lower as a complex web of market uncertainties continued to weigh heavily on investor sentiment. A confluence of factors, including disheartening economic data, persistent inflation concerns, a cautious Federal Reserve stance on interest rates, and ongoing geopolitical instability, has
Via MarketMinute · November 13, 2025
Government Shutdown Leaves Enduring Scar on U.S. Economy's Data Map, Clouding Future Decisions
Washington D.C., November 12, 2025 – The recent, prolonged U.S. government shutdown, spanning a record-setting duration, has inflicted a significant and potentially lasting scar on the nation's economic data landscape. This unprecedented disruption has not only curtailed essential government services and left millions of federal workers without pay but
Via MarketMinute · November 12, 2025
Federal Reserve Grapples with "Data Fog" Amidst Government Shutdown, Clouding December Rate Decisions
The Federal Reserve finds itself in an unenviable position, grappling with a profound "data fog" as a government shutdown has halted the release of crucial economic indicators. With the Bureau of Labor Statistics (BLS) and the Bureau of Economic Analysis (BEA) largely shuttered, policymakers are operating without the "gold standard"
Via MarketMinute · November 12, 2025
Cleveland Fed's 'Vibes' Model Signals Recessionary Undercurrents Amidst Economic Disconnect
Cleveland, OH – November 12, 2025 – The Federal Reserve Bank of Cleveland has once again captured the financial world's attention with its unique recession probability models, particularly one that taps into the elusive realm of economic "vibes" or sentiment. As of its latest update on November 10, 2025, this sentiment-based model
Via MarketMinute · November 12, 2025
APA Corporation Faces Short Seller Scrutiny: A Bellwether for the Energy Sector's Shifting Tides
Houston, TX – November 12, 2025 – APA Corporation (NASDAQ: APA), a prominent independent exploration and production company, found itself under an intensified spotlight in October 2025 as its short interest surged significantly. This notable increase, reaching 36.88 million shares sold short and representing 10.48% of its public float, signals
Via MarketMinute · November 12, 2025
Global Economic Outlook: Geopolitical Events Cast a Long Shadow Over Stock Market Stability
The global economic landscape as of November 2025 is marked by a pervasive sense of uncertainty, with stock market stability continually tested by a confluence of persistent inflation, cautious monetary policy, and an increasingly volatile geopolitical environment. Investors and analysts alike are grappling with subdued growth projections, with the World
Via MarketMinute · November 12, 2025
The Clean Energy Breakthrough That Could Power the AI Era
This article has been disseminated on behalf of MAX Power Mining Corp ., which may include a paid advertisement.
Via Investor Brand Network · November 12, 2025
NextEra Energy Falls After Reporting Q3 Earnings: What Investors Need to Knowfool.com
NextEra shares are up 5,000% in 31 years, with dividend growth significantly outpacing inflation.
