Exxon Mobil (XOM)
115.46
-0.48 (-0.42%)
NYSE · Last Trade: Oct 28th, 12:28 PM EDT
Detailed Quote
| Previous Close | 115.94 |
|---|---|
| Open | 115.49 |
| Bid | 115.44 |
| Ask | 115.47 |
| Day's Range | 115.14 - 116.18 |
| 52 Week Range | 97.80 - 123.21 |
| Volume | 2,792,198 |
| Market Cap | 488.79B |
| PE Ratio (TTM) | 14.73 |
| EPS (TTM) | 7.8 |
| Dividend & Yield | 3.960 (3.43%) |
| 1 Month Average Volume | 12,800,995 |
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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
As of October 2025, sustainable investing, once a niche consideration, has firmly cemented its position as a central pillar of global financial markets. Environmental, Social, and Governance (ESG) factors are no longer merely ethical add-ons but are now critical drivers influencing investment decisions, corporate strategies, and ultimately, company valuations. This
Via MarketMinute · October 28, 2025
The financial markets are currently navigating a turbulent sea of commodity price fluctuations, with significant shifts in the values of crude oil, gold, and agricultural products sending ripple effects across various stock market sectors. As of October 28, 2025, a notable divergence in commodity performance is dictating the fortunes of
Via MarketMinute · October 28, 2025
The global financial landscape in late 2025 is increasingly shaped by a complex web of geopolitical tensions, creating an environment of heightened uncertainty and volatility in stock markets worldwide. From the lingering shadows of the Russia-Ukraine conflict to the ongoing instability in the Middle East and the delicate dance of
Via MarketMinute · October 28, 2025
As October 2025 draws to a close, the specter of inflation continues to cast a long shadow over global financial markets, presenting both challenges and opportunities for investors. While recent data suggests a slight moderation, the annual inflation rate in the United States remains stubbornly above the Federal Reserve's target,
Via MarketMinute · October 28, 2025
Investors looking to boost their passive income in 2026 have come to the right place.
Via The Motley Fool · October 28, 2025
All of these dividend growth stocks are in line to become Dividend Kings.
Via The Motley Fool · October 28, 2025
A long runway for growth and a wellspring of data will usher this tech titan into an exclusive society.
Via The Motley Fool · October 28, 2025
The S&P 500 Energy sector finds itself once again at the nexus of global forces, with its performance today, and indeed in the foreseeable future, inextricably linked to the unpredictable dance of commodity prices, geopolitical maneuvering, and shifting global demand. While specific real-time performance data remains elusive at the
Via MarketMinute · October 27, 2025
Institutional Heavyweight Sheds Exxon Mobil Stock, According to Recent SEC Filing
Via The Motley Fool · October 27, 2025
The Dow Jones Industrial Average (DJIA) recently achieved a significant milestone, surging by over 200 points to close at an unprecedented all-time record high in October 2025. This remarkable ascent is a powerful testament to renewed market confidence and a confluence of positive economic indicators, sending a clear signal of
Via MarketMinute · October 27, 2025
Energy giant ExxonMobil filed a lawsuit in a U.S. federal court challenging new California laws requiring large companies to disclose their value chain greenhouse gas emissions and report on climate-related risks.
Via Talk Markets · October 27, 2025
Investors are gearing up for a jam-packed week of earnings featuring several big tech names and retail-trader favorites.
Via Benzinga · October 27, 2025
Market Uncertainty Redefines Energy Strategies This year has put the energy sector in a not so stable territory, with crude oil prices seesawing due to a potent mix of trade disputes, supply chain upheavals, and geopolitical unrest.
Via Benzinga · October 24, 2025
New York, NY – October 25, 2025 – The global stock market concluded the week ending October 25, 2025, with a powerful upward trajectory, pushing major indices to unprecedented record highs. This robust performance was largely fueled by a cooler-than-expected inflation report from the U.S. and a cascade of positive corporate
Via MarketMinute · October 25, 2025
Buy and hold these stocks and watch your returns compound -- just like the Oracle of Omaha.
Via The Motley Fool · October 24, 2025
Global financial markets are experiencing a complex and volatile day, marked by a significant 5% surge in oil prices following new, stringent U.S. and EU sanctions on major Russian oil companies. This dramatic move in the energy sector is driving a notable rally in energy stocks and contributing to
Via MarketMinute · October 23, 2025
The highly anticipated Consumer Price Index (CPI) report for September 2025, slated for release on Friday, October 24, 2025, is poised to be a pivotal moment for the US economy, the Federal Reserve's monetary policy, and investor sentiment. Coming amidst a period of limited economic data due to a recent
Via MarketMinute · October 23, 2025
The S&P 500 Energy sector demonstrated a powerful performance today, October 23, 2025, acting as a significant catalyst for the broader market's upward movement. This robust showing was primarily driven by a dramatic surge in crude oil futures, which saw both West Texas Intermediate (WTI) and Brent benchmarks climb
Via MarketMinute · October 23, 2025
Global commodity markets are currently navigating a treacherous landscape marked by extreme volatility, a direct consequence of escalating geopolitical tensions, divergent monetary policy shifts, and persistent supply chain disruptions. As of October 23, 2025, an unpredictable confluence of these forces has unleashed sharp and often sudden price swings across a
Via MarketMinute · October 23, 2025
ONEOK’s 6% Dividend Draws Smart Money Despite a Nearly 30% Drop
Via The Motley Fool · October 23, 2025
Financial markets are bracing for a pivotal "Economic Friday" on October 24, 2025, as a trio of crucial data releases – the Consumer Price Index (CPI), Purchasing Managers' Index (PMI), and New Home Sales – are poised to offer a comprehensive snapshot of the U.S. economy. These indicators, scheduled for release
Via MarketMinute · October 23, 2025
The global oil market is once again demonstrating its inherent volatility, with prices experiencing a dramatic surge on October 23, 2025. This sudden rebound follows a period of significant oversupply and subdued demand, primarily driven by new, stringent U.S. sanctions imposed on Russia's two largest oil producers, Rosneft and
Via MarketMinute · October 23, 2025
October 23, 2025 – The global crude oil market was rocked today by a significant 5% surge in prices, directly following the United States' announcement of new, sweeping sanctions against Russia's two largest oil producers, Rosneft PJSC and Lukoil PJSC. This aggressive move by the Trump administration, aimed at intensifying pressure
Via MarketMinute · October 23, 2025
Washington D.C. – October 23, 2025 – In a move described as an "unprecedented escalation," the U.S. Treasury Department on October 22, 2025, imposed sweeping sanctions on Russia's two largest oil companies, Rosneft (MCX: ROSN) and Lukoil (MCX: LKOH). This decisive action, coming swiftly after President Trump's cancellation of a
Via MarketMinute · October 23, 2025
New York, NY – October 23, 2025 – The financial markets today presented a complex tapestry of forces, with the Dow Jones Industrial Average (DJIA) experiencing volatile movements as investors grappled with intensifying U.S.-China trade relations, a mixed bag of corporate earnings reports, and a significant surge in oil futures.
Via MarketMinute · October 23, 2025