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Exxon Mobil Corporation (XOM)

NYSE - NYSE Delayed Price. Currency in USD
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90.59+1.64 (+1.84%)
At close: 04:03PM EDT
90.60 +0.01 (+0.01%)
After hours: 05:10PM EDT
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Bearishpattern detected
Triple Moving Average Crossover

Triple Moving Average Crossover

Previous Close88.95
Bid90.61 x 900
Ask90.75 x 900
Day's Range89.95 - 91.61
52 Week Range52.10 - 105.57
Avg. Volume26,448,420
Market Cap377.547B
Beta (5Y Monthly)1.08
PE Ratio (TTM)9.91
EPS (TTM)9.14
Earnings DateOct 28, 2022
Forward Dividend & Yield3.52 (3.96%)
Ex-Dividend DateAug 11, 2022
1y Target Est103.24
Fair Value is the appropriate price for the shares of a company, based on its earnings and growth rate also interpreted as when P/E Ratio = Growth Rate. Estimated return represents the projected annual return you might expect after purchasing shares in the company and holding them over the default time horizon of 5 years, based on the EPS growth rate that we have projected.
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    Daily Spotlight: Values in Energy, Financials, Healthcare, MaterialsInvestors hunting for stocks that reasonably balance long-term growth prospects and current value characteristics might want to look at companies in the Energy, Financial Services, Healthcare, and Basic Materials sectors. These are among the industry groups that are currently selling for PEGY (price/earnings)/(growth+yield) ratios at or below the S&P 500's ratio of 2.0x. To generate the PEGY ratios, we use the P/E ratio for each sector based on forward earnings for the numerator. For the denominator, we average the growth rates for the past five years along with two years of forward estimates in order to achieve a smoother, less-volatile earnings trend. We then add the current yield, to approximate total return. Premium-valued sectors with low growth rates include Consumer Staples and Utilities. Our Over-Weight sectors include Healthcare, Financial Services, Industrial, Materials and Energy. Our Under-Weight sectors include Consumer Staples, Consumer Discretionary, and Communication Services.
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