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Energy - Oil & Gas Integrated - NYSE - US
$ 111.9
2.97 %
$ 486 B
Market Cap
14.27
P/E
BALANCE SHEET
453 B ASSETS
20.50%
183 B LIABILITIES
11.66%
271 B EQUITY
32.13%
BALANCE SHEET DECOMPOSITION
Balance Sheet Exxon Mobil Corporation
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Current Assets 92 B
Cash & Short-Term Investments 23.2 B
Receivables 43.7 B
Other Current Assets 25.1 B
Non-Current Assets 361 B
Long-Term Investments 47.2 B
PP&E 294 B
Other Non-Current Assets 20 B
Current Liabilities 70.3 B
Accounts Payable 0
Short-Term Debt 4.96 B
Other Current Liabilities 65.4 B
Non-Current Liabilities 113 B
Long-Term Debt 63.8 B
Other Non-Current Liabilities 48.7 B

Balance Sheet

Millions
Dec-2024 Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995 Dec-1994 Dec-1993 Dec-1992 Dec-1991 Dec-1990 Dec-1989 Dec-1988 Dec-1987 Dec-1986 Dec-1985
ASSETS
Cash & Cash Equivalents 23 187.0 31 568.0 29 640.0 6 802.0 4 364.0 3 089.0 3 042.0 3 177.0 3 657.0 3 705.0 4 616.0 4 644.0 9 582.0 12 664.0 7 825.0 10 693.0 31 437.0 33 981.0 28 244.0 28 671.0 18 531.0 10 626.0 7 229.0 6 547.0 7 080.0 1 688.0 1 441.0 4 047.0 2 951.0 1 508.0 1 157.0 983.0 898.0 1 496.0 1 332.0 1 865.0 2 409.0 2 531.0 3 816.0 2 474.0
Short Term Investments -- (29.0) 0 0 0 0 0 0 0 0 0 0 0 0 2.0 169.0 570.0 519.0 0 0 0 0 0 0 1.0 73.0 20.0 0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 43 681.0 38 015.0 41 749.0 32 383.0 20 581.0 26 966.0 24 701.0 25 597.0 21 394.0 19 875.0 28 009.0 33 152.0 34 987.0 38 642.0 32 284.0 27 645.0 24 702.0 36 450.0 28 942.0 27 484.0 25 359.0 24 309.0 21 163.0 19 549.0 22 996.0 19 155.0 9 512.0 10 702.0 10 499.0 8 925.0 8 073.0 6 860.0 8 079.0 8 540.0 9 574.0 7 787.0 6 094.0 6 278.0 6 784.0 7 527.0
Inventory -- 25 120.0 24 435.0 18 780.0 18 850.0 18 528.0 18 958.0 16 992.0 15 080.0 16 245.0 16 678.0 16 135.0 14 542.0 15 024.0 12 976.0 11 553.0 11 646.0 11 089.0 10 714.0 9 321.0 9 487.0 8 957.0 8 068.0 7 904.0 8 304.0 8 492.0 5 605.0 5 487.0 5 285.0 5 681.0 5 541.0 5 472.0 5 807.0 6 081.0 6 386.0 5 622.0 5 151.0 5 172.0 4 551.0 4 796.0
Other Current Assets 25 122.0 1 935.0 1 807.0 1 189.0 1 098.0 1 469.0 1 272.0 1 368.0 1 285.0 2 798.0 3 607.0 5 377.0 5 349.0 6 229.0 5 899.0 5 175.0 3 911.0 3 924.0 3 273.0 3 262.0 2 396.0 2 068.0 1 831.0 1 681.0 2 019.0 1 733.0 1 015.0 956.0 1 175.0 1 204.0 1 689.0 1 544.0 1 640.0 895.0 1 044.0 1 302.0 1 192.0 1 410.0 1 169.0 2 558.0
