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exxon company stock overview

exxon company stock overview

A comprehensive, beginner-friendly reference for exxon company stock (XOM) covering listing details, market data, historical performance, dividends, risks, ownership, analyst coverage and how to ac...
2024-07-04 14:58:00
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Article rating
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113 ratings

Exxon Mobil Corporation stock

As of Jan. 23, 2026, according to Yahoo Finance and NYSE market feeds: Exxon Mobil Corporation common stock (ticker XOM) was trading in the low-to-mid $130s per share on the NYSE with daily volumes around 2–3 million shares on frequently reported trading days. This article explains what exxon company stock is, how it is listed and tracked, where to find authoritative data, and the key factors that influence its performance.

What you'll get from this page: clear definitions of exxon company stock, listing identifiers, where to find real-time quotes, long- and short-term price context, dividend and financial metric summaries, common news drivers, ownership and analyst coverage, trading characteristics and practical tips for finding official data or trading via Bitget.

Company overview

Exxon Mobil Corporation is a large-cap integrated energy company organized in the United States. The company's primary business lines include Upstream (exploration and production of crude oil and natural gas), Downstream (refining, marketing and distribution), and Chemical (manufacture and sale of petrochemicals and plastics). Exxon is headquartered in Irving, Texas, and traces its corporate origins to early 20th-century firms that merged into the modern company. Exxon operates globally with tens of thousands of employees and operations spanning exploration regions, refining hubs and chemical plants around the world.

The phrase exxon company stock refers specifically to the publicly traded common equity issued by Exxon Mobil Corporation (ticker XOM). For investors and market participants, exxon company stock functions as a major component of U.S. energy-sector exposure and is commonly included in energy indexes and many equity portfolios.

Stock identifiers and listing information

  • Ticker symbol: XOM (common stock)
  • Primary exchange: New York Stock Exchange (NYSE)
  • ISIN: US30231G1022 (common stock ISIN for Exxon Mobil Corporation)
  • Share class: Common stock (single publicly traded common class for ordinary shares)
  • Trading hours: Regular NYSE hours (typically 09:30–16:00 ET), with pre-market and after-hours trading available on many trading platforms
  • Listing history: Exxon Mobil common stock has been listed on the NYSE for decades; the company’s investor relations pages and the exchange record listing events such as stock splits historically and any other corporate actions.

These identifiers are the standard references used by financial-data providers, brokerages, analysts and the company itself when reporting quotes, filings and historical charts for exxon company stock.

Market data and real-time quotes

Real-time, delayed and end-of-day quotes for exxon company stock are published by a range of market-data vendors and the exchange.

  • Data fields commonly shown in quotes: last price, change (absolute and percentage), bid / ask, volume, average volume (e.g., 3-month ADTV), market capitalization, P/E ratio, EPS (TTM), dividend yield, 52-week high/low, and intraday charts.
  • Where to find quotes: major financial portals and market-data terminals (for example, Yahoo Finance, CNBC quote pages, Google Finance, TradingView) provide delayed or real-time data depending on the feed and user access level; Exxon Mobil’s investor relations pages publish official corporate announcements and may include a company quote widget tied to exchange data.

As an example of a market snapshot: as of Jan. 23, 2026, NYSE reporting summarized in public market feeds showed exxon company stock trading in the low-to-mid $130s per share on that trading date, with single-day volumes reported on the NYSE most-active list in the range of roughly 2–3 million shares (source: Yahoo Finance / NYSE market feed).

Note: data refresh frequency and latency vary by source. Exchange feeds and regulated market terminals deliver the most authoritative, low-latency data. Retail platforms may show delayed quotes for free users.

Historical price performance

Understanding exxon company stock performance requires looking at both long-term trends (decades) and recent movements (1-year, year-to-date and recent months). Historical data can be adjusted for dividends and stock splits to show total return.

Long-term performance (decades)

Exxon Mobil is one of the major integrated oil companies and has a multi-decade public trading history. Over long horizons, exxon company stock has reflected the commodity cycle for crude oil and natural gas, strategic corporate capital allocation decisions (dividends, buybacks, M&A), and macroeconomic conditions. Long-term charts available from providers such as Macrotrends and TradingView show cumulative returns across multiple decades and allow users to view dividend-adjusted price series that incorporate splits and cash payouts.

