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Exxon Mobil | ARS: Annual Report to Security Holders

Exxon Mobil | ARS: Annual Report to Security Holders

埃克森美孚 | ARS:年度報告
SEC announcement ·  04/11 09:04
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Exxon Mobil Corporation (ExxonMobil) reported a decrease in annual total shareholder return (TSR) to -6.2% in 2023, with a 5-year TSR of 13.6% and a 10-year return of 4.3%. The company's stock performance was compared to the S&P 500 and an industry competitor group consisting of BP, Chevron, Shell, and TotalEnergies. Despite the downturn in 2023, ExxonMobil's stock showed strong performance over the 5-year and 10-year periods. The company's financial strength and diverse portfolio of opportunities were highlighted as key factors in managing the risks associated with changes in commodity prices, currency rates, and interest rates. ExxonMobil's forward-looking statements included discussions of future carbon capture, transportation, and storage plans, as well as other emission reduction initiatives dependent on market factors and policy support.
Exxon Mobil Corporation (ExxonMobil) reported a decrease in annual total shareholder return (TSR) to -6.2% in 2023, with a 5-year TSR of 13.6% and a 10-year return of 4.3%. The company's stock performance was compared to the S&P 500 and an industry competitor group consisting of BP, Chevron, Shell, and TotalEnergies. Despite the downturn in 2023, ExxonMobil's stock showed strong performance over the 5-year and 10-year periods. The company's financial strength and diverse portfolio of opportunities were highlighted as key factors in managing the risks associated with changes in commodity prices, currency rates, and interest rates. ExxonMobil's forward-looking statements included discussions of future carbon capture, transportation, and storage plans, as well as other emission reduction initiatives dependent on market factors and policy support.
埃克森美孚公司(埃克森美孚)報告稱,2023年年度股東總回報率(TSR)下降至-6.2%,5年期股東回報率爲13.6%,10年期回報率爲4.3%。該公司的股票表現與標準普爾500指數和由英國石油公司、雪佛龍、殼牌和TotalEnergies組成的行業競爭對手集團進行了比較。儘管2023年出現低迷,但埃克森美孚的股票在5年和10年內表現強勁。該公司的財務實力和多樣化的機會組合被認爲是管理與大宗商品價格、匯率和利率變動相關的風險的關鍵因素。埃克森美孚的前瞻性陳述包括對未來碳捕集、運輸和儲存計劃的討論,以及其他取決於市場因素和政策支持的減排舉措。
埃克森美孚公司(埃克森美孚)報告稱,2023年年度股東總回報率(TSR)下降至-6.2%,5年期股東回報率爲13.6%,10年期回報率爲4.3%。該公司的股票表現與標準普爾500指數和由英國石油公司、雪佛龍、殼牌和TotalEnergies組成的行業競爭對手集團進行了比較。儘管2023年出現低迷,但埃克森美孚的股票在5年和10年內表現強勁。該公司的財務實力和多樣化的機會組合被認爲是管理與大宗商品價格、匯率和利率變動相關的風險的關鍵因素。埃克森美孚的前瞻性陳述包括對未來碳捕集、運輸和儲存計劃的討論,以及其他取決於市場因素和政策支持的減排舉措。
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