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ConocoPhillips

COP

$119.23
0.18 (0.15%)
polled · warming up

Abajo encontrarás el precio en vivo de ConocoPhillips (COP), un gráfico de 1 año, 8 indicadores (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volumen) y el modo de comparación. Puedes añadir a tu cartera, marcar como favorito o configurar alertas de precio.

Day
+0.15%
+0.18
Week
+3.69%
+4.24
Month
-3.32%
-4.09
Year
Prev close
$119.05
Volume
$4.81M
Market cap
$145.26B
Currency
USD

Financials

52w high
$135.87
52w low
$85.23
52w change
39.48%
Day high
$119.58
Day low
$117.60
P/E (TTM)
20.21
Forward P/E
12.97
PEG
0.99
Price / Book
2.25
Beta (5Y)
0.15
Enterprise value
162.22B
EV / Revenue
2.73
EV / EBITDA
6.95
EPS (TTM)
$5.90
Forward EPS
$9.20
Dividend yield
2.82%
Dividend rate
$3.36
Payout ratio
54.92%
Revenue (TTM)
59.38B
EBITDA
23.35B
Free cash flow
5.29B
Total cash
6.36B
Total debt
23.33B
Debt / Equity
36.14
Current ratio
1.29
Quick ratio
1.07
Profit margin
12.33%
Gross margin
45.59%
Return on assets
5.87%
Return on equity
11.28%
Shares outstanding
1.22B
Float
1.22B
Sector: EnergyIndustry: Oil & Gas E&PHQ: United StatesEmployees: 9.7Kwww.conocophillips.com

ConocoPhillips explores for, produces, transports, and markets crude oil, bitumen, natural gas, liquefied natural gas (LNG), and natural gas liquids. It operates in five segments: Alaska; Lower 48; Canada; Europe, Middle East and North Africa; and Asia Pacific. The company's portfolio includes unconventional plays in North America; conventional assets in North America, Europe, Asia, and Australia; global LNG developments; oil sands assets in Canada; and an inventory of global exploration prospects. It serves in the United States, Canada, China, Equatorial Guinea, Libya, Malaysia, Norway, Singapore, the United Kingdom, and internationally. ConocoPhillips was founded in 1917 and is headquartered in Houston, Texas.

Analyst & Risk

Consensus
Buy
Mean rating1.85 / 5
Analysts26
Next earnings2026-08-06
Strong buy 5Buy 13Hold 9
Analyst price target
$142.77
Mean target · 26 analysts
+19.7%
upside
Low $121.00Now $119.23High $183.00
Beta (vs S&P 500)
0.15
very stable
52-week change
39.48%
Short % of float
2.29%
Short ratio (days)
3.34
Debt / Equity
36.14
very high leverage
Current ratio
1.29
Quick ratio
1.07
ROE
11.28%
ROA
5.87%
PEG ratio
0.99
potentially undervalued
EV / Revenue
2.73
EV / EBITDA
6.95
Revenue growth
-5.30%
Earnings growth
-20.20%
EBITDA
23.35B
Free cash flow
5.29B
Total cash
6.36B
Total debt
23.33B
Insider holdings
0.13%
Institutional
87.05%

Recent rating changes

  • 2026-05-27MizuhoOutperformOutperformmain
  • 2026-05-26BarclaysOverweightOverweightmain
  • 2026-05-22Morgan StanleyOverweightOverweightmain
  • 2026-05-01BarclaysOverweightOverweightmain
  • 2026-04-22ScotiabankSector PerformSector Performmain
  • 2026-04-09Wells FargoOverweightOverweightmain
  • 2026-04-08Piper SandlerOverweightOverweightmain
  • 2026-04-02CitigroupBuyBuymain

Discusión en vivo

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