Reported Q: Q4 2024 Rev YoY: -0.8% EPS YoY: -10.9% Move: +35.04%
Exxon Mobil Corporation
XOM.SW
CHF101.01 35.04%
Exchange SIX Sector Energy Industry Oil Gas Integrated
Q4 2024
Published: Feb 19, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for XOM.SW

Reported

Report Date

Feb 19, 2025

Quarter Q4 2024

Revenue

81.06B

YoY: -0.8%

EPS

1.71

YoY: -10.9%

Market Move

+35.04%

Previous quarter: Q3 2024

Follow this company to get upcoming quarter alerts automatically.

Earnings Highlights

  • Revenue of $81.06B down 0.8% year-over-year
  • EPS of $1.71 decreased by 10.9% from previous year
  • Gross margin of 21.3%
  • Net income of 7.61B
  • "Transcript not provided in the input." -
XOM.SW
Company XOM.SW

Executive Summary

Exxon Mobil reported a constructive Q4 2024 despite a modestly weaker macro backdrop for refined products. Revenue of $81.06 billion declined 0.8% year over year and 7.7% quarter over quarter, while gross profit reached $17.25 billion and gross margin stood at 21.28%. Operating income was $7.77 billion with a 9.59% margin, and net income came in at $7.61 billion, or $1.71 per share, down slightly year over year and meaningfully softer quarter over quarter due to volume and margin dynamics in a volatile environment. The company sustained robust cash generation, with net cash from operating activities of $12.23 billion and free cash flow of $5.39 billion. Capital expenditure totaled $6.84 billion, underscoring disciplined upstream/downstream investment. Exxon returned capital to shareholders via dividends of $4.37 billion and share repurchases of $5.78 billion, while ending the period with cash and equivalents of about $23.0 billion and a net debt position of roughly $18.68 billion. The balance sheet remains solid, with total assets around $453.5 billion and total stockholders’ equity near $263.7 billion, supporting investment-grade credit metrics. Looking ahead, Exxon emphasizes capital discipline and continued high-quality cash flow generation to fund ongoing shareholder returns and selective growth opportunities, though the near-term trajectory will be sensitive to oil and product prices, as well as refining margins.

Key Performance Indicators

Revenue
Decreasing
81.06B
QoQ: -7.67% | YoY: -0.77%
Gross Profit
Decreasing
17.25B
21.28% margin
QoQ: -15.42% | YoY: -2.58%
Operating Income
Decreasing
7.77B
QoQ: -29.61% | YoY: -8.10%
Net Income
Decreasing
7.61B
QoQ: -11.61% | YoY: -0.26%
EPS
Decreasing
1.71
QoQ: -11.40% | YoY: -10.94%

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