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Exxon Mobil (XOM)

117.02
-0.33 (-0.28%)
NYSE · Last Trade: Nov 21st, 12:33 AM EST
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Detailed Quote

Previous Close117.35
Open117.98
Bid117.04
Ask118.00
Day's Range116.74 - 119.01
52 Week Range97.80 - 123.21
Volume14,540,652
Market Cap495.41B
PE Ratio (TTM)33.63
EPS (TTM)3.5
Dividend & Yield3.960 (3.38%)
1 Month Average Volume14,365,091

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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

Inflation's Stubborn Grip: A Divided Fed Navigates Economic Uncertainty Amidst Data Blackout
As of November 20, 2025, the specter of elevated inflation continues to cast a long shadow over the U.S. economy, placing the Federal Reserve in a precarious position as it grapples with its dual mandate of price stability and maximum employment. With key inflation metrics persistently above the central
Via MarketMinute · November 20, 2025
Nvidia's Post-Earnings Plunge: AI Darling "Crushed" Amidst Valuation Fears and Macro Headwinds
Nvidia (NASDAQ: NVDA), the undisputed titan of the artificial intelligence (AI) chip market, experienced a dramatic and unsettling reversal on November 20, 2025, with its stock "turning red" and closing significantly lower despite reporting blowout third-quarter fiscal 2026 earnings. After an initial surge that saw shares climb as much as
Via MarketMinute · November 20, 2025
These 2 Magnificent High-Yield Dividend Stocks are Teaming Up to Enhance Their Growth Profilesfool.com
These top energy dividend stocks are partnering on a new expansion project.
Via The Motley Fool · November 20, 2025
September Jobs Report: A Delayed Snapshot Reveals Nuanced Labor Market, Complicating Fed's Path Forward
WASHINGTON D.C. – November 20, 2025 – After a significant delay caused by a 43-day federal government shutdown, the September 2025 jobs report was finally released today, painting a complex picture of the U.S. labor market. The report, initially due on October 3rd, offers a belated but crucial snapshot, revealing
Via MarketMinute · November 20, 2025
QCP Capital Declares 'Late-Cycle Bloom,' Dismissing 'Recessionary Gloom' for Global Markets
Singapore, November 20, 2025 – In a significant divergence from prevailing market anxieties, QCP Capital, a prominent force in digital asset and global macro analysis, has put forth a compelling "late-cycle bloom" thesis, challenging the widespread "recessionary gloom" narrative. This outlook suggests that global financial markets are not on the precipice
Via MarketMinute · November 20, 2025
Safe & Green Holdings Pivots to Integrated Energy, Exits Modular Housing in Bold Strategic Shift
Safe & Green Holdings (NASDAQ: SGBX) has announced a profound strategic overhaul, formally transitioning from its roots in modular home construction to emerge as an integrated energy enterprise. This significant pivot, driven by its Olenox subsidiary, marks a decisive move into high-demand sectors such as industrial builds, AI data centers, and
Via MarketMinute · November 20, 2025
Global Markets in a Late-Cycle Bloom, Not Recessionary Gloom, Says QCP Capital, Signaling Sustained Commodity Demand
Global financial markets, as assessed by QCP Capital, are currently exhibiting distinct characteristics of a late-cycle economic expansion rather than the early tremors of a recession. This nuanced perspective, highlighted in recent market observations around November 18-20, 2025, posits a resilient global economy, driven by robust corporate earnings and sustained
Via MarketMinute · November 20, 2025
US Jobs Report Smashes Expectations, Sending Rate Cut Hopes Reeling
The latest US jobs report, covering October 2025 and released in early November, has delivered a powerful jolt to financial markets, significantly exceeding economists' predictions. This unexpected show of strength in the labor market is prompting a dramatic reassessment of the Federal Reserve's monetary policy trajectory, effectively pushing back the
Via MarketMinute · November 20, 2025
ExxonMobil Acquires 40% Stake In Enterprise's Bahia NGL Pipelinebenzinga.com
ExxonMobil acquires 40% stake in Enterprise's 550-mile Bahia NGL pipeline, expanding capacity to 1 million BPD and connecting Midland and Delaware basins to Mont Belvieu.
Via Benzinga · November 20, 2025
What every Chevron Investor Should Know Before Buyingfool.com
The oil and gas giant's prioritization of profits over production could lead to steady gains in the years ahead.
Via The Motley Fool · November 20, 2025
Energy Sector Navigates Tumultuous Waters as Oil Prices Tumble Amidst Geopolitical Crosscurrents
The S&P 500 Energy Sector is experiencing a period of heightened volatility on November 19, 2025, as a significant downturn in oil prices clashes with an intricate web of geopolitical tensions. While some market reports indicate the sector was among the worst performers today, declining by roughly 1.7%
Via MarketMinute · November 19, 2025
Federal Reserve's Internal Rift: A December Rate Cut Hangs in the Balance, Signaling Monetary Policy Uncertainty
The Federal Reserve finds itself at a critical juncture, grappling with a pronounced division among its officials regarding the necessity and timing of a December interest rate cut. This internal debate, laid bare in recent discussions, introduces a significant layer of uncertainty into financial markets and the broader economy. What
Via MarketMinute · November 19, 2025
Commodity Futures Face Bifurcated Future Amidst Geopolitical Volatility and Green Transition
