AI-generated content for informational purposes only. Not financial advice. Always do your own research.

소개

Exxon Mobil Corporation(NYSE: XOM)은 서방 세계에서 가장 큰 상장 석유 및 가스 기업으로, 상류 부문의 탐사 및 생산, 하류 부문의 정제 및 마케팅, 화학 제조에 걸친 통합 운영을 갖추고 있습니다. 회사의 자산에는 Permian Basin, Guyana, 그리고 전 세계 LNG 프로젝트에서의 풍부한 입지가 포함되며, Pioneer Natural Resources 인수로 강화되었습니다. ExxonMobil은 강력한 대차대조표, 상당한 배당 이력, 그리고 탄화수소 가치 사슬 전반에 걸친 막대한 규모로 대형주 에너지 노출을 추구하는 투자자에게 가장 탁월한 석유 및 가스 주식입니다.

원자재 주식

ExxonMobil은 상류 생산, 정제, 화학에 걸친 통합 운영을 하는 최대 규모의 서방 석유 및 가스 회사로, 투자자들에게 프리미어 화석 연료 상품 노출을 제공합니다.

석유 및 가스 주식

ExxonMobil은 탐사, 생산, 정제, 화학에 걸친 운영을 하는 최대 규모의 통합 에너지 회사를 대표하는 기함급 석유 및 가스 주식입니다. 비교할 수 없는 규모, 저비용 생산 자산, 그리고 수십 년간의 연속적인 배당금 지급은 모든 석유 및 가스 주식 포트폴리오에서 핵심 보유 종목입니다.

Key Financials XOM

가격 $148.45
변동 (1일) -0.99%
변동 (30D) +23.36%
변동 (60D) +26.15%
변동 (90D) +29.99%
변동 (180D) +45.38%
변동 (1Y) +38.29%
변동 (5Y) +193.21%
P/E 비율 21.24
EPS (TTM) $6.99
52주 범위 $97.80 — $156.93
50일 MA $128.89
거래량 20.15M

Data updated Feb 15 · Source: Twelve Data

4.8
2 reviews
Claude Opus 4.6
AI Review
4.7/5

ExxonMobil remains the gold standard among integrated oil majors, combining upstream exploration, refining, and chemicals into a diversified energy powerhouse. The stock has delivered exceptional performance, surging nearly 46% over the past six months and trading near its 52-week high of $156.93. The Pioneer Natural Resources acquisition has significantly bolstered its Permian Basin position, making XOM the dominant U.S. shale producer.

At a P/E of 21.24, the valuation is elevated relative to historical energy sector norms, suggesting much of the bullish thesis is priced in. EPS of $6.99 supports a healthy dividend, and management's commitment to shareholder returns remains strong. The balance sheet is fortress-like with manageable debt levels.

Bull case: Disciplined capital allocation, industry-leading cost structure, growing low-carbon investments, and dominant scale. Bear case: Cyclical commodity exposure, potential oil price weakness, energy transition headwinds, and stretched valuation after the recent rally. The stock trading well above its 50-day MA ($128.89) suggests near-term pullback risk, but long-term fundamentals remain compelling for energy investors.

Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.8/5

ExxonMobil remains the bellwether of the global energy sector, currently trading near all-time highs driven by robust operational performance and strategic consolidation, notably the Pioneer Natural Resources acquisition. With a P/E ratio of 22.66, the stock commands a premium compared to historical sector averages, reflecting investor confidence in its disciplined capital allocation and fortress balance sheet. The company continues to reward shareholders through substantial buybacks and reliable dividends. However, the current valuation suggests the stock is priced for perfection. While XOM is best-in-class for traditional energy exposure, potential investors should weigh the cyclical risks of oil prices and the long-term headwinds of the energy transition against its current momentum.

Feb 11, 2026
ExxonMobil Screenshot

Added: Feb 10, 2026

corporate.exxonmobil.com

Latest from Otrai

How to Trade Stock Indices: S&P 500, Nasdaq, and Dow via ETFs, Futures, and CFDs

How to Trade Stock Indices: S&P 500, Nasdaq, and Dow via ETFs, Futures, and CFDs

A stock index is a single number that summarizes the price action of a basket of companies. The S&P 500 tracks roughly 500 large US firms, the Nasdaq-100 tracks the 100 largest non-financial names on the Nasdaq exchange, and the Dow Jones Industrial Average follows 30 blue-chip stocks.

The Options Greeks Explained: Delta, Gamma, Theta, and Vega

The Options Greeks Explained: Delta, Gamma, Theta, and Vega

The Greeks explain why an option costs what it costs and how that price changes when the stock moves, time passes, and volatility shifts. Delta, Gamma, Theta, and Vega, made accessible.

Chart Patterns That Actually Work: Head & Shoulders, Triangles, Flags & Double Tops

Chart Patterns That Actually Work: Head & Shoulders, Triangles, Flags & Double Tops

Chart patterns are the most recognizable part of technical analysis and the most misunderstood. Most fail or break out the wrong way before reversing. This guide covers head and shoulders, double tops and bottoms, triangles, and flags — with realistic reliability, target measurement, and false-breakout confirmation.

트레이딩 전략을 백테스트하는 방법: 방법론, 함정, 그리고 결과가 실제로 의미하는 것

트레이딩 전략을 백테스트하는 방법: 방법론, 함정, 그리고 결과가 실제로 의미하는 것

모든 트레이더는 머릿속으로는 훌륭해 보이는 전략을 가지고 있습니다. 백테스팅은 실제로 작동하는지 알아내는 방법입니다. 여기서는 전략을 올바르게 테스트하는 방법, 어떤 지표가 중요한지, 그리고 대부분의 백테스트 결과가 사실이기에는 너무 좋은 이유를 보여줍니다.