Exxon Mobil (XOM)

148.45
-1.48 (-0.99%)
NYSE · Last Trade: Feb 13th, 6:13 PM EST
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close149.93
Open150.55
Bid148.50
Ask148.99
Day's Range147.98 - 151.66
52 Week Range97.80 - 156.93
Volume20,153,027
Market Cap628.47B
PE Ratio (TTM)42.66
EPS (TTM)3.5
Dividend & Yield4.120 (2.78%)
1 Month Average Volume22,002,370

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About Exxon Mobil (XOM)

Exxon Mobil is a multinational oil and gas corporation engaged in the exploration, production, refining, and distribution of petroleum and petrochemical products. The company operates in various segments, including upstream operations, which involve the extraction of crude oil and natural gas, and downstream operations, which focus on refining and marketing fuels and lubricants. Additionally, Exxon Mobil invests in alternative energy solutions and technologies, contributing to ongoing efforts to address global energy challenges. With a significant presence in multiple countries, the company plays a vital role in supplying energy and products to meet the demands of consumers and industries worldwide. Read More

News & Press Releases

The Rise of the 'Super-Independent': Devon and Coterra’s $58 Billion Merger Reshapes the Shale Landscape
In a move that signals the final stage of a multi-year consolidation wave in the American energy sector, Devon Energy (NYSE: DVN) and Coterra Energy (NYSE: CTRA) announced a definitive $58 billion all-stock merger on February 2, 2026. This blockbuster transaction, framed as a "merger of equals," creates a premier
Via MarketMinute · February 13, 2026
Inflation Cools More Than Expected in January, Igniting Relief Rally Across Wall Street
The U.S. Bureau of Labor Statistics released its highly anticipated January Consumer Price Index (CPI) report on the morning of February 13, 2026, revealing that headline inflation has slowed to 2.4% year-over-year. This figure came in below the consensus economist expectation of 2.5%, marking a significant milestone
Via MarketMinute · February 13, 2026
The Birth of a $58 Billion Shale Titan: Devon and Coterra Reshape the Delaware Basin
In a move that signals the dawn of a new era for the American energy landscape, Devon Energy (NYSE: DVN) and Coterra Energy (NYSE: CTRA) have officially announced a definitive merger agreement to create a $58 billion "super-independent" powerhouse. The $21.4 billion all-stock transaction, unveiled on February 2, 2026,
Via MarketMinute · February 13, 2026
Amazon Just Achieved This Major Milestone That Only 1 Other Company Has Done Since 2001fool.com
Amazon has achieved a rare status as it continues to dominate in e-commerce and the cloud.
Via The Motley Fool · February 13, 2026
Energy Dominance: Why the S&P 500's Top Performer is Fueling the 2026 Market Rotation
As of February 12, 2026, the financial markets are witnessing a dramatic reversal of the decade-long "growth over value" narrative. In the first six weeks of the year, the S&P 500 Energy sector has surged to become the market's undisputed leader, posting a gain of over 14% and significantly
Via MarketMinute · February 12, 2026
Exxon Mobil’s Options Heat Up—31 Unusually Active Contracts Signal Key Trading Setups
Not only did Exxon Mobil have the fourth-highest Vol/OI ratio from yesterday’s unusual options activity, but it also had 31 of the top 100. There are many bets at play here. Here are three possible strategies to profit.
Via Barchart.com · February 12, 2026
Permian Powerhouse: Devon and Coterra’s $58 Billion Merger Reshapes the American Shale Landscape
In a move that signals the dawn of a new era for independent energy producers, Devon Energy (NYSE:DVN) and Coterra Energy (NYSE:CTRA) announced a definitive $58 billion merger agreement on February 2, 2026. This all-stock "merger of equals" is designed to create a premier large-cap shale operator, specifically
Via MarketMinute · February 12, 2026
Allstate Stock: Is Wall Street Bullish or Bearish?
Although Allstate has trailed the S&P 500 over the past year, Wall Street analysts maintain a moderately optimistic outlook about the stock’s prospects.
Via Barchart.com · February 12, 2026
Investors in Search of Alpha Are Fleeing Tech Stocks for These 3 High-Yield Sectors Instead
Our senior market strategist explains the secular sector rotation taking place in the market right now.
Via Barchart.com · February 12, 2026
Infosys–ExxonMobil Alliance Targets Energy-Hungry AI With Next-Gen Coolingbenzinga.com
Infosys and ExxonMobil are expanding their collaboration to develop advanced cooling technologies for data centers.
Via Benzinga · February 12, 2026
I Said I'd Buy Chevron Over ConocoPhillips in 2026, and Chevron Is Already Up 19% This Year. Is the High-Yield Dividend Stock a Buy Near Its All-Time High?fool.com
Chevron is up big in 2026 as part of a rip-roaring rally in energy stocks.
Via The Motley Fool · February 12, 2026
I Predicted That ExxonMobil Would Join the $1 Trillion Club by 2030, But the Stock Is Already Up 24% in 2026. Is the High-Yield Dividend Stock Still a Buy Now?fool.com
Energy stocks are in the spotlight, and ExxonMobil is best in breed.
Via The Motley Fool · February 11, 2026
