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Exxon Mobil Corporation (XOM) - Comprehensive Stock Analysis Report

$136.54-$1.01 (-0.73%)as of 2026-06-26
Generated: June 28, 2026 at 12:09 PM ET
Strategy: Conservative Stop Loss (Fixed ATR-based)
Latest Data: 2026-06-26
Position Status
+10.39% ๐Ÿš€
The model triggered a long signal on 2026-01-05 at $123.69 — a position from that signal price currently shows +10.39%.

๐Ÿ“‹ Investment Snapshot

Company Quality
51/100
Entry Quality
53/100
Risk Level
Moderate
Expected Return
+24.7%
Rating
WAIT

Reason: Weak on business and setup. Expected Return is the upside to the analyst price target; full rationale is detailed below.

๐Ÿ“Œ Is XOM a Buy right now?

According to Ultra Stock Analysis Pro, Exxon Mobil Corporation (XOM) is currently rated WAIT (Signal Strength: 0/7). The long-term fundamentals are stable (P/E: 23.0, Revenue Growth: +2.6%), while short-term technicals show a bearish trend (RSI: 34). Consider waiting for support confirmation near $156.20 before adding exposure.

For the latest stock analysis and interactive charts:
๐Ÿ“Š Open XOM Analysis โ†—

โšก QUICK DECISION

Action: HOLD | Confidence: LOW | Signal Strength: 0/7

๐Ÿ’ก Why This Signal Exists

XOM carries a WAIT rating because fundamentals are middling (Investment Quality 51/100), trend strength is still emerging (ADX 22), relative strength has lagged the S&P 500 over the past quarter and no fresh entry trigger has fired (Signal Strength 0/7). A breakout above $156.20 on improving volume would upgrade the signal toward BUY; a break below $133.21 would mark deeper weakness.

๐Ÿงญ Investment Quality vs. Entry Quality

Two independent reads: how good the business is (fundamentals) vs. how good buying it right now is (technicals & timing). A great company is not always a great entry.

Investment Quality
51/100
Average business
Profitability10/20
Margin 8%, ROE 10%
Revenue Growth3/20
+3% YoY
Margins4/20
Operating 6%
Analyst Support13/20
13B/10H/3S, +25% to target
Balance Sheet20/20
Debt/Equity 0.2
Entry Quality
53/100
Mediocre โ€” extended/no trigger
Trend4/20
No uptrend, ADX 22
Momentum14/20
RSI 34, MACD bearish
Pullback vs. Extension24/30
Mid-range
Fresh Signal & Room11/30
Confluence 1 pts, +25% to target

XOM: Investment Quality 51/100 vs. Entry Quality 53/100 โ€” weigh business strength against the current setup.

๐Ÿ† Relative Strength

The stock's return minus each benchmark's return. Positive = outperforming = leadership; negative = lagging. Relative strength is one of the most durable signals in quantitative research.

Benchmark1-Mo3-Mo6-Mo
S&P 500 (SPY)-5.1%-30.2%+9.4%
Energy (XLE)-2.8%-5.1%-6.8%
Oil & Gas E&P (XOP)-2.8%-0.8%-7.5%

XOM 3-month return: -16.9% · Leadership: LAGGARD โ€” trailing the S&P 500 and its sector

๐Ÿงฎ Factor Attribution

What is driving the view โ€” every factor's signed contribution to one net score. Green adds to the bull case; red detracts.

FactorContributionPts
Valuation
Fwd P/E 12.6, PEG 1.1
+18
Revenue Growth
+3% YoY
+2
Sentiment
Slightly Bullish
+2
Trend
EMA mixed, ADX 22
+0
Profitability
Margin 8%, ROE 10%
-1
Volatility
ATR 2.7% of price
-1
Momentum
RSI 34, MACD bearish
-5
Relative Strength
-12.0% vs benchmarks (3M)
-12
Earnings Growth
-43% YoY
-18

Net Factor Score: -15 โ€” Net bearish. This weighs the broad bull/bear case; the entry signal (Signal Strength) governs timing โ€” a strong factor score can still read WAIT until a setup triggers.

