Profile
YPF XOM CVX SHEL TTE BP
Company Name YPF Sociedad Anónima Exxon Mobil Corporation Chevron Corporation Shell plc TotalEnergies SE BP p.l.c.
Sector Energy Energy Energy Energy Energy Energy
Industry Oil & Gas Integrated Oil & Gas Integrated Oil & Gas Integrated Oil & Gas Integrated Oil & Gas Integrated Oil & Gas Integrated
Market Cap $12.13B $458.78B $239.37B $194.05B $127.46B $73.48B
Employees 21.59K 61.00K 45.30K 96.00K 95.39K 100.50K
CEO Mr. Horacio Daniel Marin Mr. Darren W. Woods Mr. Michael K. Wirth Mr. Wael Sawan Mr. Patrick Pouyanne Mr. Murray Auchincloss
Ratings
YPF XOM CVX SHEL TTE BP
Quant Rating Score 3 4 4 3 4 1
Quant Rating Neutral Buy Buy Neutral Buy Strong Sell
Trading
YPF XOM CVX SHEL TTE BP
Last Close $30.84 $106.07 $137.04 $65.08 $57.4 $28.59
High 52 $46.03 $125.37 $168.51 $74.17 $74.06 $38.1
Low 52 $18.06 $99.93 $133.73 $59.75 $53.37 $26.11
Price vs. 52 Week High -33 % -15.39 % -18.68 % -12.26 % -22.5 % -24.96 %
Price vs. 52 Week Low 70.76 % 6.14 % 2.48 % 8.92 % 7.55 % 9.5 %
Total Return
YPF XOM CVX SHEL TTE BP
1 Month Return 4.15 % 0.26 % -6.16 % 1.86 % 1.07 % 2.47 %
3 Month Return -18.39 % -2.59 % -10.18 % -1.25 % -5.56 % -11.36 %
6 Month Return 5.47 % -12.42 % -12.67 % -2.95 % -6.26 % -1.18 %
9 Month Return 49.85 % -10.75 % -5.48 % -9.46 % -14.51 % -14.04 %
YTD Return -27.45 % -1.39 % -5.39 % 3.88 % 5.32 % -3.28 %
1 Year Return 26.5 % -10.44 % -17.17 % -11.52 % -22.13 % -24.84 %
3 Year Return 0 % 0 % 0 % 0 % 0 % 0 %
5 Year Return 0 % 0 % 0 % 0 % 0 % 0 %
Dividends
YPF XOM CVX SHEL TTE BP
Dividend Yield Percentage (TTM) - 3.66 % 4.82 % 4.66 % 5.18 % 6.91 %
Dividend Paid and Capex Coverage Ration (TTM) -93.67 % 1.26 % 1.17 % 1.81 % 1.33 % 1.26 %
Dividend Per Share (TTM) - 3.88 % 6.6 % 1.15 % 2.37 % 0.24 %
Payout Ratio (TTM) - 51.94 % 56.16 % 63.9 % 55.78 % -421.84 %
Growth
YPF XOM CVX SHEL TTE BP
Asset Growth 120879.82 % 20.5 % -1.79 % 0.65 % 0.69 %
Gross Profit Growth 162.64 % -8.79 % 9.79 % -19.81 % -52.79 %
Revenue Growth 232.2 % 1.36 % 2.99 % -10.66 % -9.2 %
Revenue 3 Year 1330 % 21.95 % 37.99 % 22.25 % -11.6 %
Revenue 5 Year 2575.09 % 31.87 % 50.79 % 26.61 % -49.52 %
Revenue 10 Year 12512.28 % -14.3 % 5.29 % -8.05 % -63.76 %
EBIT Growth 438 % -7.02 % -6.5 % -21.32 % -58.42 %
Net Income Growth 233.07 % -6.47 % -17.35 % -26.31 % -97.5 %
Net Income 3 Yeari Growth Per Share 255503.32 % 45.4 % 19.68 % 13.41 % -96.29 %
Net Income 5 Yeari Growth Per Share 6290.23 % 133.34 % 528.17 % 59.55 % -92.97 %
Net Income 10 Yeari Growth Per Share 22987.16 % 3.11 % -4.46 % 270.05 % -93.17 %
Operating Income Growth 9.48 % -10.82 % 4.87 % -21.64 % -72.65 %
Operating Cash Flow Growth (CFG) 94592.17 % -0.63 % -11.56 % -24.15 % -14.8 %
Operating 3 Year CFG 1290.42 % 13.71 % 14.24 % 17.07 % -14.79 %
Operating 5 Year CFG 2464.67 % 83.95 % 19.97 % 42.59 % -21.32 %
Operating 10 Year CFG 12036.26 % 21.42 % 4.15 % 20.08 % -43.55 %
EPS Growth 232.94 % -11.81 % -14.08 % -21.92 % -98.37 %
EPS Diluted Growth 232.94 % -11.81 % -14.51 % -22.53 % -98.37 %
Book Value Per Share 134918.85 % 19.99 % -1.68 % 6.71 % -40.46 %
Share Holder 3 Year Equity Growth Per Share 1320.15 % 59.66 % -3.65 % 21.71 % -42.13 %
Share Holder 5 Year Equity Growth Per Share 2101.2 % 40.28 % -10.39 % 15.13 % -55.28 %
Share Holder 10 Year Equity Growth Per Share 16439.12 % 54.48 % -15.13 % 30.04 % -63.99 %
