⚠ Tool for educational and informational purposes only — not investment advice or a recommendation to buy or sell. Investing carries risk of capital loss. Read the full disclaimer.

XOM — ExxonMobil Holdings Corporation

Last scan (Sept. 16, 2026): price $169.32, RSI 65.83, relative volume 0.88x, MACD 🟢 Yes, score 62.18.

It's in a bullish underlying trend (above its 200-day average), with an RSI of 65.83 in a neutral zone. The daily MACD confirms bullish momentum, and the price just broke its 20-day high — two short-term technical signals lining up. The analysts' average target price implies a modest +0.9% upside.

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Price chart

Price: $163.18 · RSI (14): 63.25 · Rel. volume: 6.29x · Breakout: Yes

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What analysts say

XOM

ExxonMobil Holdings Corporation Energy · Oil & Gas Integrated

ExxonMobil Holdings Corporation engages in the exploration and production of crude oil and natural gas in the United States, Canada, and internationally. The company operates through Upstream, Energy Products, Chemical Products, and Specialty Products segments. Its Upstream segment explores for and produces crude oil…

Buy score 2.32/5 (1 = strong buy, 5 = sell)
25 analysts
  • Buy 10 (40.0%)
  • Hold 15 (60.0%)
  • Sell 0 (0.0%)

Average target price: $170.91 (+4.5% vs. current price) · range $142.0 – $200.0

Healthy Moderate Attention No data

Market cap $672.46B

Total market value of the company (price × shares outstanding).

P/E (trailing) 21.05

P/E (trailing): compares the stock's price with its earnings per share over the last 12 months — how many times that earning is being paid for.

In a reasonable range compared to the market's historical average (~20).

P/E (forward) 15.16

P/E (forward): same as P/E, but using analysts' estimated earnings per share for the next year.

Same as P/E, using estimated future earnings.

PEG 1.4

PEG: the P/E divided by the expected earnings growth rate — relates how expensive the stock is to how fast it's expected to grow.

Between 1 and 2: the price is roughly aligned with expected growth.

Debt/Equity 15.92%

Debt/Equity: how much debt the company carries per dollar of shareholder equity — measures how leveraged the balance sheet is.

Low leverage: conservative balance sheet, less risk if interest rates rise.

Net margin 9.07%

Net margin: what percentage of each dollar of revenue ends up as net profit, after all costs.

Healthy margin for most industries.

Dividend 2.52%

Dividend: what percentage of the stock's price is paid out in cash to shareholders each year.

Pays out a portion of its earnings as cash to shareholders on a recurring basis.

Beta (risk) 0.17

Beta: how volatile the stock is compared to the overall market (S&P 500 = 1.0).

Less volatile than the overall market (S&P 500 = 1.0).

General reference ranges, do not vary by sector. Third-party data; may be incomplete. Not investment advice.

💰 Financial Statements (last 3 quarters)

💰 Financial Statements (last 3 quarters)

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What this chart shows

Third-party market data, for informational purposes. Not investment advice — read the disclaimer.