EXXON MOBIL CORPXOM

Market cap
$504.6B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income (loss) including noncontrolling interests31,39842,20647,68133,44833,61516,5518,37519,84821,42114,774-23,25123,59857,57737,35435,063
Depreciation, Depletion and Amortization14,76015,58315,88817,18217,29718,04822,30819,89318,74518,99846,00920,60724,04020,64123,442
Deferred income tax charges/(credits)-1,1351423,1427541,540-1,832-4,386-8,577-60-944-8,8563033,758634-865
Postretirement benefits expense in excess of/(less than) net payments---------109498754-2,98190-358
Other Long Term Obligations Expense And Payments Adjustment160-1511,643-2,5661,404-380-19-610-68-3,038-1,26950-1,932-1,501-1,712
Dividends received greater than/(less than) equity in current earnings of equity companies-5962731,157-3358691579-1311,684936-9796682,446-509-191
Notes and accounts receivable reduction/(increase)-5,8637,9061,082305-3,118-4,6922,0903,9545452,640-5,38412,09811,019-4,3706,030
Inventories reduction/(increase)-1,1482,2081,8731,8121,3433793881,6823,107-723154896,9473,4721,812
Other current assets reduction/(increase)913-2224210568-45-17111725234-42071688426-389
Increase (Decrease) in Accounts Payable9,9438,8803,624-2,498-6,639-7,4719155,1042,3213,725-7,14216,82018,460-4,7275,627
Net (gain)/loss on asset sales---1,8283,1512261,6823341,9931,710-41,2071,0345131,223
All other items - net-318-1,148-1,679-35082316621477161-1,540-2,207-530-9-2,410-2,310
Net cash provided by operating activities48,41355,34556,170----30,06636,01429,71614,66848,12976,79755,36955,022
Additions to property, plant and equipment26,87130,97534,27133,66932,95226,49016,16315,40219,57424,36117,28212,07618,40721,91924,306
Proceeds from asset sales and returns of investments---2,7074,0352,3894,2753,1034,1233,6929993,1765,2474,0784,987
Additional investments and advances1,2393,5869724,4351,6316071,4175,5071,9813,9054,8572,8173,0902,9953,299
Proceeds from Sale and Collection of Receivables1,1331,1191,9241,1243,3468429022,0769861,4902,6811,4821,5081,5621,926
Cash Acquired from Acquisition--------------754
Net cash used in investing activities-24,204-22,165-25,601-----15,730-16,446-23,084-18,459-10,235-14,742-19,274-19,938
Additions to long-term debt1,1437029953455,7318,02812,06660467,05223,18646637939899
Reductions in long-term debt6,224266147136926---1885151,150
Additions to short-term debt5981,06395816---1,735---12,687198--
Reductions in short-term debt2,4361,1034,4887567455063145,0244,7524,0431,70329,3968,0758794,743
Proceeds from (Repayments of) Other Debt---------5,654-1,334-2,98325-284-18
Contingent consideration payments------------586827
Cash dividends to ExxonMobil shareholders8,9489,02010,09210,87511,56812,09012,45313,00113,79814,65214,86514,92414,93914,94116,704
Cash dividends to noncontrolling interests281306327304248170162184243192188224267531658
Changes in noncontrolling interests-7-16204-1----150146158623-436-1,475-770-791
Inflows from noncontrolling interests for major projects--------------32
Common stock acquired13,09322,05521,06815,99813,1834,03997774762659440515515,15517,74819,629
Net cash provided by (used in) financing activities-26,924-28,256-33,868-----15,130-19,446-6,6185,285-35,423-39,114-34,297-42,789
Effects of exchange rate changes on cash---------33-219-33-78105-676
Increase/(decrease) in cash and cash equivalents---------471,2752,43822,8631,903-8,381