Long-term investors often measure exxon company stock performance on a total-shareholder-return basis, combining share-price appreciation with dividends reinvested. Over different multi-year windows, total returns have varied widely depending on oil price cycles, major economic recessions, and company actions. Historical peaks and troughs often coincide with major commodity-price shocks, financial crises, or periods of sustained demand growth or contraction.

Recent performance (1Y, YTD, recent months)

As a sector-sensitive large-cap, exxon company stock typically shows correlation with energy commodity prices (WTI/Brent crude) and with broader market trends when energy names lead or lag the market. For example, during the reporting period around January 2026, energy producers broadly benefited from rising crude prices—news feeds on Jan. 23, 2026 noted WTI crude moved higher that session, providing upward pressure on energy equities and helping lift exxon company stock into the $130s.

For specific recent performance metrics (1-year % change, YTD return, volatility snapshots), consult adjusted historical price tables from Macrotrends, TradingView or the exchange’s historical data tools. These providers deliver downloadable price series that are suitable for performance measurement and backtesting.

Financial metrics and valuation

Analysts and investors use a standard set of financial metrics to evaluate exxon company stock. These metrics are reported by data providers (e.g., Yahoo Finance, Morningstar, TradingEconomics) and in company filings.

Common metrics and where they come from:

  • Market capitalization: share price × outstanding shares (reported in quote summaries)
  • Earnings per share (EPS, TTM): trailing twelve months of net income attributable per share (reported by company and compiled by data vendors)
  • Price-to-earnings (P/E) ratio: share price divided by EPS (TTM)
  • Price-to-sales (P/S): share price relative to sales per share or market cap divided by revenue
  • Dividend yield: annual dividend per share divided by current share price
  • Free cash flow, return on equity (ROE), debt metrics (net debt / EBITDA) and other operating metrics: found in quarterly and annual financial statements and summarized by data providers like Morningstar

As of Jan. 23, 2026, authoritative quote pages (source: Yahoo Finance, Morningstar) publish the latest market-cap figure, P/E, EPS (TTM) and forward estimates. For precise numeric values at a point in time, refer to those live quote pages and the company’s SEC filings; the values change with market moves and new earnings releases.

Dividends and shareholder returns

Exxon has a longstanding history of paying regular cash dividends to shareholders. Key points for exxon company stock dividends:

  • Dividend policy: Exxon has typically paid quarterly dividends and targets returning capital to shareholders through a mix of dividends and share repurchases when appropriate.
  • Yield: The dividend yield for exxon company stock varies with price and declared payout. As of late January 2026, public quote pages reported Exxon’s dividend yield in the mid-single-digit percentage range; check the company’s dividend page or Yahoo Finance for the up-to-date yield and forward dividend amount.
  • Payment frequency and dates: dividends are normally paid quarterly. Important dates for shareholders include the record date and ex-dividend date—these are published by Exxon Mobil and data providers ahead of payment.
  • Total shareholder return (TSR): T SR includes price appreciation plus dividends reinvested; many long-term analyses of exxon company stock report TSR over 1-year, 5-year and 10-year windows using dividend-adjusted series from historical-data providers like Macrotrends.

Dividend cash flow is a meaningful part of Exxon’s investor value proposition; however, dividend yield and sustainability depend on commodity prices, operating cash flow and corporate capital-allocation decisions.

Quarterly and annual results

Earnings releases and financial reports are primary drivers of short-term stock moves for exxon company stock. Exxon typically issues:

  • Quarterly earnings releases (summary results and management commentary)
  • Form 10-Q (quarterly) and Form 10-K (annual) filings with management discussion and audited financials
  • Conference calls and investor presentations that detail segments (Upstream, Downstream, Chemical), production guidance, capital-expenditure plans, and cash-return programs

Reported items that tend to influence short-term stock reactions include revenue, net income, EPS, realized commodity prices, production volumes, refining margins, project start dates or delays, and forward guidance. For example, the fourth-quarter earnings calendar in January 2026 included reports from major energy companies (including Exxon Mobil) and broader market commentary that influenced short-term energy-sector moves (source: Jan. 23, 2026 market calendar reporting).

For the most current earnings dates, access Exxon Mobil’s investor relations schedule and the official filings available via the company’s reporting channels.

