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Exxon Mobil Corp (XOM)

Exxon Mobil Corp (XOM)
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Realtime quote and/or trades are not sourced from all markets.

Fundamentals

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  • Market Capitalization, $K 642,135,168
  • Shares Outstanding, K 4,144,947
  • Annual Sales, $ 332,238 M
  • Annual Income, $ 28,844 M
  • EBIT $ 64,046 M
  • EBITDA $ 90,039 M
  • 60-Month Beta 0.19
  • Price/Sales 1.94
  • Price/Cash Flow 11.67
  • Price/Book 2.47

Options Overview Details

View History
  • Implied Volatility 31.97% (+0.71%)
  • Historical Volatility 29.43%
  • IV Percentile 87%
  • IV Rank 75.85%
  • IV High 36.53% on 03/30/26
  • IV Low 17.68% on 12/24/25
  • Expected Move (DTE 6) 4.67 (3.01%)
  • Put/Call Vol Ratio 0.69
  • Today's Volume 59,915
  • Volume Avg (30-Day) 88,855
  • Put/Call OI Ratio 0.72
  • Today's Open Interest 1,095,725
  • Open Int (30-Day) 1,160,823
  • Expected Range 150.25 to 159.59

Analyst Rating / Earnings Estimates

Current Rating
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Moderate Buy
Based on 27 analysts offering recommendations.
Earnings Estimates - Current Qtr 06/30/26
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  • Average Estimate $3.85
  • Number of Estimates 4
  • High Estimate $4.07
  • Low Estimate $3.61
  • Prior Year $1.64
  • Growth Rate Est. (year over year) +134.76%

Price Performance

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Period Period Low Period High Performance
1-Month
143.92 +7.64%
on 05/08/26
163.68 -5.35%
on 05/20/26
+5.42 (+3.63%)
since 04/22/26
3-Month
141.97 +9.12%
on 04/17/26
176.41 -12.18%
on 03/30/26
+7.64 (+5.19%)
since 02/20/26
52-Week
101.18 +53.11%
on 05/30/25
176.41 -12.18%
on 03/30/26
+51.95 (+50.45%)
since 05/22/25

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MSTR : 159.89 (-3.01%)
ALK : 41.34 (+0.61%)
MPC : 254.65 (+2.50%)
HL : 16.98 (-1.83%)
CDE : 17.63 (-1.01%)
GLXY : 28.65 (-3.11%)
COIN : 184.99 (-4.43%)
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Barchart Technical Opinion

The Barchart Technical Opinion rating is a 72% Buy with a Weakening short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

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Business Summary

ExxonMobil's bellwether status in the energy space, optimal integrated capital structure that has historically produced industry-leading returns and management's track record of capex discipline across the commodity price cycle make it a relatively lower-risk energy sector play. The company owns some...

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Key Turning Points

3rd Resistance Point 158.30
2nd Resistance Point 156.93
1st Resistance Point 155.92
Last Price 154.92
1st Support Level 153.54
2nd Support Level 152.17
3rd Support Level 151.16

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52-Week High 176.41
Last Price 154.92
Fibonacci 61.8% 147.67
Fibonacci 50% 138.80
Fibonacci 38.2% 129.92
52-Week Low 101.18

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