Global energy markets are experiencing sudden volatility as geopolitical conflict in the Middle East and domestic pipeline disruptions drive up oil and natural gas prices. Following missile strikes on Saudi Arabia, Brent crude jumped over three percent, while a leak-induced force majeure declared by TC Energy sent natural gas futures soaring by nine percent. These sudden supply shocks impact major energy producers including Chevron and ExxonMobil, creating distinct opportunities and risks across the sector. According to the Seeking Alpha Quant Rating system, Chevron currently stands as a Strong Buy due to solid momentum and profitability, whereas TC Energy remains rated a Hold given ongoing growth challenges.
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