在问题2期间,机构投资者在Exxon Mobil股份上的活动是混合的,因为该公司报告收入丰厚,并维持了“机动购买”分析人的共识。
Institutional investors had mixed activity in Exxon Mobil shares during Q2, as the company reported strong earnings and maintained a "Moderate Buy" analyst consensus.
机构投资者在第二季度对埃克森美股票进行了多种变动,AdviceOne将其股份增加5.6%至5,986股,同时投资顾问购买了21,201股,持有224,315股,而Apollon Wealth Management则将其股份减少了1,907股.
Institutional investors made varied moves in Exxon Mobil shares during Q2, with AdviceOne increasing its stake by 5.6% to 5,986 shares, Concurrent Investment Advisors buying 21,201 more shares to hold 224,315, and Apollon Wealth Management reducing its position by 1,907 shares.
副总统Darrin L. Talley出售了2 158股,将他的股权削减了13.5%。
Vice President Darrin L. Talley sold 2,158 shares, cutting his ownership by 13.5%.
Exxon报告了65美元EPS和575.5亿美元的收入,净利润率为9.17%,股本回报率为11.34%。
Exxon reported $0.65 EPS and $57.55 billion in revenue, with a 9.17% net margin and 11.34% return on equity.
股票交易额为112 40美元,市场上限为4792.1亿美元,P/E为15.97美元,红利收益率为3.5%。
The stock traded at $112.40, with a market cap of $479.21 billion, a P/E of 15.97, and a 3.5% dividend yield.
分析员维持“机动购买”共识,目标为126.05美元,预计全年EPS为7.43美元。
Analysts maintain a "Moderate Buy" consensus with a $126.05 target, and full-year EPS is projected at $7.43.