Verity & Verity LLC Raises Position in Exxon Mobil Co. (NYSE:XOM)
Verity & Verity LLC Raises Position in Exxon Mobil Co. (NYSE:XOM)
Verity & Verity LLC lifted its stake in Exxon Mobil Co. (NYSE:XOM – Get Rating) by 3.8% in the 4th quarter, according to its most recent Form 13F filing with the Securities and Exchange Commission (SEC). The firm owned 141,951 shares of the oil and gas company's stock after buying an additional 5,244 shares during the period. Exxon Mobil makes up 2.0% of Verity & Verity LLC's portfolio, making the stock its 14th biggest position. Verity & Verity LLC's holdings in Exxon Mobil were worth $15,657,000 as of its most recent filing with the Securities and Exchange Commission (SEC).
Other institutional investors and hedge funds also recently modified their holdings of the company. Karp Capital Management Corp purchased a new stake in shares of Exxon Mobil in the third quarter worth about $28,000. Clear Perspectives Financial Planning LLC boosted its position in shares of Exxon Mobil by 259.0% in the third quarter. Clear Perspectives Financial Planning LLC now owns 377 shares of the oil and gas company's stock worth $33,000 after buying an additional 272 shares during the period. Align Wealth Management LLC purchased a new stake in shares of Exxon Mobil in the fourth quarter worth about $38,000. Mine & Arao Wealth Creation & Management LLC. boosted its position in shares of Exxon Mobil by 61.7% in the third quarter. Mine & Arao Wealth Creation & Management LLC. now owns 443 shares of the oil and gas company's stock worth $39,000 after buying an additional 169 shares during the period. Finally, Horizons Wealth Management purchased a new stake in shares of Exxon Mobil in the second quarter worth about $41,000. Hedge funds and other institutional investors own 57.49% of the company's stock.
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Analyst Ratings Changes
XOM has been the subject of a number of analyst reports. Wells Fargo & Company increased their price target on Exxon Mobil from $125.00 to $133.00 and gave the company an "overweight" rating in a report on Friday, March 3rd. Bank of America increased their price target on Exxon Mobil from $136.00 to $140.00 and gave the company a "buy" rating in a report on Wednesday, February 1st. Citigroup increased their price target on Exxon Mobil from $98.00 to $110.00 in a report on Tuesday, November 22nd. Redburn Partners downgraded Exxon Mobil from a "neutral" rating to a "sell" rating in a report on Wednesday, January 18th. Finally, B. Riley increased their price target on Exxon Mobil from $128.00 to $133.00 and gave the company a "buy" rating in a report on Thursday, February 2nd. One investment analyst has rated the stock with a sell rating, seven have issued a hold rating and fifteen have given a buy rating to the stock. Based on data from MarketBeat, Exxon Mobil has a consensus rating of "Moderate Buy" and an average target price of $121.64.
Insider Buying and Selling
In related news, VP Darrin L. Talley sold 2,500 shares of the company's stock in a transaction dated Wednesday, February 1st. The shares were sold at an average price of $115.50, for a total value of $288,750.00. Following the completion of the sale, the vice president now owns 31,772 shares of the company's stock, valued at $3,669,666. The transaction was disclosed in a filing with the Securities & Exchange Commission, which is accessible through the SEC website. Corporate insiders own 0.04% of the company's stock.
Exxon Mobil Stock Up 2.6 %
Exxon Mobil stock opened at $102.45 on Tuesday. The company has a 50-day simple moving average of $111.62 and a 200-day simple moving average of $106.64. The firm has a market capitalization of $417.07 billion, a P/E ratio of 7.73, a P/E/G ratio of 0.43 and a beta of 1.09. The company has a debt-to-equity ratio of 0.20, a quick ratio of 1.06 and a current ratio of 1.41. Exxon Mobil Co. has a one year low of $79.29 and a one year high of $119.63.
Exxon Mobil (NYSE:XOM – Get Rating) last released its quarterly earnings results on Tuesday, January 31st. The oil and gas company reported $3.40 EPS for the quarter, topping the consensus estimate of $3.32 by $0.08. The business had revenue of $95.43 billion during the quarter, compared to analyst estimates of $90.21 billion. Exxon Mobil had a net margin of 13.47% and a return on equity of 31.25%. The company's quarterly revenue was up 12.3% on a year-over-year basis. During the same quarter in the prior year, the firm earned $2.05 earnings per share. As a group, equities analysts expect that Exxon Mobil Co. will post 10.08 earnings per share for the current year.
Exxon Mobil Dividend Announcement
The business also recently disclosed a quarterly dividend, which was paid on Friday, March 10th. Investors of record on Tuesday, February 14th were issued a $0.91 dividend. This represents a $3.64 annualized dividend and a yield of 3.55%. The ex-dividend date was Monday, February 13th. Exxon Mobil's payout ratio is currently 27.45%.
Exxon Mobil Company Profile
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Exxon Mobil Corp. engages in the exploration, development, and distribution of oil, gas, and petroleum products. It operates through the following segments: Upstream, Downstream and Chemical. The Upstream segment produces crude oil and natural gas. The Downstream segment manufactures and trades petroleum products.
