XOM logo
ExxonMobil Holdings Corporation
XOM
164.05 (0.00%) 0.00
Market cap
$674.56(B)
Earnings date
Oct-09-2026
Category
Sector
Energy
Industry
Oil Gas and Consumable Fuels
ExxonMobil Holdings Corporation engages in the exploration and production of crude oil and natural gas in the United States Canada and internationally. The company operates through Upstream Energy Products Chemical Products and Specialty Products segments. Its Upstream segment explores for and produces crude oil and natural gas. The Energy Products segment offers fuels aromatics and catalysts as well as licensing services. Its Chemical Products segment manufactures and sells olefins polyolefins and intermediates. The Specialty Products segment offers finished lubricants basestocks waxes synthetics elastomers and resins. It is also involved in the manufacture trade transport and sale of crude oil natural gas petroleum products petrochemicals and other specialty products; and pursuit of lower-emission and business opportunities including carbon capture and storage hydrogen lower-emission fuels Proxxima resin systems carbon materials low-carbon data center and lithium. In addition the company offers aviation fuel. It sells its products under the Exxon Esso and Mobil brands. The company was formerly known as Exxon Mobil Corporation and changed its name to ExxonMobil Holdings Corporation in July 2026. ExxonMobil Holdings Corporation was founded in 1870 and is headquartered in Spring Texas.
EV: $716.13(B)
Total Equity: $266.11(B)
Debt/Equity: 0.16
Dividend/share: $4.1
Div. yield: 2.49%
P/E: 21.14
Forward P/E: 13.72
P/FCF: 22.08
P/S: 1.92
P/B: 2.60
EPS: $7.8
EPS (fwd): $12.0
FCF/share: $7.4
Revenue/share: $85.5
Book value/share: $63.1
ROIC: 9.6%
ROA: 6.8%
ROE: 11.7%
Margins: Gross | Op. | Net
29.8% | 11.4% | 9.1%
0.0%of Portfolio
My holdings
Day change
Total change
PEvaluation
37%
$103
Valuation summary
Min—
Max—
Average—
Median—
Valuation comparison
Current price$164
Quality checklist score
3/8
Based on your selected metrics.
Debt/Equity < 1 Current Ratio > 1 Past Net Income CAGR > 0%
5Y Shares Out Change < 0% ROIC > 10% Quick Ratio > 1 Net Margin > 10% Est. EPS Growth > 5%

TTM Financials

Income (TTM)

RevenueGrossNet
Revenue$361.06(B)
Gross profit$107.47(B)
EBITDA$67.94(B)
Net income$32.76(B)
Gross margin29.8%
Operating margin11.4%
Net margin9.1%
Shares outstanding4.11(B)

Balance sheet

Cash & ST inv.Other ST assetsLong term assetsCurrent liabilitiesLong term debtOther LT liabilitiesEquity
Total assets$464.48(B)
Current assets$100.79(B)
Total liabilities$198.37(B)
Current liabilities$88.83(B)
Cash & Short-term inv.$10.59(B)
Long-term debt$29.86(B)
Total intangibles$0
PP&E$296.30(B)

Cash flow (TTM)

CFOCFICFF
FCF$30.55(B)
CapEx$-29.17(B)
Dividends paid$-17.24(B)
Stock issued$0
Stock repurchased$-20.51(B)
Stock-based comp.$1000.00(M)
Debt issued$10.06(B)
Debt repaid$-7.46(B)

Per share data (TTM)

Price
Price
$164
Income
Revenue
$85.5•1.9x|52.1%
Gross profit
$26.1•6.3x|15.9%
Earnings (EPS)
$7.76•21.1x|4.7%
Cash flow
FCF
$7.43•22.1x|4.5%
Stock-based comp.
$0.24•674.6x|0.1%
CapEx
$7.09•23.1x|4.3%
Dividend
$4.08•40.2x|2.5%
Balance sheet
Total assets
$113•1.5x|68.9%
Total liabilities
$48.2•3.4x|29.4%
Book value
$63.1•2.6x|38.5%
Cash & ST inv.
$2.57•63.7x|1.6%
Debt
$7.26•22.6x|4.4%
Forward earnings
EPS FY+1
$12.0•13.7x|7.3%
EPS FY+2
$11.1•14.8x|6.8%
EPS FY+3
$10.4•15.8x|6.3%
EPS FY+4
$10.3•15.9x|6.3%
EPS FY+5
$11.2•14.6x|6.8%
Forward FCF
FCF FY+1
$12.1•13.5x|7.4%
FCF FY+2
$12.0•13.7x|7.3%
FCF FY+3
$11.1•14.7x|6.8%
FCF FY+4
$8.63•19.0x|5.3%
FCF FY+5
$9.15•17.9x|5.6%

