XOM

Prezzo Exxon Mobil

XOM
$150,50
+$2,31(+1,55%)

*Data last updated: 2026-04-28 19:11 (UTC+8)

As of 2026-04-28 19:11, Exxon Mobil (XOM) is priced at $150,50, with a total market cap of $615,96B, a P/E ratio of 18,06, and a dividend yield of 2,72%. Today, the stock price fluctuated between $149,81 and $152,29. The current price is 0,46% above the day's low and 1,17% below the day's high, with a trading volume of 9,70M. Over the past 52 weeks, XOM has traded between $101,18 to $176,41, and the current price is -14,68% away from the 52-week high.

XOM Key Stats

Yesterday's Close$148,91
Market Cap$615,96B
Volume9,70M
P/E Ratio18,06
Dividend Yield (TTM)2,72%
Dividend Amount$1,03
Diluted EPS (TTM)6,65
Net Income (FY)$28,84B
Revenue (FY)$323,90B
Earnings Date2026-05-01
EPS Estimate0,98
Revenue Estimate$81,13B
Shares Outstanding4,13B
Beta (1Y)0.288
Ex-Dividend Date2026-02-12
Dividend Payment Date2026-03-10

About XOM

Exxon Mobil Corporation explores for and produces crude oil and natural gas in the United States and internationally. It operates through Upstream, Downstream, and Chemical segments. The company is also involved in the manufacture, trade, transport, and sale of crude oil, natural gas, petroleum products, petrochemicals, and other specialty products; manufactures and sells petrochemicals, including olefins, polyolefins, aromatics, and various other petrochemicals; and captures and stores carbon, hydrogen, and biofuels. As of December 31, 2021, it had approximately 20,528 net operated wells with proved reserves. The company was founded in 1870 and is headquartered in Irving, Texas.
SectorEnergy
IndustryOil & Gas Integrated
CEODarren W. Woods
HeadquartersSpring,TX,US
Employees (FY)58,00K
Average Revenue (1Y)$5,58M
Net Income per Employee$497,31K

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Exxon Mobil (XOM) is currently trading at $150,50, with a 24h change of +1,55%. The 52-week trading range is $101,18–$176,41.

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Hot Posts su Exxon Mobil (XOM)

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🗓WEEKLY MARKET OUTLOOK: 📁Tuesday: Consumer Confidence; $UPS $V $KO $GM $HOOD $SPOT Earnings 📁Wednesday: Fed Meeting, Powell; $MSFT $GOOGL $AMZN $META Earnings 🚨 📁Thursday: Q1 GDP, Core PCE Index, Jobless Claims; $AAPL $SNDK $CAT $LLY $MA Earnings 📁Friday: ISM Mfg. PMI; $XOM $C Earnings 1️⃣Crude Oil climbed 2.91% to $99.17 per barrel on Tuesday as efforts to end the U.S.-Iran war appear stalled, with daily transits through the Strait of Hormuz near zero. Iran submitted a new proposal to reopen the strait contingent on the U.S. lifting its blockade, but the White House has yet to respond positively, keeping supply disruption fears elevated. 2️⃣Gold fell to a three-week low as rising crude oil prices fueled inflation concerns, strengthening the U.S. dollar and capping gold's safe-haven appeal. Analysts warn spot gold could test support at $4,600 in the near term, especially if the upcoming FOMC meeting on April 29 signals a hawkish stance. 3️⃣The S&P 500 edged up 0.12% to a record 7,173.91 and the Nasdaq Composite added 0.20% to close at 24,887.10, driven by strong performances from Nvidia and Alphabet. Only three sectors finished in the green, with gains concentrated in mega-cap tech while consumer-facing names like Domino's Pizza weighed on the broader market. 4️⃣Bitcoin slipped 0.71% to $76,820.67, pulling back after briefly surpassing $79,000 earlier in the week as investors adopted a cautious stance ahead of the FOMC meeting and ongoing U.S.-Iran diplomatic uncertainty. Ethereum similarly failed to break through the $2,400 resistance level, reflecting a broader pause in crypto momentum as macro risks dominate sentiment. #BTC #FED #Gold
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TeacherZhuBlockchain3

TeacherZhuBlockchain3

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今天继续来看美股能源篇,上次说了美股最大的石油公司-艾森克美孚,这次看下老二雪伏龙,仅次于美孚。 上次说美孚的时候应该是油价的最高峰,所以美股也创了新高,目前随着油价的回撤已经跌了15%,但是依旧在高位,但是问题不大,下次如果要打仗,这个霍尔姆此海峡海峡在关闭,那么你可以考虑这种石油龙头,涨幅会明显高于石油本身。 下面继续看美股石油龙2-雪弗龙。 一.简介 Chevron Corporation(纽约证券交易所代码:CVX)是全球领先的综合能源巨头,总部位于美国加州圣拉蒙,总市值约3680亿美元(当前股价约184.78美元)。公司业务覆盖上游(油气勘探与生产)、下游(炼油、营销与运输)以及化工领域,也造燃油车。 雪佛龙原名加利福尼亚标准石油(Standard Oil of California,简称Socal),是1911年标准石油由于反托拉斯案分裂的结果。雪佛龙是世界六大石油公司之一,是美国第二大综合能源公司(仅次于ExxonMobil)。 二.商业护城河 2.1资源优势 Chevron掌握全球优质油气资产: -Permian Basin(美国页岩核心区) -Gulf of Mexico(深水油田) -Kazakhstan Tengiz油田(超级油田) 这些资产的特点: -开采成本低 -生命周期长 -抗油价波动能力强 2.2成本控制能力(行业顶级) 在石油行业:谁能活下来,不看赚多少,看能不能扛周期。 Chevron的特点: -页岩油成本:约 \$30-\$40 /桶 -全球平均成本低于同行 -CAPEX纪律极强(不乱扩张),也就是资本开支的控制能力很强,该花钱的时候花,不该花钱死也不花。 2.3现金流机器 + 股东回报 Chevron最大的标签其实是:“现金牛公司”,他的股票长期高分红(股息率常年 3%\~5%),持续回购(近12个月回购了120亿,非常激进),并且低负债。 所以这类公司巴菲特非常喜欢,并且巴菲特在2020年开始建仓,目前已经买入了1.6亿股,是前五大重仓股。 三.财务数据 目前市值3680亿,市盈率27.8倍,相比XOM(美孚)的24倍,稍微高了一点,他的美股收益有6.67和XOM是差不多的,但是XOM的股价要比CVX要便宜。 公司的年度收入非常稳定,近三年都维持在1900亿左右,净收入从22年开始,到时在下降的,从22年的350,一直调到25年的120亿。 之前我们看过七姐妹的营收和收入,MAG7的营收几乎都是在增长的,而且像英伟达还能做到翻倍,并且科技股的净利润率也非常高,可见科技股的“可怕”!所以目前还是建议有限配置科技股。 当然并不是说这些传统能源公司不行,如果你看股价,CVX的月线表现也几乎和大盘差不多,如果从20年的低点50,到现在也涨了3倍,和科技股的周期有点相反。 在收入结构上,主要的营收还是来自于上游,也就是卖能源赚的,占比整个的75%的营收。 最后总结,我觉得目前油价还在高位,并且石油龙1,龙2都已经股价在高位了,目前短期来看是不适合入手的,等油价回到低位后,可以适当考虑布局。
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