Financial Performance
5Y price score: 217
The price score is a basic measure of the stock's performance against the S&P 500 Index over a five-year period.
A score of 100 indicates that the stock did as well as the S&P 500 Index.
A score below 100 means the stock underperformed the index, while a score above 100 means it outperformed the S&P 500.
10Y return: 91.5%
US$ Per
Share
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105.5
52-week range
176.4
Your model inputs
Your fair value & Margin of safety
To calculate fair value based on cost of capital and terminal growth assumptions above, please select free cash flow forecast.
Forecast:
Valuation
Free Cash Flow Yield
3 %
Dividend Yield TTM
2.8 %
Market cap $
$ 610,924
Price / Earnings TTM
24.9
Price / Book TTM
2.4
PEG TTM
(1.7)
Earnings growth and return
LTM
5YR
10YR
Total return (price & dividends)
35.6 %
189.5 %
91.5 %
Free cash flow per share growth
(23.3) %
996.2 %
497 %
Earnings per share growth
(14.5) %
227.6 %
74 %
Business Summary:
Latest Earnings Call Takeaways
Exxon Mobil Corporation — Financial Overview, Stock Price, Market Cap
Exxon Mobil Corporation is a company. Founded in 1999. As of July 20, 2026, the company's market capitalization is $610923762207 with a current stock price of $147.39.
