ConocoPhillips
COP
Ci-dessous : le cours en direct de ConocoPhillips (COP), un graphique 1 an, 8 indicateurs (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volume) et le mode de comparaison. Ajoutez à votre portefeuille, mettez en favori ou définissez des alertes de prix.
- 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
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
- 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
- 2026-05-27MizuhoOutperform → Outperformmain
- 2026-05-26BarclaysOverweight → Overweightmain
- 2026-05-22Morgan StanleyOverweight → Overweightmain
- 2026-05-01BarclaysOverweight → Overweightmain
- 2026-04-22ScotiabankSector Perform → Sector Performmain
- 2026-04-09Wells FargoOverweight → Overweightmain
- 2026-04-08Piper SandlerOverweight → Overweightmain
- 2026-04-02CitigroupBuy → Buymain
Financial documents
- Corporate Changes & Voting Matters8-K2026-05-14
- Periodic Financial Reports10-Q2026-04-30
- Proxy StatementsDEFA14A2026-03-30
- Periodic Financial Reports10-K2026-02-17
- Corporate Changes & Voting Matters8-K2026-02-05
- Periodic Financial Reports10-Q2025-11-06
- Specialized Disclosure Report filed pursuant to Section 1502 of the Dodd-Frank Wall Street Reform and Consumer Protection Act relating to the use of conflict minerals (Rule 13p-1)SD2025-09-12
- Periodic Financial Reports10-Q2025-08-07
- Corporate Changes & Voting Matters8-K2025-07-01
- Annual report of employee stock purchase11-K2025-06-23
- Corporate Changes & Voting Matters8-K2025-05-15
- A correspondence can be sent as a document with another submission type or can be sent as a separate submissionCORRESP2025-05-13
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- 3 Reasons We’re Fans of ConocoPhillips (COP)StockStory1d ago
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