v3.26.1
Oxy Stock Fund (Tables) - EBP 001
12 Months Ended
Dec. 31, 2025
EBP, Investment, Fair Value and NAV [Line Items]  
Schedule of Net Assets
Information regarding the net assets and the significant components of the changes in net assets relating to the Oxy Stock Fund, which includes both participant-directed and non-participant-directed investments, is as follows (amounts in thousands):
 
As of December 31,
20252024
Net assets:
Short-term investment fund$10,126 $12,014 
Occidental common stock509,069 583,387 
Interest and dividends receivable29 30 
$519,224 $595,431 
Year ended December 31,
20252024
Changes in net assets:
Contributions$115,592 $110,796 
Investment income12,073 10,585 
Net depreciation in fair value of investments(100,234)(122,137)
Transfers between funds(64,987)(76,693)
Benefits paid to participants(38,477)(45,219)
Administrative expenses(174)(160)
Changes in net assets$(76,207)$(122,828)
Schedule of Fair Value Measurement
The following tables provide the fair value measurement information for the Oxy Stock Fund as of December 31, 2025 and 2024 as discussed in Note 3 (amounts in thousands). 
Assets at fair value as of
December 31, 2025
Level 1Total
Common stock
Occidental Petroleum Corporation$509,069 $509,069 
Total assets the fair value hierarchy509,069 509,069 
Investments measured at NAV:
Short-term investment fund10,126 
Assets at fair value$509,069 $519,195 
Assets at fair value as of
December 31, 2024
Level 1Total
Common stock
Occidental Petroleum Corporation$583,387 $583,387 
Total assets the fair value hierarchy583,387 583,387 
Investments measured at NAV:
Short-term investment fund12,014 
Assets at fair value$583,387 $595,401