Exxon Mobil Corp (XOM)
A research Signal Score of unusual activity and the signals behind it. Not advice, not a prediction, not yet backtested.
21/100
Low signalSIGNAL SCORE
P(beat S&P 500 · next 20 sessions)48%
Our last 30 days of resolved calls came true 29% of the time.See the track record →
Price
$163.32
1 day
-3.54%
1 week
+2.75%
1 month
+2.57%
1 year
+47.18%
Market cap
$682.5B
Company fundamentals
P/E (TTM)
20.8×
EPS (TTM)
$7.77
Debt / Equity
0.16
Current ratio
1.13
Operating margin
11.5%
Net margin
9.1%
Gross margin
28.8%
Return on equity
12.7%
Revenue growth (YoY)
9.6%
Dividend yield
2.52%
Figures reflect the most recent reported period. Margins, ROE and growth are percentages; Debt/Equity and Current ratio are ratios.
Example trade plan · illustrative risk framework
Entry zone
$160.87–$166.59
Stop-loss (exit)
$146.99 −10%
Target (exit)
$195.98 +20%
A generic 2:1 reward-to-risk example (about a 10% stop and 20% target). Illustrative and educational, not advice. Set your own levels for your risk tolerance.
Why it ranks: factor attribution
- 12-month trend+47% over the past year+3
- 52-week positionIn the upper quarter of its 52-week range+18
- VolumeNo intraday volume on the free data tier — this factor is disabled, not faked.+0
Score uses live volume/momentum/breakout signals today; insider buying, short interest, options flow and social velocity layer in as those sources come online. How it works →