COP - Conocophillips

NYSE * Energy * Oil, Gas & Consumable Fuels

$113.46

+$2.76 (+2.49%)

About Conocophillips

ConocoPhillips explores for, produces, transports, and markets crude oil, bitumen, natural gas, liquefied natural gas (LNG), and natural gas liquids. It operates in five segments: Alaska; Lower 48; Canada; Europe, Middle East and North Africa; and Asia Pacific. The company's portfolio includes unconventional plays in North America; conventional assets in North America, Europe, Asia, and Australia; global LNG developments; oil sands assets in Canada; and an inventory of global exploration prospects. It serves in the United States, Canada, China, Equatorial Guinea, Libya, Malaysia, Norway, Singapore, the United Kingdom, and internationally. ConocoPhillips was founded in 1917 and is headquartered in Houston, Texas.

COP Key Statistics

Market Cap

$138.69B

P/E Ratio

17.87

P/B Ratio

2.10

EPS

$6.35

Dividend Yield

0.03%

Revenue Growth

-0.1%

Profit Margin

0.1%

Employees

9,900

How COP Compares to Peers

COP ranks 2nd most undervalued by P/E ratio among peers
COP ranks 2nd in profitability among competitors

P/E Rank

#2

of 5

Margin Rank

#2

of 5

Growth Rank

#3

of 4

Size Rank

#3

of 5

CompanyP/EGrowthCompare
COP17.9-0%-
XOM22.8-0%vs XOM
CVX28.2-0%vs CVX
SLB21.90%vs SLB
EOG13.60%vs EOG

Conocophillips Company Information

Headquarters
Texas; U.S.A
Website
www.conocophillips.com
Sector
Energy
Industry
Oil, Gas & Consumable Fuels
Data Updated:
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COP Lician Score

14% confidence
4.0/10
Neutral

COP has a Lician Score of 4/10 (Average). Areas of concern: Growth, Quality.

value

5.0

growth

2.0

quality

2.0

momentum

5.0

safety

5.0

The Lician Score is a comprehensive 1-10 rating that evaluates COPacross five key dimensions: Value (valuation relative to sector),Growth (revenue and earnings trajectory),Quality (profitability and balance sheet strength),Momentum (price trends and analyst sentiment), andSafety (volatility and risk metrics).

COP Financial Snowflake

5-axis analysis across key investment dimensions

3.8/10

Poor

35810Value5.0Growth2.0Quality2.0Momentum5.0Safety5.03.8/10
5.0

Value

2.0

Growth

2.0

Quality

5.0

Momentum

5.0

Safety

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