Home

NextEra Energy (NEE)

81.65
+0.44 (0.54%)
NYSE · Last Trade: Dec 13th, 2:15 PM EST
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close81.21
Open81.84
Bid81.00
Ask82.12
Day's Range81.33 - 82.27
52 Week Range61.72 - 87.53
Volume7,783,152
Market Cap-
PE Ratio (TTM)-
EPS (TTM)-
Dividend & Yield2.268 (2.78%)
1 Month Average Volume10,288,253

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

Navigating the Tempest: Strategies for Investors in a Choppy 2025 Stock Market
The global stock market is currently experiencing a period of heightened volatility and significant choppiness as of December 12, 2025, presenting a complex landscape for investors. This instability is largely driven by a confluence of evolving monetary policy, persistent inflationary pressures, anxieties surrounding the technological sector, and broader geopolitical uncertainties.
Via MarketMinute · December 12, 2025
Gold and Treasuries Soar Amidst Market Jitters: A Deep Dive into Investor Caution
The financial markets are currently witnessing an intriguing and somewhat counter-intuitive phenomenon: a significant surge in both gold prices and U.S. Treasuries. This dual rally, particularly the simultaneous rise of gold and falling Treasury yields (indicating rising bond prices), signals a profound shift in investor sentiment, driven by a
Via MarketMinute · December 12, 2025
Bond Market Watch: Treasury Yields Fluctuate, Signaling Potential Shifts in Investment Strategies
The U.S. Treasury market is currently experiencing significant yield fluctuations, particularly on the longer end of the curve, hinting at potential recalibrations in investment strategies for both fixed income and equity participants. As of December 12, 2025, a complex interplay of Federal Reserve policy, robust economic data, and global
Via MarketMinute · December 12, 2025
Federal Reserve's Dovish Signal? Unemployment Fears Outweigh Inflation Concerns, Paving Way for Rate Cuts
Federal Reserve Bank of Philadelphia President Anna Paulson has sent a clear signal to markets, indicating a potential shift in the central bank's priorities. Speaking on December 12, 2025, Paulson expressed a growing concern for the U.S. labor market, stating she is "on the margin still more worried about
Via MarketMinute · December 12, 2025
The Great Divergence: As 2025 Nears End, Markets Decouple Amidst Economic Crosscurrents
As 2025 draws to a close, global financial markets are grappling with an unprecedented phenomenon: widespread divergence. This "Great Divergence" signifies a significant decoupling where the performance of various market segments, asset classes, and even entire economies are moving in fundamentally different directions. While some indices continue to thrive, propelled
Via MarketMinute · December 11, 2025
The Green Horizon: Sustainable Investing Reshapes Global Markets Amidst Regulatory Crosscurrents
As of late 2025, sustainable investing, encapsulated by Environmental, Social, and Governance (ESG) factors, stands at a critical juncture, rapidly evolving from a niche consideration to a foundational pillar of global financial markets. With global ESG assets projected to surge past $50 trillion by year-end, representing over a third of
Via MarketMinute · December 11, 2025
Beyond AI: How Non-AI Tech Innovations are Fueling a New Era of Stock Market Growth
As 2025 draws to a close, a powerful undercurrent of technological innovation, extending far beyond the pervasive influence of artificial intelligence, is demonstrably reshaping the global stock market. From the intricate defenses of cybersecurity to the vast frontiers of space technology, and from life-saving biotechnological breakthroughs to the efficiency gains
Via MarketMinute · December 11, 2025
Global Markets Brace for 2026 Amidst Fed Easing and Economic Crosscurrents
Global stock markets are currently navigating a complex economic landscape in December 2025, characterized by a significant dovish pivot from the US Federal Reserve, persistent yet moderating inflation, and a general cooling of global growth. The Fed's third consecutive interest rate cut this year has injected a degree of cautious
Via MarketMinute · December 11, 2025
Tom Lee Predicts S&P 500 to Reach 7,700 in 2026, Signaling Fourth Year of Bull Market
New York, NY – December 11, 2025 – In a significant pronouncement that is poised to reshape market expectations for the coming year, Tom Lee, the highly regarded Head of Research at Fundstrat Global Advisors (Fundstrat), has issued a remarkably bullish forecast for the S&P 500 (SPX). Lee predicts the benchmark
Via MarketMinute · December 11, 2025
Federal Reserve Unveils T-Bill Buying Spree, Signals New Era for Market Liquidity
The Federal Reserve, on December 10, 2025, announced a significant pivot in its monetary policy, revealing plans to embark on substantial purchases of Treasury bills (T-bills) starting December 12, 2025. This move signals a definitive end to its period of quantitative tightening (QT), which officially concluded on December 1, 2025,
Via MarketMinute · December 10, 2025
US Stock Market Rides High: Fed Rate Cut Fuels Optimism as Indices Eye Record Peaks
New York, NY – December 10, 2025 – The U.S. stock market is currently experiencing a robust rally, with major indices positioned tantalizingly close to their all-time highs. This bullish sentiment, culminating in a significant surge on December 10, 2025, is largely propelled by the Federal Reserve's recent interest rate cut
Via MarketMinute · December 10, 2025
Dow Soars Nearly 500 Points as Federal Reserve Signals Dovish Path Forward
New York, NY – December 10, 2025 – The Dow Jones Industrial Average (DJIA) experienced a significant surge today, climbing nearly 500 points and at one point soaring 580 points, following the Federal Reserve's latest interest rate decision. This robust rally, pushing the blue-chip index above the 48,000 mark for the