Total Current Assets 91 990.0 96 609.0 97 631.0 59 154.0 44 893.0 50 052.0 47 973.0 47 134.0 41 416.0 42 623.0 52 910.0 59 308.0 64 460.0 72 963.0 58 984.0 55 235.0 72 266.0 85 963.0 75 777.0 73 342.0 60 377.0 45 960.0 38 291.0 35 681.0 40 399.0 31 141.0 17 593.0 21 192.0 19 910.0 17 318.0 16 460.0 14 859.0 16 424.0 17 012.0 18 336.0 16 576.0 14 846.0 15 391.0 16 320.0 17 355.0
PP&E 294 318.0 214 940.0 204 692.0 216 552.0 227 553.0 253 018.0 247 101.0 252 630.0 244 224.0 251 605.0 252 668.0 243 650.0 226 949.0 214 664.0 199 548.0 139 116.0 121 346.0 120 869.0 113 687.0 107 010.0 108 639.0 104 965.0 94 940.0 89 602.0 89 829.0 94 043.0 65 199.0 66 414.0 66 607.0 65 446.0 63 425.0 61 962.0 61 799.0 63 864.0 62 688.0 60 425.0 54 059.0 53 434.0 49 289.0 48 262.0
Intangible Assets 19 967.0 0 16 951.0 18 022.0 16 789.0 16 363.0 10 332.0 9 767.0 9 572.0 8 285.0 8 676.0 7 522.0 7 668.0 9 092.0 8 640.0 7 307.0 5 884.0 7 056.0 6 314.0 7 391.0 7 836.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill -- 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 47 200.0 47 630.0 49 793.0 45 195.0 43 515.0 43 164.0 40 790.0 39 160.0 35 102.0 34 245.0 35 239.0 36 328.0 34 718.0 34 333.0 35 338.0 31 665.0 28 556.0 28 194.0 23 237.0 20 592.0 18 404.0 357 104.0 101 694.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Long Term Assets -- 17 138.0 (22 874.0) (20 165.0) (18 165.0) (25 620.0) (27 244.0) (26 893.0) (34 041.0) (36 818.0) (39 230.0) (40 530.0) (37 570.0) (36 618.0) (35 150.0) (23 148.0) (19 726.0) (22 899.0) (20 851.0) (20 878.0) (21 092.0) 23 353.0 19 413.0 17 891.0 18 772.0 19 337.0 9 838.0 8 458.0 9 010.0 8 532.0 7 977.0 7 324.0 6 807.0 6 684.0 6 683.0 6 218.0 5 388.0 5 217.0 3 875.0 3 543.0
Other Assets 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Assets 453 475.0 376 317.0 369 067.0 338 923.0 332 750.0 362 597.0 346 196.0 348 691.0 330 314.0 336 758.0 349 493.0 346 808.0 333 795.0 331 052.0 302 510.0 233 323.0 228 052.0 242 082.0 219 015.0 208 335.0 195 256.0 174 278.0 152 644.0 143 174.0 149 000.0 144 521.0 92 630.0 96 064.0 95 527.0 91 296.0 87 862.0 84 145.0 85 030.0 87 560.0 87 707.0 83 219.0 74 293.0 74 042.0 69 484.0 69 160.0
LIABILITIES
Accounts Payable -- 31 249.0 33 169.0 26 623.0 17 499.0 24 694.0 21 063.0 21 701.0 17 801.0 18 074.0 25 286.0 30 920.0 33 789.0 33 969.0 30 780.0 24 236.0 21 190.0 29 239.0 25 084.0 31 349.0 26 611.0 28 445.0 13 792.0 22 862.0 26 755.0 13 524.0 10 915.0 14 683.0 14 510.0 14 113.0 13 391.0 12 122.0 12 645.0 14 079.0 15 611.0 13 581.0 0 0 0 0
