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XOM · Exxon Mobil Corporation

Largest western oil major — upstream, refining, chemicals, Guyana growth

Risiko 4/10 · MODERATE RISK · commodity-cycle major · $159.47 ▼ 1.69%Von KI geschrieben

Stand der Zahlen: · Quellen: öffentliche Markt-Aggregatoren

Kennzahlen

  • Price $159.47
  • Market cap $655.7B
  • P/E (ttm) 20.52
  • Div yield 2.54%
  • 52-wk range $108.35 – $176.41
  • Index rank #19 / —

Wichtigste Risiken

  • Oil price collapse guts earnings and buybacks (Shareholders) — HIGH
  • Long-run demand erosion from the energy transition (Shareholders) — MED
  • Geopolitical shocks around key producing assets (Shareholders) — LOW
  • Climate litigation and policy tightening (Shareholders) — LOW

Fazit

As good as commodity exposure gets, but it is still commodity exposure — size it for the cycle, not against it.

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⚠️ Independent research for a video, not financial advice. Figures from public sources/aggregators, can be stale; risk scores are editorial estimates. Verify before relying on any of it.