Exxon Current Ratio 2010-2023 | XOM

Current and historical current ratio for Exxon (XOM) from 2010 to 2023. Current ratio can be defined as a liquidity ratio that measures a company's ability to pay short-term obligations. Exxon current ratio for the three months ending December 31, 2023 was 1.48.
Exxon Current Ratio Historical Data
Date Current Assets Current Liabilities Current Ratio
2023-12-31 $96.61B $65.32B 1.48
2023-09-30 $101.14B $71.19B 1.42
2023-06-30 $91.76B $61.82B 1.48
2023-03-31 $97.22B $66.67B 1.46
2022-12-31 $97.63B $69.05B 1.41
2022-09-30 $99.29B $74.06B 1.34
2022-06-30 $93.16B $80.11B 1.16
2022-03-31 $77.26B $72.06B 1.07
2021-12-31 $59.15B $56.64B 1.04
2021-09-30 $55.56B $61.86B 0.90
2021-06-30 $52.84B $62.24B 0.85
2021-03-31 $48.20B $60.15B 0.80
2020-12-31 $44.89B $56.36B 0.80
2020-09-30 $48.69B $56.47B 0.86
2020-06-30 $53.02B $57.27B 0.93
2020-03-31 $50.25B $64.77B 0.78
2019-12-31 $50.05B $63.99B 0.78
2019-09-30 $50.01B $64.20B 0.78
2019-06-30 $51.74B $70.29B 0.74
2019-03-31 $51.58B $66.63B 0.77
2018-12-31 $47.97B $57.14B 0.84
2018-09-30 $53.98B $65.29B 0.83
2018-06-30 $50.56B $62.45B 0.81
2018-03-31 $48.32B $60.31B 0.80
2017-12-31 $47.13B $57.77B 0.82
2017-09-30 $45.75B $53.78B 0.85
2017-06-30 $42.18B $50.95B 0.83
2017-03-31 $43.13B $53.37B 0.81
2016-12-31 $41.42B $47.64B 0.87
2016-09-30 $42.95B $50.02B 0.86
2016-06-30 $45.83B $51.50B 0.89
2016-03-31 $44.25B $48.73B 0.91
2015-12-31 $42.62B $53.98B 0.79
2015-09-30 $47.23B $54.83B 0.86
2015-06-30 $51.65B $58.37B 0.89
2015-03-31 $50.66B $55.93B 0.91
2014-12-31 $52.91B $64.63B 0.82
2014-09-30 $58.60B $65.98B 0.89
2014-06-30 $64.01B $69.53B 0.92
2014-03-31 $61.86B $70.11B 0.88
2013-12-31 $59.31B $71.72B 0.83
2013-09-30 $61.30B $72.75B 0.84
2013-06-30 $62.84B $72.69B 0.87
2013-03-31 $62.59B $70.08B 0.89
2012-12-31 $64.46B $64.14B 1.01
2012-09-30 $72.14B $70.06B 1.03
2012-06-30 $72.80B $70.14B 1.04
2012-03-31 $76.16B $79.99B 0.95
2011-12-31 $72.96B $77.51B 0.94
2011-09-30 $69.38B $74.97B 0.93
2011-06-30 $72.31B $74.53B 0.97
2011-03-31 $72.02B $73.58B 0.98
2010-12-31 $58.98B $62.63B 0.94
2010-09-30 $62.63B $61.74B 1.01
2010-06-30 $62.22B $57.82B 1.08
2010-03-31 $61.70B $57.74B 1.07
2009-12-31 $55.24B $52.06B 1.06
2009-09-30 $57.32B $52.93B 1.08
2009-06-30 $59.50B $51.61B 1.15
2009-03-31 $64.82B $49.51B 1.31
Sector Industry Market Cap Revenue
Oils/Energy Oil & Gas - International Integrated $419.957B $344.582B
ExxonMobil's bellwether status in the energy space, optimal integrated capital structure that has historically produced industry-leading returns and management's track record of capex discipline across the commodity price cycle make it a relatively lower-risk energy sector play. The company owns some of the most prolific upstream assets globally. Other aspects of the company's story include the largest global refining operations, substantial chemicals assets and a dividend history and credit profile that are second to none in the space. ExxonMobil's capital spending discipline is quite aggressive. The company has a plan in place to allocate significant proportion of its budget to key oil and gas projects. The company's business perspective looks different from most peers since big oil rivals have pledged to lower carbon emissions to tackle climate change. ExxonMobil divides its operations into three main segments: Upstream, Downstream and Chemical.
Stock Name Country Market Cap PE Ratio
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