November 19, 2025 - The global commodity futures market is currently navigating a period of intense volatility and strategic recalibration. While overall commodity price indices are projected to see a modest contraction through 2026, marking a fourth consecutive year of moderation, this aggregate trend masks a deeply bifurcated market. Investors
Via MarketMinute · November 19, 2025
Geopolitical Storm Brews: Energy Markets Brace for Volatility Amidst Global Tensions
Global energy markets are once again grappling with the profound and often immediate impact of escalating geopolitical tensions and political instability in key producing regions. From the battlefields of Eastern Europe to the volatile corridors of the Middle East, the specter of conflict is casting a long shadow over the
Via MarketMinute · November 19, 2025
The Great Divergence: Oil Faces Oversupply While Natural Gas Powers Up for 2026
November 19, 2025 – As the global financial markets look ahead to 2026, a significant divergence is emerging in the outlook for the oil and gas sectors. While crude oil markets are poised to grapple with an increasing supply surplus and downward pressure on prices, natural gas is set to experience
Via MarketMinute · November 19, 2025
Abaxx Exchange Ignites Commodity Markets with Cloud-Native Tech, Ramping Up Volumes in LNG, Gold, and Battery Metals
A new era in commodity trading is dawning as Abaxx Exchange and Clearinghouse (ABXX.NE:ABXX) rapidly expands its footprint across critical global markets, including Liquefied Natural Gas (LNG), gold, and essential battery metals. Distinguishing itself with a cutting-edge, cloud-native technology stack, Abaxx is poised to revolutionize real-time digital asset
Via MarketMinute · November 19, 2025
Commodities Conclude November 19th with Mixed Signals: Natural Gas Rallies Amid Cold Snap, Grains See Minor Adjustments
November 19, 2025 – Commodity markets closed today with a mosaic of movements, as natural gas staged a notable rally driven by impending cold weather, while agricultural staples like canola and wheat experienced minor, yet distinct, fluctuations. The day's trading highlighted the intricate dance between weather patterns, global supply-demand dynamics, and
Via MarketMinute · November 19, 2025
Oil Prices Tumble Amidst Oversupply Concerns, Casting Shadow on Energy Sector Stocks
New York, NY – November 19, 2025 – The global energy sector finds itself at a critical juncture today, as oil prices experienced a significant downturn, signaling growing concerns about an oversupplied market. Both West Texas Intermediate (WTI) and Brent crude futures tumbled by approximately 3%, reacting sharply to a third consecutive
Via MarketMinute · November 19, 2025
Inflation's Relentless Grip: Markets Brace for a 'Higher-for-Longer' Reality
Global financial markets are grappling with persistent inflation concerns in November 2025, leading to increased volatility and a pervasive sense of caution among investors. Despite some regional signs of moderation, underlying price pressures remain stubbornly high in key economies, challenging central banks and fundamentally reshaping investment strategies. This prolonged inflationary
Via MarketMinute · November 19, 2025
1 Top High-Yield Dividend Stock to Buy and Hold Through at Least 2030fool.com
Chevron expects to deliver high-octane growth through 2030.
Via The Motley Fool · November 19, 2025
Global Markets Grapple with Persistent Inflation and High Interest Rates, Fueling Investor Volatility
As November 2025 unfolds, the global financial landscape remains under the persistent shadow of elevated inflation and a complex, albeit moderating, interest rate environment. This intricate economic backdrop is casting a pall over global markets, leading to pronounced investor volatility and significantly impacting commodity prices. While some regions show signs
Via MarketMinute · November 19, 2025
The M&A Tidal Wave: How Corporate Giants Are Reshaping the Global Market Landscape
The global financial markets are currently experiencing a significant surge in mergers and acquisitions (M&A) activity, marking a robust rebound from earlier subdued periods. As of late 2024 and extending into 2025, companies across diverse sectors are engaging in strategic consolidations, multi-billion-dollar takeovers, and tactical divestitures, fundamentally redrawing the
Via MarketMinute · November 19, 2025
1 Magnificent High-Yield Dividend Stock Down 16% to Buy and Hold Foreverfool.com
This high-yield dividend legend is poised to ramp up its cash flow over the next five years.
Via The Motley Fool · November 18, 2025
Oil Markets Navigate Choppy Waters: Brief Rebounds Amidst Looming Oversupply
As November 2025 unfolds, global oil markets are experiencing a period of significant volatility, characterized by intermittent price rebounds that momentarily lift the energy sector, even as underlying concerns about oversupply and moderating demand persist. While recent geopolitical tensions have triggered short-lived surges in crude benchmarks, the broader outlook points
Via MarketMinute · November 18, 2025
Oil Prices Surge Amid Geopolitical Tensions and Supply Fears, Rattling Global Markets
November 18, 2025 – Global oil prices experienced a dramatic rebound today, defying earlier bearish forecasts and sending ripples through financial markets worldwide. Both benchmark crude contracts, West Texas Intermediate (WTI) and Brent, saw significant gains, lifting the entire energy sector and reigniting concerns about inflation and consumer spending. This unexpected
Via MarketMinute · November 18, 2025