Summary

XOM Valuation & Price Targets

Favorite Valuation Methods

PEvaluation
—
Analyst targets
—
DCF (2-stage)
—

More Valuation Methods

DCF (simple)
—
DCF (exit mult.)
—
DDM
—
EPS growth
—
Revenue growth
—
Peter Lynch FV
—
Graham No.
—

PEvaluation

CURRENT PRICE
$164
37% Overvalued
BEAR
BASE
BULL
Fair P/E
Margin of safety
EPS
Market Model
ROICRevenue growthFCF MarginShares outstan...Debt/EquityDebt/EBITDA
Economic moat: Wide

EPS Estimates

LowAvgHigh#
FY+110.412.013.621
FY+27.611.116.622
FY+38.010.412.215
FY+48.710.311.84
FY+59.111.213.43

Analyst Price Targets

CURRENT PRICE
$164
6% Undervalued
BEAR
BASE
BULL

Analyst Recommendations

Strong Buy3
Buy7
Hold15
Sell0
Strong Sell0

2-stage DCF

First Stage Duration: 5 Years
Starting Free Cash Flow
First Stage Growth Rate
Low
Mid
High
Terminal Growth Rate
Low
Mid
High
Discount Rate

Discounted Cash Flow

Forecast years: 5 Years
Terminal Growth Rate
Low
Mid
High
Discount Rate
Free cash flow estimates:
Y+1 est.
Y+2 est.
0.00%
Y+3 est.
0.00%
Y+4 est.
0.00%
Y+5 est.
0.00%

Discounted Cash Flow (exit mult.)

Forecast years: 5 Years
Exit FCF Multiple
Low
Mid
High
Discount Rate
Free cash flow estimates:
Y+1 est.
Y+2 est.
0.00%
Y+3 est.
0.00%
Y+4 est.
0.00%
Y+5 est.
0.00%

Dividend Discount Model

Annual Dividend
First Stage Length (Years): 0 Years
First Stage Growth Rate
Low
Mid
High
Final Growth Rate
Low
Mid
High
Discount Rate

EPS Growth

Forecast years: 5 Years
Starting EPS
EPS Growth Rate
Low
Mid
High
Final P/E
Low
Mid
High
Discount Rate

Revenue Growth Valuation

Forecast Years: 10 Years
Base Revenue
Revenue Growth Rate
Low
Mid
High
Final Net Margin
Low
Mid
High
Final P/E Ratio
Low
Mid
High
Discount Rate

Peter Lynch Fair Value

Earnings Per Share
Growth Rate
Low
Mid
High

Graham Formula

Earnings Per Share
EPS Growth (7-10 years)
Low
Mid
High
Government Bond Rate

Growth Estimates

Revenue

CAGR-0.7%
TTMFY+1FY+2FY+3FY+4FY+5
TTM
$361.06(B)
FY+1
12
15%
$414.91(B)
FY+2
14
1%
$409.87(B)
FY+3
12
1%
$406.06(B)
FY+4
1
15%
$345.52(B)
FY+5
1
1%
$348.19(B)

Net Income

CAGR5.2%
TTMFY+1FY+2FY+3FY+4FY+5
TTM
$32.76(B)
FY+1
19
53%
$50.02(B)
FY+2
19
11%
$44.52(B)
FY+3
15
8%
$40.82(B)
FY+4
3
2%
$39.80(B)
FY+5
3
6%
$42.27(B)

EPS

CAGR7.7%
TTMFY+1FY+2FY+3FY+4FY+5
TTM
$7.76
FY+1
21
54%
$11.96
FY+2
22
7%
$11.08
FY+3
15
6%
$10.40
FY+4
4
1%
$10.32
FY+5
3
9%
$11.22

FCF per share

CAGR4.3%
TTMFY+1FY+2FY+3FY+4FY+5
TTM
$7.43
FY+1
9
63%
$12.15
FY+2
9
1%
$11.98
FY+3
7
7%
$11.13
FY+4
2
22%
$8.63
FY+5
2
6%
$9.15

Historical Financials (in USD)

Income(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0.0100.0(B)200.0(B)300.0(B)
Revenue Operating Income Net IncomeCOGSGross ProfitTotal OpEx.R&DSG&AInterest ExpenseInterest IncomeOther Non-operating IncomePre-tax incomeIncome tax
Cash flow(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0.010.0(B)20.0(B)30.0(B)40.0(B)
Stock-based Comp. FCFCFONet IncomeD&AChange in Working CapitalCFFStock IssuedStock RepurchasedDebt IssuedDebt RepaidDividend PaidCFIAcquisitionsDivestituresCapital Expenditures
Balance sheet(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0.0100.0(B)200.0(B)300.0(B)400.0(B)
Total Assets Total LiabilitiesCurrent assetsCash and EquivalentsShort-term investmentsInventoriesReceivablesNon-current assetsNet PP&EIntangible AssetsGoodwillCurrent liabilitiesShort-Term DebtAccounts payableNon-current liabilitiesLong-Term DebtTotal Equity
Per share data(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)-2.00.02.04.06.08.010.012.0
EPS (Basic) FCF/Share Dividend/ShareEPS (Diluted)Book value/ShareCash & ST inv./ShareDebt/Share
Ratios(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0.05.010.015.020.0
P/E P/S EV/EarningsP/FCFP/BDebt/EquityPayout ratio
Margins(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0%5%10%15%20%25%
Net Income Margin Operating Margin Gross MarginEBITDA Margin
Returns(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0%5%10%15%20%
ROIC ROAROCEROE
Shares outstanding(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0.01.0(B)2.0(B)3.0(B)4.0(B)
Shares (Basic)Shares (Diluted)
Market Cap.(show more...)
Q2'20 (TTM)Q2'21 (TTM)Q2'22 (TTM)Q2'23 (TTM)Q2'24 (TTM)Q2'25 (TTM)0.0100.0(B)200.0(B)300.0(B)400.0(B)500.0(B)
Market Cap.