Further Reading
Get a free copy of the StockNews.com research report on Exxon Mobil (XOM)
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根據Verity & Verity LLC向美國證券交易委員會(SEC)提交的最新13F表格,該公司在第四季度將其在埃克森美孚公司(紐約證券交易所代碼:XOM-Get Rating)的股份提高了3.8%。該公司在此期間又購買了5,244股股票後,擁有該石油和天然氣公司的141,951股股票。埃克森美孚佔Verity & Verity LLC投資組合的2.0%,使該股成爲該股的第14大頭寸。截至最近向美國證券交易委員會(SEC)提交文件時,Verity & Verity LLC在埃克森美孚的持股價值爲15,657,000美元。
其他機構投資者和對沖基金最近也修改了他們對該公司的持股。卡普資本管理公司在第三季度購買了埃克森美孚股票的新股份,價值約28,000美元。Clear Perspects Financial Planning LLC在第三季度將其在埃克森美孚股票中的頭寸提高了259.0%。Clear Perspectives Financial Planning LLC在此期間又購買了272股股票後,現在擁有這家石油和天然氣公司的377股股票,價值33,000美元。Align Wealth Management LLC在第四季度購買了埃克森美孚股票的新股份,價值約38,000美元。Mine & Arao Wealth Creation & Management LLC. 在第三季度將其在埃克森美孚股票中的頭寸提高了61.7%。Mine & Arao Wealth Creation & Management LLC. 在此期間又購買了169股股票後,現在擁有這家石油和天然氣公司443股股票,價值39,000美元。最後,Horizons Wealth Management在第二季度購買了埃克森美孚股票的新股份,價值約41,000美元。對沖基金和其他機構投資者擁有該公司57.49%的股票。
獲取 埃克森美孚 警報:
分析師評級變化
XOM 一直是許多分析師報告的主題。富國銀行在3月3日星期五的一份報告中將埃克森美孚的目標股價從125.00美元上調至133.00美元,並將該公司評爲 “增持”。美國銀行在2月1日星期三的一份報告中將埃克森美孚的目標股價從136.00美元上調至140.00美元,並將該公司評爲 “買入”。花旗集團在11月22日星期二的一份報告中將埃克森美孚的目標股價從98.00美元上調至110.00美元。Redburn Partners在1月18日星期三的一份報告中將埃克森美孚的評級從 “中性” 下調至 “賣出”。最後,B. Riley將埃克森美孚的目標股價從128.00美元上調至133.00美元,並在2月2日星期四的一份報告中給了該公司的 “買入” 評級。一位投資分析師對該股進行了賣出評級,七位發佈了持有評級,十五位對該股給出了買入評級。根據MarketBeat的數據,埃克森美孚的共識評級爲 “適度買入”,平均目標價爲121.64美元。
內部買入和賣出
在相關新聞中,副總裁達林·塔利在2月1日星期三的一筆交易中出售了該公司2,500股股票。這些股票的平均價格爲115.50美元,總價值爲288,750.00美元。出售完成後,副總裁現在擁有該公司31,772股股票,價值3,669,666美元。該交易是在向美國證券交易委員會提交的文件中披露的,該文件可通過以下方式獲得 美國證券交易委員會網站。企業內部人士擁有該公司0.04%的股份。
埃克森美孚股票上漲2.6%
埃克森美孚股票週二開盤價爲102.45美元。該公司的50天簡單移動平均線爲111.62美元,200天簡單移動平均線爲106.64美元。該公司的市值爲41707億美元,市盈率爲7.73,市盈率爲0.43,beta爲1.09。該公司的債務與權益比率爲0.20,速動比率爲1.06,流動比率爲1.41。埃克森美孚公司創下一年低點79.29美元,一年高點爲119.63美元。
埃克森美孚(紐約證券交易所代碼:XOM — Get Rating)上次發佈季度財報是在1月31日星期二。這家石油和天然氣公司公佈的本季度每股收益爲3.40美元,比市場普遍預期的3.32美元高出0.08美元。該業務在本季度的收入爲954.3億美元,而分析師的估計爲902.1億美元。埃克森美孚的淨利潤率爲13.47%,股本回報率爲31.25%。該公司的季度收入同比增長12.3%。去年同期,該公司的每股收益爲2.05美元。作爲一個整體,股票分析師預計,埃克森美孚公司今年將公佈每股收益10.08。
埃克森美孚股息公告
該公司最近還披露了季度股息,該股息已於3月10日星期五支付。2月14日星期二登記在冊的投資者獲得了0.91美元的股息。這意味着年化股息爲3.64美元,收益率爲3.55%。除息日爲2月13日星期一。埃克森美孚的派息率目前爲27.45%。
埃克森美孚公司簡介
(獲取評級)
埃克森美孚公司從事石油、天然氣和石油產品的勘探、開發和分銷。它通過以下部門運營:上游、下游和化工。上游部門生產原油和天然氣。下游部門生產和交易石油產品。
進一步閱讀
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