$116.24
$-0.24 (-0.21%)
End-of-day quote: 05/02/2024
NYSE:XOM

Exxon Mobil Corp Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$338.29B $402.22B $278.98B $179.78B $259.50B $281.06B $237.16B $200.63B $241.41B $364.76B $390.25B $419.10B $433.53B $341.58B $275.56B $425.07B $358.60B $335.09B $328.21B $263.99B
GM % Gross Margin %
32.83% 33.24% 32.28% 31.79% 31.24% 32.13% 32.93% 33.83% 32.23% 35.61% 35.53% 36.27% 29.87% 32.22% 33.29% 33.02% 36.11% 37.43% 36.08% 39.20%
OM Operating Margin
14.97% 17.80% 9.60% -2.47% 5.99% 8.28% 5.93% 2.26% 5.98% 9.34% 10.33% 11.90% 12.48% 11.75% 9.52% 15.60% 16.08% 16.99% 14.93% 13.59%
EPS Earnings Per Share
$0.00 $9.52 $14.06 $5.38 $-0.33 $2.25 $4.93 $3.59 $2.36 $3.85 $7.36 $7.37 $8.40 $8.42 $6.22 $4.01 $8.47 $7.28 $6.55 $5.35 $3.97
Div. Dividends
$3.68 $3.55 $3.49 $3.48 $3.43 $3.23 $3.06 $2.98 $2.88 $2.70 $2.46 $2.18 $1.85 $1.74 $1.66 $1.55 $1.37 $1.28 $1.14 $1.06
PR % Payout Ratio %
38.66% 25.25% 64.87% -1054.55% 152.44% 65.52% 85.24% 126.27% 74.81% 36.68% 33.38% 25.95% 21.97% 27.97% 41.40% 18.30% 18.82% 19.54% 21.31% 26.70%
Sha. Shares
3,971m 4,082m 4,239m 4,233m 4,234m 4,237m 4,239m 4,148m 4,156m 4,201m 4,335m 4,502m 4,734m 4,979m 4,727m 4,976m 5,382m 5,729m 6,133m 6,401m
OCF Operating Cash Flow
$55.37B $76.80B $48.13B $14.67B $29.72B $36.01B $30.07B $22.08B $30.34B $45.12B $44.91B $56.17B $55.35B $48.41B $28.44B $59.73B $52.00B $49.29B $48.14B $40.55B
FCF Free Cash Flow
$34.35B $58.39B $36.03B $-2614.00M $5.36B $16.44B $14.66B $7.31B $6.97B $12.16B $2.41B $16.30B $24.37B $21.54B $5.95B $40.41B $36.62B $33.82B $34.30B $28.57B
FCFS Free Cash Flow Per Share
$8.26 $13.89 $8.43 $-0.61 $1.25 $3.85 $3.45 $1.42 $0.92 $2.84 $2.54 $4.73 $5.00 $4.41 $1.23 $7.78 $6.59 $5.72 $5.47 $4.41