Dividend Per Share Growth - 5.36 % 8.21 % 8.82 % -32.38 %
Dividend 3 Year Growth Per Share - 11.33 % 22.74 % 8.22 % -14.32 %
Dividend 5 Year Growth Per Share -100 % 13.26 % 36.98 % 32.56 % -46.5 %
Dividend 10 Year Growth Per Share -100 % 43.76 % 54.93 % 5.24 % -42.07 %
Debt Growth 112977.55 % 44.16 % -5.86 % 11.88 % 13.43 %
Free Cash Flow Growth 88828.33 % -8.17 % -23.94 % -30.54 % -32.41 %
Updated On 31 Dec 2024 31 Dec 2024 31 Dec 2024 31 Dec 2024 31 Dec 2024
Profitability
YPF XOM CVX SHEL TTE BP
Gross Profit Margin TTM 28.07 % 24.59 % 46.18 % 15.15 % 28.6 % 15.43 %
Return on Assets TTM 8123.78 % 7.34 % 6.11 % 3.47 % 4.77 % -0.42 %
Return on Equity TTM 53.15 % 12.4 % 10.16 % 7.4 % 11.84 % -1.92 %
Return on Capital Employed TTM 8380.25 % 7.85 % 20.65 % 9.33 % 11.86 % 7.91 %
Net Income Per EBT TTM 188 % 68.96 % 62.27 % 48.55 % 56.19 % -22.64 %
EBT Per Ebit TTM 73.16 % 161.98 % 47.54 % 101.83 % 103.92 % 33.59 %
EBIT Per Revenue TTM 13.34 % 8.68 % 27.22 % 9.73 % 12.41 % 8.4 %
Cash Flow To Debt Ratio TTM -5213.73 % 83.44 % 83.11 % - 52.97 % 35.32 %
Receivables Turnover TTM 6299.23 7.39 - 5.83 7.7 6.51
Payables Turnover TTM 3319.42 - - 3.92 3.22 2.69
Inventory Turnover TTM 6054.82 - - 10.38 7.19 6.41
Fixed Asset Turnover TTM 66436.29 % 116.85 % - 152.99 % 170.72 % 186.34 %
Asset Turnover TTM 44279.56 % 75.67 % 75.84 % 72.21 % 65.84 % 66.53 %
Operating Cash Flow Per Share TTM -1304.28 11.95 14.14 8.04 13.6 1.59
Free Cash Flow Per Share TTM -1318.2 6.32 7.1 4.96 6.76 0.65
Cash Per Share TTM 389.43 % 414.88 % 1700.99 % 565.13 % 1265.18 % 215.8 %
Operating Cash Flow Sales Ratio TTM -3.88 % 15.59 % 12.69 % 18.02 % 16.31 % 13.42 %
Free Cash Flow Operating Cash Flow Ratio TTM 101.07 % 52.86 % 50.18 % 61.75 % 49.72 % 40.57 %
Cash Flow Coverage Ratios TTM -5213.73 % 83.44 % 83.11 % - 52.97 % 35.32 %
Price To Free Cash Flows Ratio TTM -27.52 16.28 19.34 6.27 8.29 7.15
Price To Operating Cash Flows Ratio TTM -27.39 8.88 9.69 4.09 4.26 2.92
Price Cash Flow Ratio TTM -27.39 8.88 9.69 4.09 4.26 2.92
Income Statement (TTM)
YPF XOM CVX SHEL TTE BP
Revenue $17895.03B $339.25B $193.41B $284.31B $195.61B $189.19B
Gross Profit $4944.6B $76.74B $56.93B $72.81B $25.06B $30.24B
Gross Profit Ratio 27.63% 22.62% 29.43% 25.61% 12.81% 15.98%
EBITDA $3899.3B $73.31B $45.81B $58.49B $41.11B $27.98B
Net Income $2077.48B $33.68B $17.66B $16.09B $15.76B $0.38B
EPS Diluted 5298.5 7.84 9.72 10.12 6.81 0.14
Balance Sheet (MRQ)
YPF XOM CVX SHEL TTE BP
Long Term Debt $7250.12B $63.82B $20.14B $65.45B $43.08B $64.41B
Total Liabilities $18055.34B $182.87B $103.78B $207.44B $165.23B $203.91B
Total Equity $12007.82B $277.51B $153.16B $180.17B $120.26B $78.32B
Total Investments $2421.17B $47.2B $47.44B $25.7B $39.48B $21.32B
Total Debt $10014.15B $68.78B $24.54B $77.08B $53.56B $71.55B
Total Assets $30287.3B $453.48B $256.94B $387.61B $285.49B $282.23B
Cash Flow Statement (TTM)
YPF XOM CVX SHEL TTE BP
Net Income $2077.48B $33.68B $17.75B $16.09B $15.76B $6.78B
Inventory $118.17B $-1.81B $0B $1.27B $0B $0B
Dividends Paid $0B $-16.7B $-11.8B $-8.67B $-7.72B $-5B
Operating Cash Flow $5599.15B $55.02B $31.49B $54.68B $30.85B $27.3B
Capital Expenditure $-5385.72B $-24.31B $-16.45B $-19.6B $-14.91B $-15.3B
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