Via MarketMinute · December 10, 2025
The Top 3 Investment Themes That Will Dominate 2026marketbeat.com
Via MarketBeat · December 10, 2025
Fluence Energy Navigates Volatility: A Deep Dive into its Stock's Tumultuous Journey and Promising Rebound
Fluence Energy (NASDAQ: FLNC) has been grappling with a significant stock downturn throughout early to mid-2025, marked by substantial share price volatility and investor concern. The energy storage solutions provider faced a confluence of challenges, including accusations of aggressive accounting practices, an ongoing SEC investigation, and repeated downward revisions of
Via MarketMinute · December 10, 2025
The Fed's Tightrope Walk: Rate Cut Looms Amidst Divided Outlook and 2026 Uncertainties
As December 10, 2025, draws to a close, financial markets are holding their breath, fixated on the Federal Reserve's imminent interest rate decision. A 25-basis-point cut is widely anticipated, a move that would mark the third consecutive reduction this year and the sixth since September 2024. This aggressive easing cycle
Via MarketMinute · December 10, 2025
Fed Signals Third Rate Cut Amidst Divided Outlook, 2026 Forecast Points to Cautious Easing
The Federal Reserve is at a critical juncture, with strong indications from its recent meeting around December 10, 2025, suggesting a potential third interest rate cut for the year. This move, widely anticipated by financial markets, aims to support economic activity amidst a cooling labor market, bringing the federal funds
Via MarketMinute · December 10, 2025
Market Holds Breath: Stocks Waver, Bonds Steady Ahead of Pivotal Fed Announcement
As of December 10, 2025, global financial markets are gripped by a palpable sense of anticipation, characterized by weakening stock performance and a relatively steady bond market, all eyes fixed on the impending Federal Reserve announcements. Investors are bracing for what is widely expected to be the year's final interest
Via MarketMinute · December 10, 2025
Value Stocks Lag Growth in S&P 500: A Deep Dive into Market Dynamics
December 9, 2025 - The financial markets are once again grappling with a familiar narrative: the persistent underperformance of value stocks relative to their growth counterparts within the S&P 500. As of December 9, 2025, while the broader market has seen stellar returns, a closer look reveals that the
Via MarketMinute · December 9, 2025
Energy Market Buzzes with Strategic Deals Amidst Shifting Commodity Landscape
The global energy market is currently experiencing a dynamic period marked by a significant surge in merger and acquisition (M&A) activities, profoundly influencing commodity prices and the performance of energy stocks. As of December 9, 2025, a flurry of strategic deals, particularly in renewable energy and key oil and
Via MarketMinute · December 9, 2025
Oil and Gas Markets Navigate Dips Amidst Shifting Fundamentals and Geopolitical Crosscurrents
December 9, 2025 – The global energy landscape is currently experiencing a notable divergence, with crude oil prices dipping to multi-month lows while natural gas markets exhibit a more nuanced, and at times, bullish outlook. This complex scenario, driven by a confluence of sustained oversupply, evolving geopolitical dynamics, and structural shifts
Via MarketMinute · December 9, 2025
The Great Uncoupling: How LNG Exports Are Forcing U.S. Natural Gas Prices Onto the Global Stage
The United States, once a bastion of relatively insulated and affordable natural gas, is experiencing a profound transformation in its energy landscape. As of December 9, 2025, the escalating demand for Liquefied Natural Gas (LNG) exports is increasingly tying domestic natural gas prices to volatile global benchmarks. This seismic shift
Via MarketMinute · December 9, 2025
The LNG Export Conundrum: Soaring Exports Drive Up Domestic Power Bills
The United States' rapid ascent as a global leader in liquefied natural gas (LNG) exports is creating a complex domestic energy landscape, directly contributing to higher natural gas prices and, consequently, increased electricity costs for American consumers and industries. This export boom, while bolstering the nation's economic output and geopolitical
Via MarketMinute · December 9, 2025
Global Markets Grapple with Geopolitical Storms: A Deep Dive into Stability and Investor Confidence
In an era increasingly defined by rapid shifts in global power dynamics and escalating regional tensions, the world's financial markets find themselves navigating a complex web of geopolitical risks. From the volatile battlegrounds of the Middle East to the persistent conflict in Eastern Europe, and the evolving landscape of international
Via MarketMinute · December 9, 2025
Navigating the Tides: Strategic Investing Ahead of Major Economic Announcements
In the dynamic world of financial markets, major economic announcements serve as pivotal junctures, capable of triggering significant shifts in asset valuations and investor sentiment. From central bank interest rate decisions to crucial inflation reports and gross domestic product (GDP) figures, these data releases often dictate the market's immediate trajectory
Via MarketMinute · December 9, 2025
JPMorgan's Cautious Outlook Rattles Dow Jones Amidst Strong Performance
JPMorgan Chase & Co. (NYSE: JPM), a titan of the financial industry and a significant component of the Dow Jones Industrial Average (DJIA), recently experienced a notable shift in market sentiment. Despite a year of robust financial performance characterized by surging earnings and revenue growth throughout 2024 and 2025, a cautious
Via MarketMinute · December 9, 2025