haliburton stock: Halliburton Company (HAL) — Stock Overview
Halliburton Company (HAL) — Stock Overview
haliburton stock refers to the common shares of Halliburton Company, a major U.S.-based oilfield services firm, traded under the ticker HAL on the New York Stock Exchange (NYSE). This guide explains what haliburton stock represents, how it trades, which metrics investors commonly follow, and where to find authoritative, date-stamped data. For time-sensitive figures such as price, market capitalization, dividend yields and 52‑week ranges, always consult primary sources and market-data providers listed in the “How to follow” section below.
Company profile
Halliburton is a global oilfield services and technology company that provides equipment, services and digital solutions to the energy industry. The company historically organizes operations around two principal business segments: Drilling & Evaluation and Completion & Production. These segments cover a broad range of activities including well construction, formation evaluation, wellbore tools, stimulation, and production optimization.
Headquartered in the United States, Halliburton was founded in 1919 and has grown into one of the largest providers of oilfield services worldwide. The operating performance of these service lines—driven by rig counts, oil and gas capital expenditure cycles, and technology adoption—directly influences revenue, margins and therefore the valuation and market performance of haliburton stock.
Listing and trading information
Ticker and exchange
Symbol: HAL. Primary exchange: New York Stock Exchange (NYSE). Trading currency: USD. Normal trading hours for NYSE-listed stocks are 09:30–16:00 ET on U.S. trading days; many investors also monitor pre-market and after-hours activity through market-data providers.
Market identifiers and instruments
haliburton stock is primarily available as ordinary common shares (ticker HAL) on the NYSE. Related financial instruments and access points include:
- Options: Exchange-listed call and put options on HAL are available on U.S. options exchanges for hedging and speculative strategies.
- ETFs: HAL is commonly held in energy and oilfield-services sector ETFs—check ETF holdings to see the exact weightings and how exposure to haliburton stock is obtained indirectly.
- ADRs: Halliburton’s primary listing is U.S.-domiciled common stock; there are generally no separate ADRs for HAL because it already trades in U.S. markets.
- Indices: HAL may be a component of sector and large-cap indices; confirm current index membership via index providers and company disclosures.
When choosing a trading venue for haliburton stock, consider execution quality, fees, available order types, and extended-hours access. For Web3 wallet or crypto-linked offerings, Bitget Wallet and trading services on Bitget can be referenced for integrated account solutions—confirm whether HAL trading products (such as tokenized equities) are supported per local regulations.
Trading characteristics
haliburton stock is typically a large‑cap, liquid security relative to smaller energy names, but liquidity and volume fluctuate with sector cycles. Typical daily trading volume and intraday behavior are date‑specific: as markets react to earnings reports, macro energy news, or commodity swings, the stock can show elevated volatility during and after U.S. market hours. For current average daily volume and liquidity metrics, consult market-data providers and exchange statistics.
Historical stock performance
Price history and major milestones
The long-term price path of haliburton stock has been shaped by oil price cycles, industry consolidation, major contracts, and macroeconomic events. Notable inflection points often correspond with:
- Earnings reports and multi-quarter guidance updates.
- Industry-wide shocks (for example, material declines in commodity prices, demand shocks or supply disruptions).
- Strategic corporate actions such as divestitures, mergers, or significant capital-allocation announcements.
For date-stamped numerical milestones (such as 52‑week highs and lows or recovery from major drawdowns), always refer to a current quote source. For example, as of 2026-01-28, readers should verify the most recent 52‑week range and major historical peaks through reputable market-data outlets.
Charts and technical indicators
Analysts and traders use several chart types and technical indicators to evaluate haliburton stock behavior:
- Chart types: Line charts for long-term trends, candlestick charts for intraday and swing analysis.
- Moving averages: Commonly used simple and exponential moving averages (50‑day, 200‑day) to assess trend direction and dynamic support/resistance.
- Momentum indicators: Relative Strength Index (RSI), MACD for detecting momentum shifts or divergences.