๐Ÿค– ML Probability

A gradient-boosted model's estimated probability that price closes higher over each horizon (directional estimate, not a guarantee).

33%
next day up
41%
5-day up
70%
20-day up

๐Ÿ“Š Valuation & Fundamentals vs Energy (13 peers)

โ— Top 25% in sector   โ— Middle 50%   โ— Bottom 25%   โ€” each value colored by its rank among 13 Energy peers; "med" is the peer median.

Valuation
P/E (TTM)23.0 (med 18.0)
Forward P/E12.6 (med 12.2)
PEG Ratio1.13 (med 2.15)
Price/Book2.20 (med 2.42)
Growth
EPS Growth (Qtr YoY)-43.4% (med -2.8%)
EPS Growth (Next Yr)+81.9% (med 35.3%)
Revenue Growth+2.6% (med -1.3%)
Profitability
Profit Margin7.8% (med 9.2%)
Gross Margin29.8% (med 25.4%)
ROE9.9% (med 14.7%)

๐Ÿค– ALGORITHMIC CONVICTION & METHODOLOGY

Why this rating?

The Ultra Stock Analysis algorithm has assigned a WAIT rating to XOM based on a confluence of 3 distinct factors:

  1. Technical Momentum: The RSI (34) is currently in neutral range in 54% of 13 backtested trades.
  2. Trend Strength: ADX at 22 indicates an emerging trend (20-25). News sentiment is neutral (Slightly Bullish).
  3. Volatility Profile: The ATR ($3.68) indicates moderate volatility (2.7% of price), suggesting potential moves of 5.4%+ on breakouts.

๐Ÿ“Š Confidence Interval:

Based on 7+ years of historical data, signals with this specific technical fingerprint have resulted in a positive return 54% of the time across 13 historical trades over a medium-term (months) hold period, with an average return of +13.5% per trade.

๐Ÿ“Š How the Signal Strength score works (and why it can read low in an uptrend)

Signal Strength is a tactical entry-timing score, not a trend or fundamentals grade. It only adds points from setups that flag a fresh reason to enter โ€” breakouts, momentum divergences, and oversold/volume/volatility extremes. Trend direction and fundamentals are scored in their own sections above. A setup must reach 3+ points to register as a signal and 5+ for a strong BUY. Individual boxes below can be checked โ€” a stacked EMA trend alone is worth 2 points โ€” without crossing the 3-point bar; when that happens the registered Signal Strength stays at 0/7, meaning no new entry trigger today โ€” not a bearish call.

SignalPtsWhat it flagsNow
Valid Breakout3Close breaks above the 20-day high on >1.5× volumeโœ—
EMA Trend Alignment2EMA20 > EMA50 > EMA200 (stacked uptrend)โœ—
RSI Bullish Divergence2Price firms while RSI was falling โ€” a reversal setupโœ—
MACD Bullish Divergence2Price firms while MACD was falling โ€” a reversal setupโœ—
Strong Trend (ADX > 25)1ADX > 25 confirming the stacked EMAsโœ—
High Volume (>1.5×)1Volume surge confirming the moveโœ—
RSI Oversold1RSI < 30 โ€” stretched to the downside (bounce setup)โœ—
Below Lower Bollinger1Close below the lower band (mean-reversion setup)โœ—
Volume Accumulation1Up-volume divergence โ€” quiet accumulationโœ“

Points met on the latest bar: 1 → registered Signal Strength 0/7. A setup must reach 3+ points to register as a signal (5+ for a strong BUY); below that it reads 0.

This is why XOM can show a mixed trend and solid fundamentals while Signal Strength reads 0/7: those are already-in-trend and value measures, whereas this score fires only on a new tactical setup (an oversold bounce, a divergence, or a high-volume breakout) โ€” none of which is present on the latest bar.

