Reported Q: Q1 2024 Rev YoY: -3.9% EPS YoY: -26.2% Move: +35.04%
Exxon Mobil Corporation
XOM.SW
CHF101.01 35.04%
Exchange SIX Sector Energy Industry Oil Gas Integrated
Q1 2024
Published: Apr 29, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for XOM.SW

Reported

Report Date

Apr 29, 2024

Quarter Q1 2024

Revenue

80.41B

YoY: -3.9%

EPS

2.06

YoY: -26.2%

Market Move

+35.04%

Previous quarter: N/A

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Earnings Highlights

  • Revenue of $80.41B down 3.9% year-over-year
  • EPS of $2.06 decreased by 26.2% from previous year
  • Gross margin of 23.5%
  • Net income of 8.22B
  • "N/A" - N/A
XOM.SW
Company XOM.SW

Executive Summary

Exxon Mobil reported a solid Q1 2024 cash-generation profile despite a modest year-over-year revenue decline. Revenue of $80.41 billion declined 3.87% year-over-year and 1.56% quarter-over-quarter, while gross profit of $18.91 billion produced a gross margin of 23.5%. Operating income reached $11.60 billion with an implied operating margin of 14.4%, and net income was $8.22 billion (net margin 10.2%), with EPS of $2.06. Although profitability metrics softened versus the prior-year period, the company generated robust free cash flow of $9.59 billion and operating cash flow of $14.66 billion, underscoring Exxon’s ability to translate cash flow into meaningful shareholder returns.

Capital allocation remained highly disciplined. Dividends paid totaled $3.81 billion and share repurchases were $3.01 billion in the quarter, supporting a net cash inflow to cash balance movements that left ending cash and equivalents at about $33.35 billion. After accounting for capex of $5.07 billion, acquisitions net of $0.71 billion, and investing activities, Exxon delivered a resilient balance sheet with net debt of approximately $7.09 billion, total assets of $377.92 billion, and total stockholders’ equity of $205.25 billion. The firm continues to exhibit strong liquidity and leverage metrics (current ratio ~1.38, interest coverage ~48.6x) that provide capacity for ongoing shareholder returns and selective high-return investments.

From a valuation standpoint, the quarter reflects a high-quality, cash-generative business trading at mid-teens earnings multiples and robust cash-generation potential. While YoY revenue and profit declined, the trajectory supports a constructive longer-term investment thesis anchored in durable cash flow, a strong balance sheet, and a proven capital-allocation framework aimed at returns to shareholders alongside value-enhancing upstream projects.

Key Performance Indicators

Revenue
Decreasing
80.41B
QoQ: -1.56% | YoY: -3.87%
Gross Profit
Decreasing
18.91B
23.51% margin
QoQ: 6.80% | YoY: -21.09%
Operating Income
Decreasing
11.60B
QoQ: 37.15% | YoY: -18.36%
Net Income
Decreasing
8.22B
QoQ: 7.73% | YoY: -28.08%
EPS
Decreasing
2.06
QoQ: 7.29% | YoY: -26.16%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2025 81,058.00 1.76 +0.8% View
Q4 2024 81,058.00 1.71 -0.8% View
Q3 2024 87,792.00 1.93 -0.9% View
Q2 2024 89,986.00 2.14 +11.4% View
Q1 2024 80,411.00 2.06 -3.9% View