- Volatility and beta: Beta versus the market and implied volatility from options can indicate sensitivity to market moves and expected future swings.
These signals are tools for market participants and must be interpreted with fundamental context—an oilfield-services company will often move on commodity and rig-count developments that render purely technical signals incomplete without sector knowledge.
Financial metrics and valuation
Key financials
Investors commonly track revenue, net income, earnings per share (EPS), and EBITDA as primary metrics for haliburton stock. Brief definitions:
- Revenue: Total sales from services and products in a reporting period.
- Net income: Profit after expenses, interest, taxes, depreciation and amortization.
- EPS: Net income divided by diluted shares outstanding; used to compare profitability on a per-share basis.
- EBITDA: Earnings before interest, taxes, depreciation and amortization—often used as a proxy for operating cash generation.
Current quarter and annual figures should be sourced directly from the latest Halliburton 10‑Q/10‑K or company earnings release. For example, as of 2026-01-28, consult Halliburton’s investor relations site and SEC filings for the most recent reported revenue and EPS figures before quoting any numbers regarding haliburton stock.
Valuation ratios
Key valuation ratios used when assessing haliburton stock include price‑to‑earnings (P/E), forward P/E, enterprise value to EBITDA (EV/EBITDA), price‑to‑book (P/B), and dividend yield. What they show:
- P/E and forward P/E: How much investors are paying for historical and projected earnings.
- EV/EBITDA: Useful for comparing companies with different capital structures by incorporating debt into valuation.
- P/B: Compares market value to book (accounting) equity—sometimes useful for asset-heavy industrials.
- Dividend yield: Annual dividend per share divided by current share price—indicates cash return to shareholders but varies with stock price.
Comparing haliburton stock to peers like Schlumberger and Baker Hughes on these ratios can show whether the market values Halliburton at a premium or discount on a relative basis. Use up‑to‑date consensus data from market-data providers and company filings when performing comparative valuation—the exact figures are date-dependent and must be verified before making conclusions.
Balance sheet and leverage
Equity investors pay attention to Halliburton’s debt levels, debt/equity ratio, cash on hand, and liquidity metrics such as current ratio. Leverage influences financial flexibility, interest expense sensitivity, and resilience through oil‑price troughs—factors that affect the risk profile of haliburton stock.
Check the latest balance sheet in the company’s 10‑Q/10‑K for current debt maturities, credit facilities and covenants. For any valuation or risk assessment tied to haliburton stock, always reference the most recent filing date for accurate leverage metrics.
Dividends and capital allocation
Dividend policy and history
Halliburton has historically paid dividends, but dividend amounts and policies can change with earnings, cash flow, and strategic priorities. Any quoted dividend per share, yield or ex‑dividend dates are time‑sensitive. For example, as of 2026-01-28, readers should verify the current annual dividend amount and the yield on haliburton stock via the company’s dividend announcement or reputable market-data pages.
When evaluating dividend sustainability for haliburton stock, consider payout ratio (dividends per share divided by EPS) and free cash flow coverage; companies in cyclical industries often adjust payouts during downturns.
Share repurchases and other returns
Management may return capital via share repurchases, in addition to or instead of dividends. Buyback programs reduce shares outstanding and can be an important driver of per‑share metrics if executed at accretive prices. Track announced repurchase authorizations, repurchase pace and how management frames capital-allocation priorities in earnings calls and investor presentations when analyzing haliburton stock.
Corporate actions and insider activity
Insider transactions
Reported insider buying or selling can be informative but requires careful interpretation. An insider sale could be routine (e.g., tax planning or diversification) and not reflect the company outlook; conversely, insider buying can be perceived as confidence in future prospects. For verified filings on insider transactions affecting haliburton stock, consult SEC Form 4 filings and aggregated trackers on reputable market-data sites.
Share splits, spin-offs, M&A and restructurings
Over time, corporate actions such as share splits (adjusting nominal share price), spin‑offs (separating businesses) and significant M&A deals materially affect share count and capitalization. Any historical record of splits, material acquisitions/divestitures or restructurings should be documented in company press releases and SEC filings; these events often lead to re-rating or reset investor expectations for haliburton stock.