Short Term Debt 4 955.0 3 995.0 634.0 4 276.0 20 458.0 20 578.0 17 258.0 17 930.0 13 830.0 18 762.0 17 468.0 15 808.0 3 653.0 7 711.0 2 787.0 2 476.0 2 400.0 2 383.0 1 702.0 1 771.0 3 280.0 4 789.0 4 093.0 3 703.0 6 161.0 10 570.0 4 248.0 2 902.0 2 510.0 2 247.0 3 858.0 4 109.0 4 787.0 4 460.0 6 090.0 6 757.0 4 949.0 2 864.0 3 584.0 3 089.0
Other Current Liabilities 65 352.0 26 883.0 30 028.0 20 247.0 14 314.0 13 836.0 12 925.0 11 784.0 10 739.0 11 401.0 13 651.0 13 282.0 16 939.0 15 975.0 12 476.0 11 118.0 9 587.0 9 551.0 13 998.0 4 771.0 5 152.0 1 457.0 14 374.0 3 549.0 5 275.0 14 639.0 4 249.0 2 069.0 2 485.0 2 376.0 2 244.0 2 359.0 2 231.0 2 315.0 2 324.0 1 646.0 12 530.0 12 432.0 11 636.0 16 000.0
Total Current Liabilities 70 307.0 65 316.0 69 045.0 56 643.0 56 363.0 63 989.0 57 138.0 57 771.0 47 638.0 53 976.0 64 633.0 71 724.0 64 139.0 77 505.0 62 633.0 52 061.0 49 100.0 58 312.0 48 817.0 46 307.0 42 981.0 38 386.0 33 175.0 30 114.0 38 191.0 38 733.0 19 412.0 19 654.0 19 505.0 18 736.0 19 493.0 18 590.0 19 663.0 20 854.0 24 025.0 21 984.0 17 479.0 15 296.0 15 220.0 19 089.0
Long Term Debt 63 820.0 37 483.0 44 752.0 47 382.0 51 311.0 30 963.0 20 538.0 24 406.0 28 932.0 19 925.0 11 653.0 6 891.0 7 928.0 9 322.0 (7 140.0) (10 813.0) 7 025.0 7 183.0 6 645.0 2 657.0 5 013.0 4 756.0 6 655.0 7 099.0 7 280.0 8 402.0 4 530.0 7 050.0 7 236.0 7 778.0 8 831.0 8 506.0 8 637.0 8 582.0 7 687.0 9 275.0 4 689.0 5 021.0 4 294.0 4 820.0
Deferred Tax Income 39 042.0 24 452.0 22 874.0 20 165.0 18 165.0 25 620.0 27 244.0 26 893.0 34 041.0 36 818.0 39 230.0 40 530.0 37 570.0 36 618.0 35 150.0 23 148.0 19 726.0 22 899.0 20 851.0 20 878.0 21 092.0 20 118.0 16 484.0 16 359.0 16 442.0 16 251.0 13 142.0 13 452.0 13 475.0 12 431.0 11 435.0 10 939.0 11 135.0 12 449.0 12 568.0 12 353.0 11 849.0 11 863.0 10 828.0 11 042.0
Other Liabilities 9 700.0 36 528.0 29 923.0 39 050.0 42 781.0 43 087.0 42 748.0 45 121.0 45 873.0 49 229.0 52 913.0 47 168.0 52 498.0 21 869.0 20 454.0 17 651.0 34 678.0 27 644.0 24 851.0 16 654.0 17 129.0 17 721.0 18 965.0 13 616.0 13 100.0 13 981.0 9 989.0 9 877.0 9 855.0 9 745.0 8 520.0 8 923.0 8 844.0 7 781.0 7 422.0 6 500.0 8 509.0 8 236.0 7 130.0 5 113.0
