K-Line Chart, actual market data is subject to the trading page.
Key Data
Prev. Open
$143.44
Prev. Close
$140.95
Prev. Day's Range
$139.81 - $143.99
52W Range
$102.27 - $175.22
Trading Volume
12.867M
MC
$587.298B
P/E Ratio
23.0x
EPS
$6.16
Company Overview
NYSE
Exxon Mobil Corporation, stylized as ExxonMobil, is an American multinational oil and gas corporation headquartered in Irving, Texas. It is the largest direct descendant of John D. Rockefeller's Standard Oil, and was formed on November 30, 1999 by the merger of Exxon (formerly the Standard Oil Company of New Jersey) and Mobil (formerly the Standard Oil Company of New York). ExxonMobil's primary brands are Exxon, Mobil, Esso, and ExxonMobil Chemical. ExxonMobil is incorporated in New Jersey.
SectorENERGY
IndustryOIL & GAS INTEGRATED
Headquarters22777 SPRINGWOODS VILLAGE PARKWAY, SPRING, TX, UNITED STATES, 77389-1425
ExxonMobil, commonly known by its stock ticker XOM, is a leading global energy company. Its core business includes the exploration, production, refining, and distribution of oil and natural gas, as well as the manufacturing of petrochemical products. The company operates across multiple segments such as upstream, downstream, and chemical operations.
ExxonMobil operates in the energy sector and is part of the oil and gas integrated industry. It is one of the major players globally, with operations spanning the entire value chain, from upstream exploration to downstream refining and chemical manufacturing.
ExxonMobil primarily generates revenue through the sale of crude oil, natural gas, refined petroleum products, and chemical derivatives. Its upstream operations focus on exploration and production, while downstream operations refine crude oil into various energy products like gasoline, diesel, and jet fuel. Additionally, the chemical business contributes to its revenue through manufacturing and selling plastics and industrial products.
Yes, ExxonMobil is known for its consistent dividend payments to shareholders. It has a strong track record of maintaining dividends, even during challenging market conditions, making it attractive to income-focused investors. However, dividend payments depend on the company’s financial health and market conditions.
Key risks for ExxonMobil include volatile oil and gas prices, regulatory pressures related to carbon emissions, and competition from renewable energy sources. Additionally, geopolitical instability in regions where the company operates could impact its production or supply chains. Investors should consider these factors when evaluating the stock.
ExxonMobil faces competition from other global oil and gas majors, including Chevron (CVX), BP (BP), Shell (SHEL), and TotalEnergies (TTE). These companies also operate across the energy value chain and compete in areas like exploration, refining, and the transition to renewable energy.
ExxonMobil has opportunities to expand its portfolio into renewable energy through investments in carbon capture technologies, biofuels, and hydrogen. Although its core business remains oil and gas, the company has announced initiatives to reduce emissions and invest in sustainable energy solutions as part of its long-term growth strategy.
ExxonMobil's valuation is influenced by factors such as its scale, revenue streams, and operational efficiency within the oil and gas industry. Investors often compare metrics like price-to-earnings (P/E) ratio and dividend yield against peers such as Chevron and BP to assess competitiveness. However, market conditions and commodity price trends can significantly affect valuations.
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