Earnings and investor events
Quarterly earnings
Halliburton reports quarterly results on a set schedule—earnings releases typically include revenue, EPS, segment performance and management commentary. Investors watching haliburton stock focus on beats/misses relative to consensus, guidance changes, and segment trends (drilling activity, completions, production services). The timing of earnings releases and historic beats/misses can be found on the company’s investor relations calendar and earnings press releases.
Investor presentations, guidance and calls
Investor presentations, earnings-call transcripts and forward guidance are primary sources for management’s view on demand, capex trends and cost structure. These materials are typically posted on Halliburton’s investor relations site and are crucial for interpreting the near‑term catalysts for haliburton stock.
Analyst coverage and market sentiment
Consensus ratings and price targets
Sell‑side analysts publish ratings (commonly categorized as Buy / Hold / Sell or equivalent) and price targets that reflect their valuation and forecast. A consensus rating aggregates these views; a consensus price target summarizes median or mean expectations. Changes to consensus ratings or significant target revisions can move haliburton stock in the short term. When reading analyst commentary, note the date of reports and whether assumptions (oil price, rig count, capex) differ materially among analysts.
Institutional ownership and short interest
Institutional ownership levels indicate which asset managers and funds hold haliburton stock and can impact share liquidity and stability. Short interest—shares sold short divided by float—reveals bearish positioning and potential for short-covering squeezes under certain conditions. For current percent-of-float and major institutional holders, check the latest 13F filings and market-data providers; all such figures are date-stamped and change over time.
Investment considerations and risks
Business and industry drivers
Key drivers for haliburton stock include:
- Oil and gas commodity prices, which affect operator budgets for drilling and completions.
- Rig counts and activity levels, which drive demand for services.
- Energy capital expenditure cycles and oilfield technology adoption.
- Macro trends such as global economic growth, which influence energy demand.
Understanding these drivers helps contextualize earnings season moves and longer-term valuation shifts in haliburton stock.
Company-specific risks
Risks that materially affect haliburton stock include operational incidents (safety, environmental), contract concentration with large E&P customers, geopolitical exposures in certain operating jurisdictions, regulatory changes, and environmental liabilities. These are typically discussed in company SEC filings under risk factors—review the latest 10‑K for an up‑to‑date list.
Market/financial risks
Interest-rate changes, macroeconomic downturns, currency fluctuations and liquidity/valuation risk can also influence haliburton stock performance. Leverage magnifies these effects; therefore, debt maturity schedules and refinancing risk deserve attention when assessing downside scenarios.
Comparison with peers
Direct competitors
Halliburton competes with major oilfield services companies operating globally. Key peers include large, full-service providers and more specialized vendors. When comparing haliburton stock to peers, consider scale, international footprint, service mix, margin profiles and capital allocation practices. Use current valuation multiples and operational metrics from company reports for accurate peer benchmarking.
Sector and index context
haliburton stock’s performance is often correlated with the broader Energy sector and commodity cycles. It’s also useful to review how HAL contributes to sector ETFs and indices: during sector rotations, HAL’s weighting and relative performance can influence portfolio-level returns.
Regulatory, legal and ESG factors
Regulatory and legal issues
Material regulatory investigations, litigation or remediation obligations can affect investor perception and intrinsic value. Any such developments are disclosed in SEC filings (8‑K, 10‑Q, 10‑K) and company press releases—consult those primary sources for the latest, date-stamped information about matters that could influence haliburton stock.
ESG and sustainability
ESG considerations—carbon-emissions disclosures, methane management, environmental remediation policies and workforce safety—are increasingly relevant to investor appetite and cost of capital. Halliburton publishes sustainability reporting and targets; ESG assessments by rating agencies may affect access to certain institutional investor pools and influence the narrative around haliburton stock.
How to follow and where to get data
Official sources
Primary, authoritative sources for factual claims about haliburton stock include:
- Halliburton investor relations site for press releases, investor presentations, and the earnings calendar.