Major corporate events and news drivers

Exxon Mobil stock is sensitive to a set of recurring event categories that investors track closely:

  • Commodity price swings: changes in crude oil and natural gas prices (WTI/Brent) are primary inputs to Exxon’s revenues and cash flows. Rising crude typically improves upstream cash generation and can lift exxon company stock, while sharp price declines have the opposite effect.
  • Project milestones and production updates: major growth projects (for example, offshore developments or Guyana-region discoveries) can be long-duration value drivers; execution delays or cost-overruns can weigh on sentiment.
  • Geopolitical developments and sanctions: political actions in oil-producing regions (sanctions, conflicts or regulatory changes) may affect supply expectations and thus the company’s operating environment.
  • Mergers, acquisitions and divestitures: large corporate actions alter the company’s asset mix and capital allocation strategy and often result in re-rating by analysts.
  • Capital allocation changes: announcements on dividends, share buybacks and debt repayment materially affect investor returns and perceived shareholder friendliness.
  • Regulatory and ESG developments: environmental regulations, litigation and investor attention to emissions targets or transition planning are increasingly important for energy-sector valuations.
  • Macro items and market breadth: broad market earnings trends (for example, the Jan. 2026 earnings season commentary showing S&P 500 EPS growth expectations) and financial conditions can move exxon company stock in concert with or contrary to peers.

News and analyst coverage around these topics frequently cause intraday and multi-day moves in exxon company stock.

Ownership and major shareholders

Ownership in exxon company stock is typically split between institutional investors, mutual funds, ETFs, retail holders and insiders. Key points:

  • Institutional ownership: pension funds, asset managers and mutual funds often hold substantial positions in Exxon; institutional ownership percentages and changes are tracked via SEC filings (Form 13F) and data aggregators like Morningstar.
  • Insider holdings: corporate officers and directors report holdings in public filings and periodic disclosures.
  • ETFs and index funds: many large energy ETFs and broad-cap equity ETFs include exxon company stock as a top or significant holding, affecting passive flows into the share.

To verify the latest ownership breakdown (institutional vs. retail, largest shareholders), consult quarterly 13F aggregations, company proxy statements and data providers that compile holdings.

Analyst coverage and ratings

Exxon company stock is widely covered by sell-side and independent equity analysts. Common elements of analyst coverage:

  • Consensus ratings and price targets: aggregated buy/hold/sell recommendations and target-price medians are published by advisory services and portals such as Morningstar and CNBC quote summaries.
  • Earnings estimates: analysts provide forward EPS and revenue estimates that influence forward P/E and valuation expectations. During earnings season (e.g., Jan. 2026), analyst revisions and guidance commentary are influential.
  • How to interpret coverage: a distribution of buy/hold/sell opinions and a range of price targets gives context; investors should consider analyst assumptions about oil prices, production, capex and capital returns when comparing forecasts.

Remember that analyst opinions are not guaranteed and reflect assumptions; users should consult a range of sources and Exxon’s own guidance for a complete picture.

Trading characteristics and liquidity

Exxon company stock is a highly liquid large-cap equity with these typical characteristics:

  • Average daily trading volume: XOM normally trades several million shares per day; on certain sessions (for example, Jan. 23, 2026), NYSE most-active lists showed session volumes in the 2–3 million share range for Exxon, consistent with a liquid blue-chip name (source: NYSE market feed / Yahoo Finance reporting).
  • Float and free float: a large portion of shares are available for public trading, with institutional holders owning a significant share; float data are published by data providers.
  • Bid-ask costs and options liquidity: XOM is a heavily traded option underlying with liquid calls and puts — a relevant detail for sophisticated traders.
  • Volatility profile: the stock’s beta tends to correlate with energy-sector moves and the commodity cycle; exxon company stock often exhibits lower realized volatility than smaller upstream pure-plays but higher sensitivity to oil-price shocks than defensive sectors.

These trading features make exxon company stock tradable by retail and institutional clients with generally tight spreads in normal market conditions.

Risks and investment considerations

This section summarizes principal risks relevant to exxon company stock. The list is informational and neutral in tone—intended to help readers understand exposures that frequently appear in corporate disclosures and analyst reports.

  • Commodity price risk: fluctuations in oil and gas prices directly affect revenues, margins and cash flow.
  • Regulatory & legal risk: environmental regulation, climate-related policies and litigation (including liabilities tied to historic operations) can affect costs and capital requirements.
  • Geopolitical exposure: operations in or related to foreign jurisdictions can face political, security or sanctions risks.
  • Transition / ESG risk: the global energy transition and changing demand patterns for fossil fuels create strategic and asset-repricing risks.
  • Execution risk: delays, cost overruns or operational issues at major projects can reduce expected future cash flows.
  • Macroeconomic sensitivity: global economic cycles influence energy demand and capital markets, which in turn affect stock prices.