Stock Market Today, Feb. 11: S&P 500 Flatlines as Strong Jobs Data Reduces Rate Cut Likelihoodfool.com
January's positive jobs data reduces the likelihood of upcoming Fed rate cuts, while Robinhood falls on revenue miss, today, Feb. 11, 2026.
Via The Motley Fool · February 11, 2026
The 15% Mandate: Wall Street Sets a High Bar for 2026 Amidst Tariff Tensions and Fed Transitions
As we move into the second month of 2026, the financial community has coalesced around a singular, aggressive target for the U.S. stock market: a 15% growth in earnings per share (EPS) for the S&P 500. This benchmark is not merely an optimistic forecast but is increasingly viewed
Via MarketMinute · February 11, 2026
Crude Contradiction: US Energy Sector Buffeted by 'Drill, Baby, Drill' Push and Trade War Headwinds
As of February 11, 2026, the global energy market has become a theater of conflicting forces, leaving investors and analysts grappling with unprecedented volatility. On one side, the U.S. administration’s aggressive "Drill, Baby, Drill" policy has unleashed a torrent of new domestic production, pushing West Texas Intermediate (WTI)
Via MarketMinute · February 11, 2026
The Great Regulatory Purge: Corporate America’s 'Liberation Day' Lawsuits Reshape the Market
As the Trump administration enters its second year, a seismic shift in the American legal and economic landscape is reaching a fever pitch. What began as a series of "Day One" executive orders has evolved into a massive, coordinated legal offensive by U.S. corporations to dismantle the regulatory framework
Via MarketMinute · February 11, 2026
The Great Deregulation: OBBBA’s Efficiency Purge Rewrites the American Corporate Playbook
WASHINGTON D.C. — In a sweeping transformation of the federal government not seen in decades, the Office of Budget, Balance, and Bureaucratic Accountability (OBBBA) has initiated a massive "operational efficiency" review, marking the formal beginning of what Wall Street is calling the "Great Regulatory Purge." This aggressive restructuring, authorized under
Via MarketMinute · February 11, 2026
Stalemate in Muscat: Nuclear Uncertainty Props Up Energy Prices as US Economy Shows Cracks
As of February 11, 2026, the global energy landscape finds itself trapped in a high-stakes waiting game. Despite a cooling U.S. labor market and "weaker than expected" retail sales, oil prices remain stubbornly resilient, underpinned by a thick layer of geopolitical anxiety. The primary driver is the ongoing diplomatic
Via MarketMinute · February 11, 2026
Shale Giants Unite: Devon and Coterra Announce $58 Billion Merger to Forge Delaware Basin Powerhouse
In a move that signals the next massive wave of consolidation in the American energy sector, Devon Energy (NYSE: DVN) and Coterra Energy (NYSE: CTRA) have announced a definitive agreement to combine in an all-stock "merger of equals" valued at approximately $58 billion. Announced on February 2, 2026, the transaction
Via MarketMinute · February 11, 2026
VYM vs. NOBL: Which Dividend-Focused ETF Delivers a Higher Yield and Lower Fees?fool.com
Explore how these two dividend ETFs differ in cost, sector focus, and risk to help refine your income investing strategy.
Via The Motley Fool · February 11, 2026
Washington Unlocks the Spigots: New Treasury License Sparks $100 Billion Venezuelan Oil Rush
In a move that signals the most significant realignment of Western energy interests in South America in decades, the U.S. Department of the Treasury has issued General License 48 (GL 48). This landmark policy shift authorizes U.S. companies to resume the delivery of critical oil production equipment, technology,
Via MarketMinute · February 11, 2026
Maritime Confrontation: US Tanker Seizures Ignite Fears of a 2026 Global Energy Shock
As of February 11, 2026, the global energy landscape is teetering on the edge of a significant supply disruption following a series of aggressive maritime interdictions by the United States. On February 9, US naval forces successfully boarded and seized the Aquila II, a crude oil tanker allegedly part of
Via MarketMinute · February 11, 2026
The Great Re-Balancing: IE Week 2026 Signals a Return to Sub-$60 Crude as Supply Glut Looms
As delegates and energy titans gather in London for the 2026 International Energy Week (IE Week), the mood has shifted from the supply-security anxieties of years past to a starker, more bearish reality. A new consensus has emerged among top analysts and institutional forecasters, placing the outlook for Brent Crude
Via MarketMinute · February 11, 2026
You Can Soon Trade NVDA, TSLA, META, GOOGL Futures As CME Expands Playbookstocktwits.com
The move allows traders to own a stake in mega-cap firms like Nvidia, Tesla, Meta and Alphabet, without owning the underlying shares.
Via Stocktwits · February 11, 2026
Building Dividend Income: A Steadier Approach or a Higher-Paying One With VYM and SCHDfool.com
The Vanguard High Dividend Yield ETF and the Schwab U.S. Dividend Equity ETF both aim to deliver reliable income, but they go about it in very different ways. This comparison explains which approach is better suited for investors who depend on their dividends to hold steady through changing markets.
Via The Motley Fool · February 10, 2026