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NextEra Energy (NEE)

83.71
-0.33 (-0.39%)
NYSE · Last Trade: Oct 9th, 7:43 PM EDT
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Detailed Quote

Previous Close84.04
Open84.46
Bid83.50
Ask83.88
Day's Range83.45 - 84.82
52 Week Range61.72 - 86.00
Volume7,485,034
Market Cap-
PE Ratio (TTM)-
EPS (TTM)-
Dividend & Yield2.268 (2.71%)
1 Month Average Volume10,747,160

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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

American Electric Power Reinforces Investor Confidence with Consistent Dividend Payouts
American Electric Power (NASDAQ:AEP) continues to demonstrate its commitment to shareholder returns and financial stability, as evidenced by its recent declaration and payment of a regular quarterly cash dividend of $0.93 per share. This consistent payout, part of a long-standing tradition of dividend increases, signals robust health within
Via MarketMinute · October 9, 2025
The Fed's Tightrope Walk: Persistent Inflation Meets a Softening Job Market as Rate Cuts Begin
Washington D.C., October 9, 2025 – The Federal Reserve finds itself navigating an increasingly complex economic landscape, attempting a delicate balancing act between taming stubbornly persistent inflation and responding to a visibly softening labor market. As of October 202025, the central bank has initiated a new cycle of interest rate
Via MarketMinute · October 9, 2025
Nasdaq Stumbles from Record Highs: A Market Recalibration Amidst Shifting Sands
October 9, 2025 – The Nasdaq Composite (NASDAQ) has experienced a notable retreat from its recent all-time record highs, signaling a significant recalibration for financial markets. After surging to an unprecedented intraday peak of 23,062.62 earlier today, October 9, 2025, the tech-heavy index pulled back, ending the day lower.
Via MarketMinute · October 9, 2025
Dow Jones Takes a Tumble Amidst Government Shutdown Fears and Economic Headwinds
The Dow Jones Industrial Average (DJIA) experienced a notable slide today, October 9, 2025, as a confluence of a U.S. government shutdown, mounting economic concerns, and specific corporate disappointments sent ripples of apprehension through the financial markets. This downturn signals a renewed period of volatility, challenging investor confidence and
Via MarketMinute · October 9, 2025
Federal Reserve Fractures on Future Path: A Divided Fed Navigates Economic Crosscurrents
Federal Reserve officials are grappling with a significant internal divide over the nation's economic outlook and the appropriate trajectory for interest rates, casting a shadow of uncertainty over financial markets. The release of the Federal Open Market Committee (FOMC) minutes from its September 16-17, 2025 meeting on October 8, 2025,
Via MarketMinute · October 9, 2025
Renewable Energy Stocks Surge: A New Dawn for Clean Power in Financial Markets
The financial markets are witnessing a significant resurgence in renewable energy stocks, marking a pivotal shift in investment sentiment and energy market dynamics. As of late 2025, clean energy companies are attracting substantial capital inflows, driven by a powerful combination of escalating global electricity demand, robust governmental policy support, and
Via MarketMinute · October 9, 2025
Jamie Dimon Sounds Alarm: Geopolitical Tensions Threaten Major Market Correction and Commodity Chaos
Jamie Dimon, the influential CEO of JPMorgan Chase (NYSE: JPM), has issued a series of urgent warnings, painting a stark picture of significant market risks looming in the next few years. His primary concern centers on escalating geopolitical tensions, which he believes are not adequately priced into current market valuations.
Via MarketMinute · October 9, 2025
Investors Brace for Pullback as Short-Bias ETF Inflows Signal Growing Bearishness
A significant surge in capital flowing into short-bias Exchange-Traded Funds (ETFs) has sent a clear signal through the financial markets: investor sentiment is shifting towards caution and a potential stock market pullback. This notable trend, particularly pronounced in recent weeks, suggests that a growing number of investors are actively positioning
Via MarketMinute · October 9, 2025
Market Giants Retreat: S&P 500 and Nasdaq Pull Back from Record Highs Amidst Economic Headwinds
The relentless ascent of the U.S. stock market has hit a significant speed bump, as both the S&P 500 and Nasdaq Composite have retreated from their recent record highs. This pullback, occurring after weeks of robust gains, signals a period of reassessment for investors grappling with a confluence
Via MarketMinute · October 9, 2025
The Looming Spectre: What Could Puncture the Stock Market's AI-Driven Bubble?
As October 2025 unfolds, a palpable tension hangs over global financial markets. Despite record highs in major indices like the Nasdaq 100 (NASDAQ: NDX) and the FTSE 100 (LSE: UKX), a growing chorus of analysts and economists are sounding the alarm, warning that the stock market is exhibiting classic signs
Via MarketMinute · October 9, 2025
Jamie Dimon's Persistent Correction Call: A Jolt to Market Optimism?
