Exxon Mobil Corp Overview
XOM was traded at $112.1200 as of 2025-06-13.

Exxon Mobil Corp (XOM)
Quarterly Financials
Annual Financials
Asset Type: Common Stock
Sector: ENERGY & TRANSPORTATION
Industry: PETROLEUM REFINING
Description: 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.
Address: 5959 LAS COLINAS BLVD, IRVING, TX, US
CIK: 34088
Exchange: NYSE
Currency: USD
Country: USA
Fiscal Year End: December
Latest Quarter: June 30, 2024
Market Capitalization: 534,338,961,000
EBITDA: 70,902,997,000
PE Ratio: 14.29
PEG Ratio: 6.150
Book Value: 60.41
Dividend Per Share: 3.76
Dividend Yield: 0.0318
EPS: 8.36
Revenue Per Share (TTM): 84.41
Profit Margin: 0.099
Operating Margin (TTM): 0.134
Return on Assets (TTM): 0.074
Return on Equity (TTM): 0.147
Revenue (TTM): 345,134,989,000
Gross Profit (TTM): 133,715,000,000
Diluted EPS (TTM): 8.36
Quarterly Earnings Growth (YOY): 0.104
Quarterly Revenue Growth (YOY): 0.120
Analyst Target Price: 130.86
Analyst Ratings (Strong Buy): 5
Analyst Ratings (Buy): 12
Analyst Ratings (Hold): 11
Analyst Ratings (Sell): 0
Analyst Ratings (Strong Sell): 0
Trailing PE: 14.29
Forward PE: 13.61
Price to Sales Ratio (TTM): 1.548
Price to Book Ratio: 1.98
EV to Revenue: 1.607
EV to EBITDA: 7.40
Beta: 0.877
52 Week High: 126.34
52 Week Low: 93.37
50 Day Moving Average: 117.54
200 Day Moving Average: 113.55
Shares Outstanding: 4,442,830,000
Dividend Date: Sept. 10, 2024
Ex-Dividend Date: Aug. 15, 2024
Official Website: https://corporate.exxonmobil.com
Financial Analysis
Valuation Overview
The company's Price-to-Earnings (P/E) ratio is 14.29, with a forward P/E of 13.61. This suggests expected earnings growth. The Price-to-Book ratio of 1.98 indicates a premium valuation relative to its assets.
Profitability Metrics
With a profit margin of 0.099% and an operating margin of 0.134%, the company demonstrates positive profitability. The Return on Equity (ROE) of 0.147% reflects its efficiency in generating returns for shareholders.
Growth Trends
Quarterly revenue growth (YOY) stands at 0.120%, and quarterly earnings growth (YOY) is 0.104%. These figures indicate positive growth momentum. The PEG ratio of 6.150 suggests higher growth expectations.
Dividend Profile
The company offers a dividend yield of 0.0318% with an annual dividend per share of $3.76. This makes it less appealing for income-focused investors.
Market Position
Trading at $112.1200 (within a 52-week range of $93.37 to $126.34), the stock's beta of 0.877 indicates lower volatility compared to the market. Analyst target price is $130.86, suggesting limited near-term growth.