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Exxon Mobil Corp.

TRADE

NYSE: XOMBasic Materials / Major Integrated Oil & Gas / USA
81.38+1.69+2.12%Vol 15 418 8521Y Perf 0.37%
Jun 22nd, 2018 16:00
BID81.42 ASK81.45
Open81.16 Previous Close79.69
Pre-Market81.03 After-Trading81.32
 1.34 1.68%  -0.06 -0.07%
Target Price
88.70 
Analyst Rating
Hold 2.77
Potencial %
8.99 
Finscreener Ranking
★★     46.47
Insiders Trans % 3/6/12M
-/-/-100 
Value Ranking
★★★     50.65
Insiders Value % 3/6/12M
-/-/-100 
Growth Ranking
★★★     52.60
Insiders Shares Cnt. % 3/6/12M
-/-/-100 
Income Ranking
★★★+     53.18
Market Cap (mil)344 844 
Earnings Rating
Sell
Price Range Ratio 52wk %
53.82 
Earnings Date
27th Jul 2018

Today's Price Range

80.9281.94

52wk Range

72.1589.30

5 Year PE Ratio Range

8.5049.20

Summary:

Buy

Technical Indicators: Neutral
Moving Averages: Strong Buy
Performance
1 Month
-0.94%
3 Months
11.65%
6 Months
-3.08%
1 Year
0.37%
3 Years
-2.60%
5 Years
-1.93%

Quotes

Name / TickerPriceChg.Chg.%
XOM81.381.69002.12
AAPL184.92-0.5400-0.29
GOOG1 155.48-2.1800-0.19
MSFT100.41-0.7300-0.72
WFC53.94-0.4300-0.79
JNJ122.841.39001.14
FB201.740.24000.12
GE13.050.29002.27
JPM105.75-1.7600-1.64
 
...

TickerPriceChg.%52 Week High
KMX80.1912.8681.67
MRO21.487.8322.12
APC74.116.6974.72
PCG42.925.9071.57
PDCO24.625.7648.29
NFX30.755.2035.20
DVN43.285.1845.16
FTI32.345.1435.00
HES64.574.6365.89
PXD185.654.29213.40
XEC97.694.18130.16
COP67.784.1071.71
SWN5.473.806.72
Financial StrengthValueIndustryS&P 500US Markets
Quick Ratio 0.40
Current Ratio 0.80
Long Term Debt to Total Capital 0.10
Total Debt to Equity 0.22
Interest Coverage 31.30
Leverage Ratio 1.90
ProfitabilityValueIndustryS&P 500US Markets
Gross Margin23.20
EBIT Margin8.40
EBITDA Margin16.50
Pre-tax Profit Margin9.50
Profit Margin8.50
ValuationValueIndustryS&P 500US Markets
PE Ratio 16.90
PB Ratio 1.81
PS Ratios 1.41
Price to Cash Flow 11.30
Price to Free Cash Flow 65.00
Cash Flow Per Share 7.13
Price to Tangible Book1.81
Book Value per Share44.45
Enterprise Value (in ths.)377 993 000
Management EffectivenessValueIndustryS&P 500US Markets
Return on Equity (5Y Avg)12.27
ROE last 12 Months 10.35
Return on Assets (5Y Avg) 5.90
ROA last 12 Months 5.45
Return on Capital (5Y Avg) 10.97
ROC last 12 Months 9.34
Return on invested Capital Q 2.11
Return on invested Capital Y9.21
Assets Turnover0.70
Receivables Turnover9.90
RevenueValueIndustryS&P 500US Markets
Revenue LTM (in ths.)241 508 000
Revenue per Share 57.04
Revenue Growth 3 Years -10.45
Revenue Growth 5 Years -13.74
DividendsValueIndustryS&P 500US Markets
Dividend Yield 4.06
Dividend Rate 3.28
Dividend Growth 3 Years3.14
Dividend Growth 5 Years5.74

Earnings HistoryEstimateReportedSurprise %
Q01 20181.141.09-4.39
Q04 20171.060.88-16.98
Q03 20170.890.934.49
Q02 20170.830.78-6.02
Q01 20170.850.9511.76
Q04 20160.720.9025.00
Q03 20160.600.635.00
Q02 20160.640.41-35.94
Earnings Per EndEstimateRevision %Trend
6/2018 QR1.20-5.51Negative
9/2018 QR1.20-3.23Negative
12/2018 FY4.78-0.83Negative
12/2019 FY5.2514.13Positive
Next Report Date27th Jul 2018
Estimated EPS Next Report1.23
Estimates Count5
EPS Growth Next 5 Years %15.00
Volume Overview
Volume15 418 852
Shares Outstanding (in ths.)4 237 460
Trades Count53 985
Dollar Volume1 190 204 891
Avg. Volume14 500 610
Avg. Weekly Volume10 328 896
Avg. Monthly Volume12 808 229
Avg. Quarterly Volume13 500 534

Bearish or Bullish?
WeekMonthThree MonthsSix Months

Bearish Bullish

100%0%

Bearish Bullish

61%39%

Bearish Bullish

62%38%

Bearish Bullish

61%39%

Analyst RatingsCurrent1 M ago3 M ago
Strong Buy
2 (15.38 %)
3 (21.43 %)
3 (20.00 %)
Moderate Buy
1 (7.69 %)
0 (0.00 %)
1 (6.67 %)
Hold
9 (69.23 %)
10 (71.43 %)
9 (60.00 %)
Moderate Sell
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Strong Sell
1 (7.69 %)
1 (7.14 %)
2 (13.33 %)
RatingHold
2.77
Hold
2.71
Hold
2.80

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