Total Liabilities 182 869.0 163 779.0 166 594.0 163 240.0 168 620.0 163 659.0 147 668.0 154 191.0 156 484.0 159 948.0 168 429.0 166 313.0 162 135.0 170 308.0 149 831.0 117 931.0 110 529.0 116 038.0 105 171.0 93 622.0 89 548.0 80 981.0 75 279.0 67 188.0 75 013.0 77 367.0 47 073.0 50 033.0 50 071.0 48 690.0 48 279.0 46 958.0 48 279.0 49 666.0 51 702.0 50 112.0 42 526.0 40 416.0 37 472.0 40 064.0
EQUITY
Common Stock -- 17 781.0 15 752.0 15 746.0 15 688.0 15 637.0 15 258.0 14 656.0 12 157.0 11 612.0 10 792.0 10 077.0 9 653.0 9 512.0 9 371.0 5 503.0 5 314.0 4 933.0 4 786.0 5 743.0 5 067.0 0 0 0 0 3 403.0 2 323.0 0 0 0 0 0 0 0 0 0 0 0 0 0
Retained Earnings 470 903.0 453 927.0 432 860.0 392 059.0 383 943.0 421 341.0 421 653.0 414 540.0 407 831.0 412 444.0 408 384.0 387 432.0 365 727.0 330 939.0 298 899.0 276 937.0 265 680.0 228 518.0 195 207.0 163 335.0 134 390.0 115 956.0 100 961.0 95 718.0 86 652.0 75 055.0 54 575.0 52 214.0 57 156.0 53 539.0 50 821.0 49 365.0 47 697.0 46 483.0 44 286.0 42 433.0 41 865.0 39 476.0 37 322.0 34 565.0
Other Accumulative Comprehensive Income/Loss (14 619.0) (11 989.0) (13 270.0) (13 764.0) (16 705.0) (19 493.0) (19 564.0) (16 262.0) (22 239.0) (23 511.0) (18 957.0) (10 725.0) (12 184.0) (9 123.0) (4 823.0) (5 461.0) (9 931.0) 1 989.0 (2 762.0) (2 545.0) 513.0 (1 148.0) (6 504.0) (6 749.0) (5 424.0) (2 866.0) (1 048.0) (61 364.0) (59 759.0) (56 891.0) (52 901.0) 0 0 0 0 0 0 0 0 0
Total Equity 277 507.0 212 538.0 202 473.0 175 683.0 164 130.0 198 938.0 198 528.0 194 500.0 173 830.0 176 810.0 181 064.0 180 495.0 171 660.0 160 744.0 152 679.0 115 392.0 117 523.0 126 044.0 113 844.0 114 713.0 105 708.0 93 297.0 77 365.0 75 986.0 73 987.0 67 154.0 45 557.0 46 031.0 45 456.0 42 606.0 39 583.0 37 187.0 36 751.0 37 894.0 36 005.0 33 107.0 31 767.0 33 626.0 32 012.0 29 096.0
Total Liabilities and Equity 453 475.0 376 317.0 369 067.0 338 923.0 332 750.0 362 597.0 346 196.0 348 691.0 330 314.0 336 758.0 349 493.0 346 808.0 333 795.0 331 052.0 302 510.0 233 323.0 228 052.0 242 082.0 219 015.0 208 335.0 195 256.0 174 278.0 152 644.0 143 174.0 149 000.0 144 521.0 92 630.0 96 064.0 95 527.0 91 296.0 87 862.0 84 145.0 85 030.0 87 560.0 87 707.0 83 219.0 74 293.0 74 042.0 69 484.0 69 160.0
SHARES OUTSTANDING
Common Shares Outstanding 4 298.0 4 050.6 4 205.0 4 275.0 4 271.0 4 270.0 4 237.0 4 256.0 4 170.2 4 194.8 4 278.9 4 420.6 4 628.0 4 870.7 4 885.0 4 832.0 5 149.0 5 517.7 5 913.2 6 272.6 6 478.3 6 638.9 6 781.1 6 870.0 6 949.0 6 907.0 4 873.6 4 961.9 4 972.1 4 966.8 4 970.9 4 957.2 4 983.3 4 963.7 4 989.7 5 124.1 5 313.1 5 627.9 5 763.4 6 012.3