- SEC filings (Form 10‑Q, 10‑K, 8‑K, Form 4 for insider transactions) for legally required disclosures and material events.
- Earnings call transcripts and slide decks posted by the company on the investor relations page.
Always reference the filing/report date when using these documents: for example, “As of 2026-01-28, according to Halliburton’s investor relations site, the company’s latest 10‑Q shows…” and cite SEC filing accession numbers when possible.
Market data and news providers
For market quotes, historical price charts, analyst estimates and consensus figures for haliburton stock, use reputable market-data providers and financial news outlets. Typical sources include finance portals and business news organizations that provide timestamped quotes, average daily volumes, and aggregated analyst data. When citing any numerical market metric for haliburton stock (price, market cap, dividend yield, volume), include the data source and the reporting timestamp—for example, “As of 2026‑01‑28, according to Yahoo Finance…”.
Historical milestones and notable events
A concise, chronological summary of material corporate and market events that have influenced haliburton stock might include:
- Founding and early growth milestones (company origins and initial public presence).
- Major technology or service launches that expanded addressable markets.
- Significant acquisitions or divestitures changing scale or strategic focus.
- Periods of industry stress (significant oil-price collapses) and subsequent operational responses.
- Leadership changes and changes in capital-allocation policy (dividend initiations, suspensions, large buyback authorizations).
For any event cited in relation to haliburton stock, indicate the date and primary source—news release or SEC filing—so readers can validate the chronology.
References
Every numerical or time‑sensitive claim about price, market capitalization, dividend, insider transactions and earnings should be cross-referenced to primary sources such as SEC filings and the company’s investor relations materials, or reputable market-data outlets. Example reference phrasing to use when updating this article: “As of [date], according to [source] (e.g., Yahoo Finance, Reuters, MarketWatch, Halliburton IR), haliburton stock closed at [price] with a market cap of [value].”
External links
For up‑to‑date information on haliburton stock, consult the following types of sources (search these names directly in your browser or market terminal):
- Halliburton Investor Relations
- SEC Filings search for HAL
- Major financial news and market-data pages with HAL ticker coverage (finance portals, business news sites, analyst research aggregators)
See also
- Schlumberger
- Baker Hughes
- Oilfield services industry
- Energy sector ETFs
- List of S&P 500 companies (if HAL is a component at your time of reference)
Notes on sourcing and currency of data
Stock market data are time‑sensitive. Any numerical values (price, market cap, dividend yields, 52‑week ranges, daily volume) must be dated and sourced. A suggested citation form is: “As of YYYY‑MM‑DD, according to [source], haliburton stock [metric description].” Before making decisions or quoting figures from this article, please verify the latest numbers from primary sources such as the Halliburton investor relations page and SEC filings or from market-data providers that publish timestamped quotes.
How to track haliburton stock on Bitget
If you use Bitget for trading or custody services, check the platform for supported US-equity trading products, related ETFs, and whether tokenized or synthetic exposure to haliburton stock is available and compliant in your jurisdiction. For on‑chain custody and Web3 wallet needs, consider Bitget Wallet as an integrated option; always confirm product availability and regulatory status for HAL exposure through the Bitget platform before transacting.
This article is intended as an informational overview only and does not constitute investment advice. All investors should perform their own due diligence and consult primary sources and professional advisors.
Further exploration: to dig deeper into the latest financials, view Halliburton’s most recent 10‑K/10‑Q, read transcript summaries of the latest earnings call, and monitor sector reports covering rig counts and energy capex trends to understand near‑term implications for haliburton stock.
Example date-stamped reference (update when publishing): As of 2026-01-28, according to Yahoo Finance, please verify HAL’s closing price, market cap, dividend yield and 52‑week range on the site’s HAL quotation page before using those numbers. For insider transactions, check the SEC Form 4 filings and MarketBeat’s aggregated coverage for recent disclosures as of the same date.





