These risk categories are commonly disclosed in Exxon’s filings and discussed by analysts; they should be reviewed alongside financial statements and management commentary for a full assessment.

Corporate governance and management

Exxon’s corporate governance structure, board composition and executive leadership are regularly reported in annual proxy filings and investor materials. Key governance points often reviewed by investors include:

  • Board makeup and independence: composition of the board, committee structures (audit, compensation, governance) and director tenure.
  • CEO and senior management: the CEO’s background and stated strategic priorities (e.g., capital discipline, production growth, emissions targets) affect investor perception.
  • Executive compensation themes: pay-for-performance structures tied to operational, financial and ESG metrics are reported in the annual proxy.

Any notable governance changes, director elections or compensation controversies are disclosed in the proxy materials and may influence investor sentiment for exxon company stock.

Related securities and instruments

Investors can access Exxon exposure through multiple instruments:

  • Common stock (XOM): the primary equity exposure.
  • Listed options: exchange-traded options on XOM provide ways to hedge or implement directional strategies.
  • ETFs and mutual funds: many energy-sector ETFs and broad-market funds hold exxon company stock as a constituent.
  • Corporate bonds: ExxonMobil issues bonds and other fixed-income securities whose credit characteristics and yields are tracked by fixed-income markets and are informative about company liquidity and leverage.

Note: this article focuses on the common stock (XOM). Always confirm the instrument’s exact ticker and terms before trading.

How to find official data and trade the stock

Where to find authoritative data on exxon company stock:

  • Company investor relations: Exxon Mobil’s investor relations pages publish official press releases, SEC filings (10-Q, 10-K, 8-K), dividend announcements and investor presentations.
  • Exchange feeds: NYSE publishes official trade and quote data, which data vendors and terminals redistribute.
  • Financial portals: Yahoo Finance, Google Finance and TradingView aggregate quotes and historical data; Morningstar and TradingEconomics provide financial statement summaries and analyst metrics.

How to trade exxon company stock (practical notes):

  • Choose a regulated broker or trading platform. For users engaging via Bitget, the platform offers access to equities and derivatives (confirm product availability and regulatory permissions for your jurisdiction). Bitget’s trading interface provides real-time price quotes, order entry and portfolio tools; Bitget Wallet is recommended when bridging to Web3-enabled features where applicable. Always verify that the product (stock, ADR, derivative) is available in your account and jurisdiction.
  • Order types and liquidity: standard market and limit orders are supported; limit orders can control execution price in periods of higher volatility.
  • Use official filings for due diligence: before acting on corporate events, read the company’s SEC filings and investor presentations to ensure the timing and details are correct.

Important operational note: market data refresh, settlement cycles, and margin rules differ across jurisdictions and platforms. If trading through Bitget or any other regulated intermediary, review the platform’s disclosures and fees.

See also

  • Chevron (ticker CVX) and other major integrated oil companies (peer comparison)
  • Energy sector indices and ETFs (for benchmark and sector exposure)
  • WTI and Brent crude pricing (commodity drivers relevant to exxon company stock)
  • Exxon Mobil investor relations materials and SEC filings (authoritative corporate documents)

References

  • Yahoo Finance XOM quote and market data (quote pages and NYSE feeds) — used for the Jan. 23, 2026 market snapshot
  • CNBC stock coverage and analyst commentary — for context on sector coverage and reporting cadence
  • Exxon Mobil Investor Relations — official filings, dividend notices and investor presentations
  • TradingView/TradingEconomics/Macrotrends — historical price series and adjusted charts
  • Morningstar — analyst summaries and financial metrics

As required for timeliness: the market data and context in this article reference reporting and market feeds as of Jan. 23, 2026 (source: Yahoo Finance / NYSE market feed and associated market reporting).

External links

  • Use company investor relations (Exxon Mobil filings and investor materials) and the NYSE feed for official announcements and exchange-confirmed quote data.
  • For accessible market snapshots and charts, consult Yahoo Finance, Google Finance and TradingView; for historical, dividend-adjusted series use Macrotrends.

Further exploration: If you want real-time market tools, Bitget offers market data, order routing and wallet integrations that help monitor and act on equity opportunities like exxon company stock. For up-to-the-minute price and corporate action details, always confirm the data on official investor relations pages and exchange feeds before making trading decisions.

Note: This article is informational and neutral in tone. It is not investment advice. For official and timely figures (market cap, dividend yield, P/E), consult the primary data sources listed above and company filings.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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