Overall, ExxonMobil demonstrates a strong business quality with significant competitive advantages and a history of robust performance. Its future prospects are bolstered by a solid growth pipeline and innovation in product solutions, although market volatility and dependence on policy support present challenges.
Analysis Date: January 31, 2025 Last Updated: May 29, 2025
+37%
+3.2% per year
Past performance does not guarantee future results. The data presented is indicative and may not be updated in real-time.
CountryUS
ExchangeNYSE
IndustryOil & Gas Integrated
SectorEnergy
Market Cap$462.72B
CEOMr. Darren W. Woods
Exxon Mobil Corporation is a large company that finds and produces oil and natural gas, which are important energy sources. They operate in different areas: they explore for oil and gas, refine it into fuels like gasoline and diesel, and create chemical products used in everyday items. They also work on new technologies to capture and store gases that can harm the environment. Overall, Exxon Mobil plays a key role in providing energy and products that people use in their daily lives.
Core Products
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Crude OilExploration and production
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Natural GasExtraction and sales
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Carbon CaptureStorage and management
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PetrochemicalsManufacture and trade
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Petroleum ProductsRefined fuels and oils
Business Type
Business to Business
Competitive Advantages
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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.
Graham Value Metrics
Benjamin Graham's value investing approach focuses on finding stocks with a significant margin of safety between their intrinsic value and market price.
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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.
Income Statement Flow
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About Profitability Metrics
Profitability metrics measure a company's ability to generate earnings relative to its revenue, operating costs, and other relevant metrics. Higher values generally indicate better performance.
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XOM Stock Analysis: Exxon Mobil Corporation Investment Guide
XOM (Exxon Mobil Corporation) is a Energy company listed on New York Stock Exchange. The stock has generated 3.2% annual returns with an overall investment score of None/100.
Overall, ExxonMobil demonstrates a strong business quality with significant competitive advantages and a history of robust performance. Its future prospects are bolstered by a solid growth pipeline and innovation in product solutions, although market volatility and dependence on policy support present challenges.
XOM Key Financial Metrics
XOM financial analysis includes comprehensive valuation ratios, profitability metrics, and financial health indicators. The company has a valuation score of 4.954985534366319/100 and profitability score of 2.5/100 with financial health rated 5.45/100.
About Exxon Mobil Corporation
Exxon Mobil Corporation is a large company that finds and produces oil and natural gas, which are important energy sources. They operate in different areas: they explore for oil and gas, refine it into fuels like gasoline and diesel, and create chemical products used in everyday items. They also work on new technologies to capture and store gases that can harm the environment. Overall, Exxon Mobil plays a key role in providing energy and products that people use in their daily lives.
XOM Investment Recommendation
Based on our comprehensive analysis of XOM, investors should consider the company's positive performance track record, earnings consistency (6/10 quarters beat expectations), and current valuation metrics when making investment decisions.
Energy Sector Analysis
XOM operates in the Oil & Gas Integrated industry within the Energy sector. This analysis compares Exxon Mobil Corporation performance against industry and sector benchmarks to provide context for investment decisions.
Frequently Asked Questions about XOM Stock
Is XOM a good investment?
XOM (Exxon Mobil Corporation) has generated 3.2% annual returns with an overall score of None/100. Overall, ExxonMobil demonstrates a strong business quality with significant competitive advantages and a history of robust performance. Its future prospects are bolstered by a solid growth pipeline and innovation in … Investors should consider their risk tolerance and investment goals when evaluating XOM.
What is XOM P/E ratio and valuation?
XOM valuation metrics including P/E ratio, price-to-book ratio, and price-to-sales ratio are analyzed on this page with comparisons to Oil & Gas Integrated industry and Energy sector benchmarks. The company currently has a valuation score of 4.954985534366319/100.
Should I buy XOM stock now?
The decision to buy XOM stock should be based on comprehensive analysis of financial metrics, market conditions, and individual investment goals. Our analysis provides profitability score of 2.5/100, financial health score of 5.45/100, and detailed performance metrics to help inform your investment decision.
What are XOM financial health indicators?
XOM financial health analysis includes liquidity ratios, debt levels, cash flow metrics, and profitability indicators. The company has a financial health score of 5.45/100 based on comprehensive analysis of balance sheet strength and operational efficiency.
How does XOM compare to competitors?
XOM performance is benchmarked against Oil & Gas Integrated industry peers and Energy sector averages. Our analysis includes comparative valuation ratios, profitability metrics, and growth indicators to provide context for Exxon Mobil Corporation's market position.
What are XOM historical returns?
XOM has generated 3.2% annual returns over the 10Y. Historical performance analysis includes price appreciation, dividend yields, and total shareholder returns compared to market benchmarks.
XOM Key Investment Metrics Summary
Annual Return: 3.2%
Valuation Score: 4.954985534366319/100
Profitability Score: 2.5/100
Financial Health Score: 5.45/100
Growth Score: -3.0787459494867715/100
Earnings Beat Rate: 6/10 quarters
Sector: Energy
Industry: Oil & Gas Integrated
Exchange: New York Stock Exchange
Market Cap: 462724304889
XOM Investment Thesis
Exxon Mobil Corporation (XOM) represents a conservative investment opportunity in the Energy sector. With an overall score of None/100, the company demonstrates areas for financial improvement.
Investment Strengths
Attractive PE Ratio
Reasonable Price-to-Sales Ratio
Strong Return on Equity
Healthy Net Profit Margin
Low Debt Levels
Strong Interest Coverage
Strong Competitive Advantages
Record Production and Earnings
Commitment to Low-Carbon Solutions
Robust Growth Pipeline
Innovation in Product Solutions
Investment Risks
High Price-to-Cash Flow Ratio
Moderate Operating Profit Margin
Low Cash Ratio
Market Volatility Risks
Dependence on Policy Support for New Markets
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