Via The Motley Fool · November 11, 2025
Nasdaq Composite Stumbles Amid Inflation Fears and Tech Sector Woes
The Nasdaq Composite experienced a significant downturn today, November 11, 2025, as investor anxieties over persistent inflation and the prospect of aggressive interest rate hikes by the Federal Reserve reached a fever pitch. The tech-heavy index saw a broad sell-off, marking a stark reminder of the market's sensitivity to macroeconomic
Via MarketMinute · November 11, 2025
Weak US Labor Data Fuels Fed Rate Cut Bets, Shaking Currency Markets
Recent weak labor market data in the United States has significantly amplified market expectations for a Federal Reserve interest rate cut in December 2025. This growing conviction for a more dovish Fed stance is exerting considerable downward pressure on the US dollar across global currency markets, signaling a potential shift
Via MarketMinute · November 11, 2025
Tech Titans and Tangible Trades: How Global Summits Reshape Commodity Markets
The glittering stages of global technology summits, such as the recent Web Summit Lisbon (November 2024) and the inaugural Web Summit Qatar (February 2025), might seem far removed from the gritty realities of commodity markets. Yet, beneath the buzz of AI breakthroughs and startup pitches, these influential gatherings are laying
Via MarketMinute · November 11, 2025
Navigating the Unpredictable: Market Volatility's Profound Impact on Investor Psyche and Strategy
In the dynamic world of financial markets, volatility stands as a constant, yet often unsettling, companion. It describes the magnitude and frequency of price fluctuations in assets like stocks, bonds, and commodities, acting as a crucial barometer for risk and uncertainty. While often perceived negatively, associated with sharp declines, volatility
Via MarketMinute · November 11, 2025
ADP Report Reveals Tepid Job Growth, Fuels Rate Cut Hopes Amidst Market Volatility
The latest ADP National Employment Report for October 2025, released on November 5, 2025, has sent mixed signals through the financial markets, painting a complex picture of the U.S. labor landscape. While the headline figure indicated a modest increase in private sector jobs, surpassing some economist forecasts, the underlying
Via MarketMinute · November 11, 2025
ADP Report Signals Tepid Job Growth Amidst Underlying Labor Market Weakness, Posing Dilemma for Fed and Investors
The latest ADP National Employment Report for October 2025, released on November 5, 2025, delivered a mixed bag for financial markets, revealing a modest increase of 42,000 private sector jobs. While this figure technically surpassed economist expectations and marked a rebound after two consecutive months of declines, deeper analysis
Via MarketMinute · November 11, 2025
Data Centers' Insatiable Hunger for Power: A Looming Energy Crisis and Economic Shake-Up
The relentless expansion of data centers, fueled by the explosive growth of artificial intelligence (AI) and the ever-increasing demand for cloud computing, is pushing global electricity grids to their limits and triggering a profound economic realignment. As of November 10, 2025, the digital infrastructure that underpins our modern world is
Via MarketMinute · November 10, 2025
Data Blackout: US Government Shutdown Plunges Markets into Uncertainty, Blindsiding Policymakers
The recent, prolonged U.S. government shutdown has cast a long shadow over the nation's financial markets, creating an unprecedented data vacuum that has left investors, businesses, and policymakers navigating a fog of uncertainty. As federal agencies responsible for collecting and disseminating vital economic statistics ceased or drastically scaled back
Via MarketMinute · November 10, 2025
Congressional Crossroads: How Legislative Action Shapes Market Fortunes
In the dynamic arena where politics meets finance, the ebb and flow of congressional votes and legislative progress serve as powerful currents, steering the course of stock market movements and profoundly influencing investor confidence. As of November 10, 2025, the ongoing legislative landscape continues to demonstrate how the intricate dance
Via MarketMinute · November 10, 2025
Market Resilience Tested: How Investors Can Navigate U.S. Government Shutdowns
As the U.S. political landscape continues to present its unique set of challenges, the specter of a government shutdown remains a perennial concern for investors. These periods, marked by a cessation of non-essential federal operations due to budgetary impasses, inject a significant degree of political uncertainty into the financial
Via MarketMinute · November 10, 2025
Global Markets Roar Back as US Government Shutdown Nears End, But Long-Term Fiscal Shadows Loom
Global stock markets are experiencing a significant surge on November 10, 2025, as news of a bipartisan deal in the U.S. Senate signals the imminent end to a protracted 41-day government shutdown. This breakthrough has unleashed pent-up optimism, leading to widespread rallies across major indices in the United States,
Via MarketMinute · November 10, 2025
Utilities ETFs Could Power Up As Polar Vortex Threatens To Freeze The Gridbenzinga.com
Utilities ETFs may heat up this winter as a potentially harsh season drives up energy demand and electricity prices across key global markets.
Via Benzinga · November 10, 2025
Natural Gas Roars Back: Surge Signals Volatility Amidst Overextension Concerns
The natural gas market has experienced a dramatic resurgence in late 2025, with prices surging to levels not seen in months, driven by robust demand, strong liquefied natural gas (LNG) exports, and looming winter weather concerns. This sharp upward movement, however, has also flashed warning signs of overextension, prompting analysts
Via MarketMinute · November 10, 2025