Skip to main content
Methodology published · Market data, model notes, and corrections process are public · Data policy · Corrections policy
XOM logo

NYSE · Energy · Statistics

ExxonMobil Holdings Corporation valuation and key ratios.

Valuation, profitability, balance-sheet health, and risk metrics for XOM, refreshed each market session.

Section freshness

Price Aug 11, 4:02 PM EDT · Statements Jun 29, 8:00 PM EDT

Key metrics at a glance

The numbers most investors check first

Market cap

$657.08B

P/E (TTM)

20.57

Forward P/E

FCF yield

Return on equity

Dividend yield

2.58%

Valuation

Market cap
$657.08B
Enterprise value
$688.86B
P/E (TTM)
20.57
Price / book
2.53
EPS (TTM)
$7.77

Long-run compounding

CAGR since IPO and aggregate price growth.

Adjusted daily closes are annualized over the full price history; dividends are not included in this price-only return view.

CAGR since IPO
7.87%
From first adjusted close on August 14, 2006
Aggregate CAGR
27.55%
1Y, 3Y, 5Y, 10Y blended CAGR
First tracked close
$35.14
August 14, 2006
History span
20 yrs
Aug 14, 2006 to Aug 11, 2026 · 5,029 closes
Latest tracked close
$159.80
August 11, 2026
All-time high
$176.41
March 30, 2026
All-time low
$30.11
March 23, 2020
History source
Long range
Yahoo Finance

Valuation map

P/E (TTM)20.57
Price / book2.53

Risk and scale

Beta (5Y)0.17

Less volatile than the market

Debt / equity0.16
Current ratio1.13

Pro formula stack

Ratios investors search for after the headline quote.

These are TECHi-computed from overview, income statement, balance sheet, and cash-flow rows when market-data sources expose the ingredients.

Earnings yield
4.86%
Inverse P/E

Distress and optionality read

XOM Altman Z-score needs a fuller balance sheet.

TECHi computes a non-financial-company Altman-style score from working capital, retained earnings, EBIT, market value, liabilities, revenue, and assets. It is not a bankruptcy prediction, but it gives pro readers a fast stress screen that most quote pages do not show beside live valuation metrics.

Net cash / share
$-7.73
Cash minus debt, per share
Working capital
$11.96B
Current assets minus current liabilities

Valuation read

XOM trades at 20.57× trailing earnings.

A trailing P/E in line with the broad market means XOM is being priced like an average earner. The PEG ratio (—) is the cleaner read here — it tells you how much you're paying per unit of growth.

Profitability

Net margin
12.52%
Debt / equity
0.16
Current ratio
1.13
>1 = covers near-term liabilities
Beta (5Y)
0.17

Margin profile

Net margin12.52%

Profitability read

XOM converts 12.5% of revenue into net income.

Margins in the high single-digits to high-teens are the bulk of the index. The differentiated reads here are operating-margin direction (improving = leverage) and ROE — the latter tells you how much equity capital management actually needs.

Per-share & range

Dividend yield
2.58%
Forward yield
Shares outstanding
4.11B
52w high
$176.41
52w low
$105.67

Corporate actions

Stock split history

Adjusted for all historical splits

Split events
0

Reported fundamentals

Company statistics fields

These figures come from the latest issuer filings and live quote-derived formulas.

Book value
$63.08
TECHi unified data
50-day average
$147.03
TECHi unified data
200-day average
$139.62
TECHi unified data

Frequently asked

Common questions.

What is ExxonMobil Holdings Corporation's market capitalization?

ExxonMobil Holdings Corporation (XOM) currently shows a fresh market-cap field of $657.1 billion.

What is XOM's P/E ratio?

XOM's available trailing P/E field is 20.57.

Where do TECHi's XOM statistics come from?

The Statistics page uses TECHi's unified market-data layer and omits fields whose winning source is missing or explicitly stale.