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📊 marketbrief Score For reference
Our own score derived from public financial data, ranked against sector peers. Updated daily.
3.0
/ 5.0
Hold
Grade B-, ranked against 21 peers in the Energy sector.
Valuation가치
C
Growth성장
B
Profitability수익성
C
Momentum모멘텀
B+
※ This score is informational only and not investment advice. See the methodology page for the formula. Methodology →
✍️ marketbrief View
ExxonMobil scores relatively well on both valuation (C+) and growth (B) among energy megacaps. A ~20.5x P/E is far cheaper than most growth names in this batch, and a 2.54% dividend yield adds to the appeal.
That said, as an energy company its earnings and stock price remain heavily tied to the oil price cycle. The 46.0% one-year return reflects recent oil price strength, so investors should remember this is a cyclical asset that can pull back on both earnings and price if crude weakens.
Key Stats
As of last close
Market Cap
$660.3B
PER
20.7
Dividend Yield
2.54%
52-Week High
$176.41
52-Week Low
$110.39
1-Year Return
+37.0%
