EXXON MOBIL CORP

Ticker: EnergyPetroleum RefiningS&P 500
HQ SPRING, TXCIK 34088FY end 12-31Book / share $61.98Shares 4185M
Revenue (FY)
$332.24B-4.96%
TTM $368.76B
Op. margin
12.42%-1.56%
TTM 12.30%
Net income
$29.76B-15.11%
TTM $33.73B
Operating cash
$51.97B-5.55%
TTM $59.73B
Free cash flow
$23.61B-23.13%
TTM $30.55B
Return on equity
11.12%-1.65%
TTM 12.63%
Debt / equity
0.17+0.01%
TTM 0.16
Shares outstanding
4.3B+0.21%
TTM 4.2B

The business

Exxon Mobil Corporation (NYSE: XOM) operates as a global energy and petrochemical company engaged in exploration, production, manufacturing, and distribution of crude oil, natural gas, petroleum products, and petrochemicals. The company maintains its website at exxonmobil.com and serves customers across most countries worldwide.

The company's principal business segments include Upstream operations focused on oil and gas exploration and production, Energy Products handling refining and marketing of petroleum products, Chemical Products manufacturing petrochemicals, and Specialty Products. ExxonMobil has established a Low Carbon Solutions business unit pursuing lower-emission energy opportunities including carbon capture and storage, hydrogen and ammonia production, lower-emission fuels, advanced resin systems, carbon materials, low-carbon data centers, and lithium development.

ExxonMobil held over 8,000 active patents worldwide as of year-end 2025. The company maintains significant proved reserves totaling approximately 19.3 billion oil-equivalent barrels, with developed reserves comprising roughly 64 percent of this total. Major geographic operations span the United States, Canada, Europe, Africa, Asia, and Australia/Oceania regions.

The company employed 58,000 regular employees at year-end 2025, representing a diverse global workforce with over 59 percent of employees based outside the United States and more than 160 nationalities represented. The company operates under various brand names including ExxonMobil, Exxon, Esso, Mobil, and XTO across its divisions and affiliated companies.

ExxonMobil was incorporated in New Jersey in 1882 and has evolved into one of the world's largest integrated energy companies. The company competes in highly competitive commodity-based markets while pursuing strategic investments in emerging energy transition technologies. Its business model emphasizes long-term capital-intensive projects, technological innovation, and operational efficiency. The company's competitive advantages derive from its extensive resource base, technological capabilities, global infrastructure, and integrated business operations spanning exploration through retail distribution. ExxonMobil maintains a long-term orientation reflecting the multi-decade timelines characteristic of major energy projects and emphasizes talent retention with career employees averaging approximately 30 years of service.

Sector
Energy
Industry
Petroleum Refining
HQ
SPRING, TX
FY end
12-31
CIK
34088
SIC
2911
Financial performance · annual
20132025
$-69.40B$69.05B$207.50B$345.95B$484.41B2013201420152016201720182019202020212022202320242025TTMTTMTTM

Ownership

Who holds EXXON MOBIL CORP — across funds, superinvestors and bonds · N-PORT 2026Q2 · 13F 2026-06-30

1.5K
funds hold it
3 of 35
superinvestors hold it
$169.82B
fund-held value
17
bond issues held by funds

Top fund holders

Fund% of fundValue
VANGUARD TOTAL STOCK MARKET INDEX FUND
VTI · VANGUARD INDEX FUNDS
0.78%$17.99B
VANGUARD 500 INDEX FUND
VOO · VANGUARD INDEX FUNDS
0.88%$14.68B
State Street(R) Energy Select Sector SPDR(R) ETF
XLE · SELECT SECTOR SPDR TRUST
22.67%$8.10B
iShares Core S&P 500 ETF
IVV · iShares Trust
0.88%$7.80B
Fidelity 500 Index Fund
FXAIX · Fidelity Concord Street Trust
0.93%$7.77B

Superinvestors in EXXON MOBIL CORP

Tom RussoNEW
Gardner Russo & Quinn
0.3%
Chris BloomstranDECREASED -0.6%
Semper Augustus Investments Group
0.9%
Tom GaynerINCREASED +19.4%
Markel Group (Markel-Gayner)
0.1%

Share of each manager's reported 13F portfolio.

Bonds held by funds

Funds report holding 17 issues of EXXON MOBIL CORP's debt, $1.57B at fund-held market value — what funds hold, not the company's debt outstanding. Weighted-average coupon 3.35%, maturing 20262051.

IssueCouponMaturesFundsFund-held
Exxon Mobil Corp2.610%2030-10-1553$240.29M
EXXON MOBIL CORP3.480%2030-03-1953$238.35M
EXXON MOBIL CORP 4.227000% 03/19/20404.227%2040-03-1961$197.12M
Exxon Mobil Corp3.452%2051-04-1577$178.38M
EXXON MOBIL CORP 4.327% 03/19/20504.327%2050-03-1954$146.83M
Exxon Mobil Corp4.114%2046-03-0153$118.84M
Exxon Mobil Corp2.440%2029-08-1644$103.03M
Exxon Mobil Corp3.095%2049-08-1648$94.34M
Exxon Mobil Corp.3.000%2039-08-1655$70.13M
XOM 3.567 03/06/453.570%2045-03-0639$58.09M

The 10 largest by fund-held value, of 17.

Fund ownership is a subset of institutional 13F ownership — the two describe overlapping populations and must not be added together.

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