HESS JOHN B

PrivateCIK: 1087997
Location

NEW YORK, NY

HESS JOHN B sold 69.0% of their position (810.66K shares) of CHEVRON CORP on the open market

Open‑market sale worth $157.37M — a major position exit. Review remaining holdings and any 10b5‑1 plan disclosures.

S · 8 sales
InsiderHESS JOHN BCIK 1087997
IssuerCHEVRON CORPCIK 93410
Director
Since Jul 2025
-2.60M
Net shares
Net seller
$157.37M
Total sold
8
Open market trades
0B · 8S
22
Total transactions
1.17M acquired · 3.76M disposed
Non-Derivative Transactions17

Common Stock

Indirect
S · Sale

Shares

55.51K

Price / share

$194.07

Trade value

$10.77M

% of position

20.0%
8/3/2026
278.05K222.53K

Common Stock

Indirect
S · Sale

Shares

44.49K

Price / share

$194.50

Trade value

$8.65M

% of position

20.0%
8/3/2026
222.53K178.04K

Common Stock

Indirect
J · J

Shares

2.24M

Price / share

Trade value

% of position

31.0%
8/3/2026
7.24M5M

Common Stock

Indirect
J · J

Shares

+9.12K

Price / share

Trade value

% of position

125.1%
8/3/2026
7.29K16.40K

Common Stock

Indirect
J · J

Shares

+439.79K

Price / share

Trade value

% of position

New position
8/3/2026
0.00439.79K

Common Stock

Direct
J · J

Shares

+8.10K

Price / share

Trade value

% of position

2.3%
8/3/2026
356.91K365.01K

Common Stock

Direct
M · Option Exercise

Shares

+170.08K

Price / share

$55.36

Trade value

$9.42M

% of position

46.6%
8/3/2026
365.01K535.09K

Common Stock

Direct
M · Option Exercise

Shares

+243.71K

Price / share

$48.51

Trade value

$11.82M

% of position

45.5%
8/3/2026
535.09K778.80K

Common Stock

Direct
M · Option Exercise

Shares

+117.50K

Price / share

$73.21

Trade value

$8.60M

% of position

15.1%
8/3/2026
778.80K896.29K

Common Stock

Direct
M · Option Exercise

Shares

+103.77K

Price / share

$98.71

Trade value

$10.24M

% of position

11.6%
8/3/2026
896.29K1M

Common Stock

Direct
M · Option Exercise

Shares

+74.31K

Price / share

$138.10

Trade value

$10.26M

% of position

7.4%
8/3/2026
1M1.07M

Common Stock

Direct
S · Sale

Shares

174.82K

Price / share

$194.42

Trade value

$33.99M

% of position

16.3%
8/3/2026
1.07M899.55K

Common Stock

Direct
S · Sale

Shares

25.18K

Price / share

$195.28

Trade value

$4.92M

% of position

2.8%
8/3/2026
899.55K874.38K

Common Stock

Direct
S · Sale

Shares

90.03K

Price / share

$192.75

Trade value

$17.35M

% of position

10.3%
8/3/2026
874.38K784.35K

Common Stock

Direct
S · Sale

Shares

118.66K

Price / share

$193.29

Trade value

$22.94M

% of position

15.1%
8/3/2026
784.35K665.69K

Common Stock

Direct
S · Sale

Shares

271.95K

Price / share

$194.48

Trade value

$52.89M

% of position

40.9%
8/3/2026
665.69K393.74K

Common Stock

Direct
S · Sale

Shares

30.03K

Price / share

$195.14

Trade value

$5.86M

% of position

7.6%
8/3/2026
393.74K363.71K
Total

Net shares

1.89M

Net value

-$107.02M

Derivative Transactions5

Non-Qualified Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

170.08K shares

Shares

170.08K

Strike price

55.36

Held after

0.00

Exercisable

8/3/2026

Non-Qualified Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

243.71K shares

Shares

243.71K

Strike price

48.51

Held after

0.00

Exercisable

8/3/2026

Non-Qualified Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

117.50K shares

Shares

117.50K

Strike price

73.21

Held after

0.00

Exercisable

8/3/2026

Non-Qualified Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

103.77K shares

Shares

103.77K

Strike price

98.71

Held after

0.00

Exercisable

8/3/2026

Non-Qualified Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

74.31K shares

Shares

74.31K

Strike price

138.10

Held after

0.00

Exercisable

8/3/2026
Non-Derivative Holdings (Post-Transaction)2

Common Stock

Indirect
Shares owned29.47K

Common Stock

Indirect
Shares owned307.50K
Total
336.97K indirect336.97K
Derivative Holdings (Post-Transaction)0
No derivative holdings reported