Jamie Dimon, the influential CEO of JPMorgan Chase (NYSE: JPM), has once again sounded the alarm, warning of a potential "serious correction" in the U.S. stock market within the next six months to two years. His latest pronouncements, delivered in October 2025, suggest a growing unease among some of
Via MarketMinute · October 9, 2025
Top 2 Utilities Stocks That Are Ticking Portfolio Bombsbenzinga.com
Via Benzinga · October 9, 2025
Federal Reserve Navigates Rate Cuts Amidst Lingering Inflationary Shadows
The Federal Reserve has embarked on a delicate balancing act, initiating interest rate cuts in 2025 to bolster a softening labor market while grappling with persistent inflation concerns among some of its most influential officials. As of October 8, 2025, financial markets are closely scrutinizing every statement and data point,
Via MarketMinute · October 8, 2025
U.S. Government Shutdown Deepens Economic Uncertainty, Airports Face Mounting Strain
Washington D.C., October 8, 2025 – The U.S. federal government remains in the throes of a shutdown, now entering its second week, as lawmakers in Washington continue to grapple with a stalemate over federal funding for Fiscal Year 2026. This ongoing budgetary impasse, which commenced on October 1, 2025,
Via MarketMinute · October 8, 2025
Federal Reserve Minutes: Awaiting Clarity on Monetary Policy Amidst Market Uncertainty
October 8, 2025 - The financial world stands poised, eyes fixed on the release of the latest Federal Reserve minutes from the September Federal Open Market Committee (FOMC) meeting. These eagerly anticipated documents, due today, October 8, 2025, are expected to cast a revealing light on the central bank's internal
Via MarketMinute · October 8, 2025
Tech Sector Tumbles, Snapping Market Streak Amid Oracle's Slide and AI Doubts
The S&P 500 Technology sector experienced a significant downturn today, October 7, 2025, acting as a major drag on the broader market and abruptly ending what had been a robust winning streak for major indices. This sharp reversal was largely catalyzed by a notable decline in shares of software
Via MarketMinute · October 7, 2025
Northside Capital Loads Up On NextEra Energy (NEE) Stock in Q3 2025fool.com
Via The Motley Fool · October 7, 2025
Fed Governor Miran Advocates for Swift Rate Cuts Amidst Calm Bond Market, Signaling Potential Shift in Monetary Policy
Federal Reserve Governor Stephen Miran has emerged as a vocal proponent for rapid and substantial interest rate cuts, citing a remarkably calm bond market as a key indicator supporting his stance. These statements, made as of October 7, 2025, highlight a significant divergence within the Federal Reserve regarding the appropriate
Via MarketMinute · October 7, 2025
KB Home Grapples with Downgrades as Housing Sector Volatility Intensifies
Los Angeles, CA – October 7, 2025 – KB Home (NYSE: KBH), a prominent player in the U.S. homebuilding industry, is currently facing significant investor scrutiny following a series of stock downgrades from leading analyst firms. The latest adjustment occurred today, October 7, 2025, when Evercore ISI Group moved KB Home's
Via MarketMinute · October 7, 2025
NextEra Energy's Options: A Look at What the Big Money is Thinkingbenzinga.com
Via Benzinga · October 7, 2025
Navigating the Disinflationary Tightrope: How Commodity Swings and Central Bank Cuts are Reshaping the Global Economic Outlook
Global financial markets are currently grappling with the complex interplay of moderating inflation, volatile commodity prices, and evolving central bank monetary policies. As of October 7, 2025, the world economy is charting a course through a period of cautious optimism, where the aggressive rate hikes of previous years have given
Via MarketMinute · October 7, 2025
Ares Management Snags $2.9 Billion Stake In US Renewable Energy Portfoliobenzinga.com
Ares Management acquires 49% stake in EDPR's US energy portfolio for $2.9 billion, expanding its renewable portfolio to 5.7 GW in 11 states.
Via Benzinga · October 6, 2025
Navigating the Storm: Essential Strategies to Avoid 'Bag Holder' Status in Volatile Markets
The financial markets, as of October 4, 2025, continue to be characterized by a significant degree of volatility, presenting both opportunities and perilous traps for investors. In such an environment, one of the most dreaded outcomes is becoming a "bag holder" – an investor left clinging to a security that has
Via MarketMinute · October 4, 2025
Navigating the Future: Unlocking Investment Opportunities in High-Growth Sectors
As of October 2025, the global financial markets are undergoing a profound transformation, driven by an accelerating wave of technological innovation and a pressing global imperative for sustainability. This dynamic landscape is giving rise to several high-growth sectors that are not only reshaping industries but also presenting unprecedented investment opportunities.
Via MarketMinute · October 4, 2025
US Government Shutdown Casts Global Shadow: Economic Data Delays Fuel Investor Uncertainty
The United States government is currently in the throes of a shutdown, commencing at 12:01 a.m. EDT on October 1, 2025, after a congressional impasse prevented the passage of appropriations legislation for the 2026 fiscal year. This fiscal stalemate has immediately plunged global financial markets into a state
Via MarketMinute · October 3, 2025