๐Ÿ”ฎ FUTURE PRICE SCENARIOS (AI Forecast)

To assist with risk management, here are the three most probable paths for XOM over the next trading week:

๐ŸŸข The Bull Case (Probability: 20%)

If XOM reclaims the $156.20 resistance level (Bollinger Upper), algorithmic targets shift to $170.29. This move would likely be driven by continued sector rotation into Energy.

๐Ÿ”ด The Bear Case (Probability: 50%)

Failure to hold the $133.21 support zone (Bollinger Lower) triggers a defensive stop-loss signal. In this scenario, the algorithm projects a slide toward the $129.53 liquidity zone (-5.1% from current price).

๐ŸŸก The Base Case (Sideways)

Given the current ADX of 22 (weak trend - consolidation likely), the most likely immediate outcome is consolidation between $133.21 and $156.20 until a volume catalyst occurs.

โš ๏ธ These scenarios are algorithm-generated projections based on technical analysis, not financial advice. Past performance does not guarantee future results.

EXECUTIVE SUMMARY - Essential Metrics

TECHNICAL METRICS VALUE FUNDAMENTAL METRICS VALUE
Current Price $136.54 Market Cap $566.0B
Past Win Rate (Backtest) 53.8% (13 trades) Forward P/E 12.6x
Past Total Return +65.3% Analyst Target $170.29
RSI / Trend Strength 34 / 22 Upside to Target +24.7%
MACD Signal Bearish Revenue Growth +2.6%
Profit Factor 4.29 Institutional Own. 68.7%
Position Entry2026-01-05 @ $123.69Analyst Ratings13 Buy / 10 Hold / 3 Sell
Open Position Past P&L+10.4%

๐ŸŽฏ CONSENSUS

Overall: HOLD

Supporting Factors

  • Technical confluence: 0/7 bullish signals
  • Backtest win rate: 53.8% (13 trades)
  • Analyst consensus: 13 buy ratings
  • Upside potential: +24.7%

Risk Considerations

  • Market volatility: Beta 0.15
  • Valuation: 12.6x forward P/E
  • Position already open
  • News sentiment: Slightly Bullish
Action Plan:

MAINTAIN POSITION - Current position showing 10.4% unrealized gain. Use intelligent stop loss strategy below.

๐Ÿ“Š Strategy Comparison: Conservative vs Adaptive

Both strategies analyzed independently. Conservative uses fixed 2.0x ATR stops. Adaptive adjusts stops based on position profit (tighter as profit grows).

Conservative Strategy

OPEN POSITION

Fixed 2.0x ATR Stop Loss

+10.4%

Entry: $123.69 on 2026-01-05

Confluence: 6.0

Stop Loss: $129.17

Backtest Results (Since 2018):

Past Win Rate

54%

Past Total Return

+65.3%

Max Drawdown

-13.8%

Avg Trade

+13.5%

Trades

13

Adaptive Strategy

NO POSITION

Adaptive ATR Stop Loss (1.0-2.75x)

No Position

Waiting for entry signal...

Entry Stop: $131.02 ({atr_multiplier}x ATR)

Backtest Results (Since 2018):

Past Win Rate

52%

Past Total Return

+58.1%

Max Drawdown

-13.5%

Avg Trade

+7.0%

Trades

21

๐ŸŽฏ Intelligent Stop Loss Strategy

Current Price

$136.54

Buy Stop Loss

$129.17

Distance: 5%

Conservative 2.0x

Position Stop Loss

$131.02

Distance: 4%

Hybrid 1.50x

ATR 14 Day

$3.68

Volatility

ADX Strength

21.7

Emerging trend

Position up +10% - Adaptive strategy adjusts for momentum

ADX: 20-25 = Emerging trend | 25-50 = Strong trend | 50+ = Very strong

๐Ÿ”” ANALYST RATING CHANGES

Recent upgrades, downgrades, and price target changes (last 90 days)