XOM vs Peers

Similar Companies

Ownership

Major holders

*Excludes indirect insider ownership

Insiders: 0.08%
Institutions: 67.06%
Other: 32.86%

Institutional ownership

8.08% Blackrock Inc.6.53% Vanguard Capital Manag...4.99% State Street Corporati...3.32% FMR, LLC2.82% Vanguard Portfolio Man...2.37% Geode Capital Manageme...1.76% Morgan Stanley1.56% JPMORGAN CHASE & CO1.52% Bank of America Corpor...1.47% NORGES BANK32.64% Others

Trading Summary

In the past year, insiders have sold a net of $2.40(M).

Total insider buys: $0.00
Total insider sells: $2.40(M)

In the past year, Congress members have sold a net of $83001.

Total congressional buys (avg): $16001
Total congressional sells (avg): $99002

Based on the reported ranges: buys $2002–$30000, sells $53004–$145000.

Insider transactions

$0.002026-11$0.00
$0.002026-10$0.00
$0.002026-09$0.00
$0.002026-08$0.00
$0.002026-07$0.00
$0.002026-06$0.00
$0.002026-05$0.00
$0.002026-04$0.00
$5072482026-03$0.00
$1.18(M)2026-02$0.00
$0.002026-01$0.00
$7078202025-12$0.00
$0.002025-11$0.00
DateSharesTotal ($)Price ($)NameTitle
Sell2026-03-161,080167,935155.5TALLEY DARRIN LOfficer
Sell2026-03-022,150339,313157.8TALLEY DARRIN LOfficer
Sell2026-02-093,230481,835149.2TALLEY DARRIN LOfficer
Sell2026-02-025,000698,753139.8TALLEY DARRIN LOfficer
Sell2025-12-173,000351,570117.2TALLEY DARRIN LOfficer
Sell2025-12-153,000356,250118.8TALLEY DARRIN LOfficer

Congressional trading

$0.002026-11$0.00
$0.002026-10$0.00
$0.002026-09$0.00
$0.002026-08$0.00
$0.002026-07$0.00
$0.002026-06$0.00
$0.002026-05$0.00
$0.002026-04$0.00
$0.002026-03$0.00
$0.002026-02$0.00
$750012026-01$8001
$0.002025-12$0.00
$0.002025-11$0.00
DatePoliticianPartyChamberAmount ($)
Sell2026-01-09Gilbert Ray Cisneros, Jr.DHouse$50,001 - $100,000
Buy2026-01-08John BoozmanRSenate$1,001 - $15,000
Sell2025-10-31Lisa C. McClainRHouse$1,001 - $15,000
Buy2025-10-30Lisa C. McClainRHouse$1,001 - $15,000
Sell2025-10-30Lisa C. McClainRHouse$1,001 - $15,000
Sell2025-09-16Julie JohnsonDHouse$1,001 - $15,000

Tools

Dividend Income

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The Dividend Income Calculator helps you estimate the yearly, quarterly, monthly, and daily income of your investments.

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Required Investment

Dividend Yield
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What is the Required Investment Calculator?

The Required Investment Calculator helps you determine the amount of money you need to invest in a stock to achieve a desired dividend.

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Future Dividend Yield

Base Dividend
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What is the Future Yield Calculator?

The Future Yield Calculator helps you estimate the future dividend yield of a stock based on its current dividend, price, and expected dividend growth rate.

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Enter the base dividend, current price, number of years, and dividend growth rate. Optionally, preload stock data to automatically fetch the dividend and price. The calculator will display the current yield and the projected future yield.

Future Dividend Income

Base Dividend
Number of Years
Dividend Growth Rate
What is the Future Dividend Income Calculator?

The Future Dividend Income Calculator helps you estimate the future dividend income from your investments based on the current dividend yield and expected growth rate.

How to Use This Calculator?

Enter the current dividend yield, expected growth rate, and investment duration. Optionally, preload stock data to automatically fetch the dividend yield.