Firm Action From โ†’ To Date
B of A SecuritiesUPGRADENeutral โ†’ BuyJun 16, 2026
RBC CapitalREITERATEDSector Perform โ†’ Sector PerformMay 05, 2026
Wolfe ResearchDOWNGRADEOutperform โ†’ Peer PerformApr 21, 2026
BNP ParibasUPGRADEUnderperform โ†’ NeutralApr 17, 2026

๐ŸŽฏ ANALYST PRICE TARGETS

Average Target: $170.29 High Target: $185.00
Current Price: $136.54 Low Target: $130.00
Upside to Average: +24.7% Number of Analysts: 21

๐Ÿ“Š BUY-SIDE PERSPECTIVE

Portfolio Management Analysis

Expected Returns & Position Sizing

Based on backtest performance (Win Rate: 53.8% over 13 trades, Avg Return: +13.5%) and analyst consensus (Target: $170.29, +24.7% upside), an OVERWEIGHT exposure may be considered. Risk/Reward ratio of 4.58:1 (reward to analyst target vs. distance to the stop) suggests favorable risk-adjusted returns. Current open position shows +10.4% unrealized gain.

Technical Position Assessment

  • Confluence Score: 0/7 - Weak or no signal
  • RSI Level: 34 - Neutral range
  • Trend Strength (ADX): 21.7 - Emerging trend (20-25)
  • Backtested Win Rate: 53.8% over 13 trades with 4.29x profit factor

Liquidity Profile

  • Average Volume: 19.0M shares/day - Moderately liquid
  • Market Cap: $566.0B - Large cap
  • Beta: 0.15 - Lower than market volatility
  • Execution Risk: Low for institutional-sized positions

Risk/Reward Analysis

  • Upside to Analyst Target: +24.7%
  • Historical Average Return: +13.53% per trade
  • Maximum Drawdown Risk: Stop loss typically set at 2-3x ATR ($7.37 to $11.05)
  • Position already open with 10.4% unrealized gain

Institutional Activity

  • Institutional Ownership: 68.7%
  • Largest Holder: Blackrock Inc.
  • Recent Rating Changes: 4 in last 90 days

๐Ÿ“ˆ SELL-SIDE PERSPECTIVE

Investment Research Analysis

Investment Thesis

Exxon Mobil Corporation operates in the Energy sector (Oil & Gas Integrated). Current valuation of 12.6x forward P/E reflects discounted multiples relative to growth prospects. Operating margin of 6.4% shows moderate profitability.

Fundamental Outlook: Challenging - Significant earnings headwinds requiring restructuring

Valuation Metrics

  • Forward P/E: 12.6x (Value opportunity)
  • Trailing P/E: 23.0x
  • Price-to-Sales: 1.74x - Market multiple
  • Price-to-Book: 2.20x
  • PEG Ratio: 1.13 (Fair value)
  • Enterprise Value: $611.8B

Performance Metrics

  • Revenue: $326.0B
  • Revenue Growth: +2.6%
  • Earnings Growth: -43.4%
  • EPS Growth (Next Yr): +81.9%
  • Operating Margin: 6.4%
  • Free Cash Flow: $11.6B

Analyst Consensus

  • Ratings: 13 Buy, 10 Hold, 3 Sell
  • Consensus: Buy
  • Average Target: $170.29 (+24.7% upside)
  • Target Range: $130.00 - $185.00

News Sentiment (14-Day)

Overall Score: 2.3/10 - Slightly Bullish

Bullish Articles (Top 5 of 2)

๐Ÿ“Š Sentiment Interpretation

The news sentiment is moderately bullish, showing generally positive coverage with some caution. Market perception appears favorable but not overwhelmingly positive. This neutral-to-positive sentiment suggests steady conditions without extreme optimism.

๐Ÿ” DEEP DIVE: COMPREHENSIVE RISK ASSESSMENT

Risk Factors and Mitigation Strategies

Market Risks

  • Beta: 0.15 - Low market sensitivity
  • 52-Week Range Position: Current price $136.54 within $105.53 - $176.41
  • Volatility: ATR 14 = $3.68 (Stop loss typically 2-3x = $7.37-$11.05)

Technical Risks

  • RSI Status: 34 - Neutral
  • Support Level: Key support based on moving averages and price action
  • Resistance Level: Next resistance target from technical analysis

Fundamental Risks

  • Valuation: Forward P/E of 12.6x (reasonable)
  • Earnings Risk: Next earnings on Jul 31, 2026
  • Sector Risks: Energy sector specific challenges

๐Ÿ“Š APPENDIX A - Complete Technical Indicators

Comprehensive Technical Data for Quantitative Analysis

Indicator Value Indicator Value
Close Price $136.54 Volume 22.7M
Beta 0.15 Avg Volume 19.0M
EMA 20 $143.30 EMA 50 $147.07
EMA 200 $136.89 Current Price $136.54
RSI (14) 34.17 MACD -3.792
MACD Signal -2.922 MACD Histogram -0.870
Trend Strength (ADX) 21.69 Volatility (ATR 14) $3.68
Bollinger Upper $156.20 Bollinger Lower $133.21
Stochastic %K 9.80 Stochastic %D 12.45
VWAP $136.68 Bollinger Middle $144.70
Confluence Score 0/7 Trade Signal NONE

๐Ÿ’ผ APPENDIX B - Complete Fundamental Metrics

Comprehensive Fundamental Data for Financial Analysis

Valuation Metrics Performance
Market Cap $566.0B Revenue $326.0B
Forward P/E 12.6 Revenue Growth +2.6%
Trailing P/E 23.0 Gross Margin 29.8%
Price/Sales 1.74 Operating Margin 6.4%
Price/Book 2.20 Profit Margin 7.8%
PEG Ratio 1.13 ROE 9.9%
Enterprise Value $611.8B Free Cash Flow $11.6B
EPS (Forward) $10.81 Dividend Yield 3.02%
52-Week Range $105.53 - $176.41

๐Ÿ“ˆ APPENDIX C - Complete Trade History & Backtest Results

Comprehensive Trading Performance and Position Details

Backtest Performance Metrics

Past Win Rate (13 trades)
53.8%
Avg Return
+13.53%
Past Total Return
+65.3%
Profit Factor
4.29

Current Open Position

Entry DateEntry PricePast P&LEntry Stop Loss
2026-01-05$123.69+10.39%$119.53

Recent Trade History (Last 10 Trades)

Entry Date Exit Date Entry Price Exit Price Return % Result
2020-11-192021-03-11$30.16$50.28+66.71%Win
2021-04-212021-06-25$45.93$53.80+17.15%Win
2021-08-192023-03-14$44.54$95.91+115.33%Win
2023-04-052023-05-05$104.92$97.47-7.10%Loss
2023-09-272023-10-09$109.62$101.16-7.72%Loss
2023-10-112023-10-24$97.12$98.85+1.78%Win
2024-02-152024-12-06$96.36$108.09+12.18%Win
2025-04-072025-04-09$98.85$101.60+2.78%Win
2025-06-162025-08-07$109.01$102.68-5.81%Loss
2025-08-272025-09-26$110.28$114.66+3.96%Win

Summary: 13 total trades | Strategy: Conservative Stop Loss (Fixed ATR-based)

โš ๏ธ IMPORTANT DISCLAIMER

Disclaimer: This report is for informational and educational purposes only and does not constitute investment advice. Ultra Stock Analysis Pro is not a registered investment advisor; information is impersonal and not tailored to individual circumstances. AI-generated content may contain errors โ€” verify before acting. Past performance is not indicative of future results. Technical analysis based on historical data through 2026-06-26. Fundamental data auto-fetched from Yahoo Finance. Please conduct your own due diligence before making investment decisions.

Report Generated: June 28, 2026 at 12:09 PM

Ultra Stock Analysis Pro - Comprehensive Technical & Fundamental Analysis

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