Compare tickers
Up to 5 tickers, ~30 metrics, weighted verdict. Best in green, worst in red.
Verdict
Weighted score 0-100 across 4 tickers · best in green
25
25
15
20
15
Total: 100 · normalized in scoring
#4
XOM
score 32.4
Momentum scores zero with all timeframes negative including YTD lagging peers, dragging overall rank despite decent quality metrics.
value 40growth 50quality 49momentum 0sentiment 17
#3
CVX
score 47.1
Balanced performer across categories with momentum ranked 57 driving third place, benefiting from positive one-month gain.
value 52growth 49quality 28momentum 57sentiment 42
#2
OXY
score 50.2
Momentum dominates at 78 with strongest YTD performance of 33.41% plus 11% insider buying supporting second rank.
value 40growth 50quality 45momentum 78sentiment 36
#1
COP
score 50.3
Value leadership at 72 with lowest forward PE of 12.72 and highest sentiment score drives top ranking.
value 72growth 17quality 52momentum 51sentiment 66
XOM
Exxon Mobil Corporation
$147.01
+0.28%
XOM
Exxon Mobil Corporation
$147.01
+0.28%
Snapshot
Price
147.01
Day %
0.28
1M %
-3.01
3M %
-5.84
YTD %
19.86
Market cap
609348681728.0
ADV ($)
2911780212.0186462
Beta
0.149
OdysseyHQ zone
Current zone
Pullback
Dist 21-EMA %
-2.29
Dist ATR (σ)
-0.85
OdysseyHQ grade
C
Confluence
3
Valuation
P/E (ttm)
24.749157
P/E (fwd)
13.818885
P/S
1.8691218
EV/EBITDA
11.698
P/B
2.368493
FCF yield
0.0191
PEG
1.22
Growth
Revenue yoy
0.026
EPS yoy
-0.434
FCF yoy
—
Quality
Gross margin
0.29768
Operating margin
0.06355
Net margin
0.077649996
ROE
0.09873
ROA
0.04221
Debt / Equity
0.18
Interest cov.
69.44
Technicals
RSI(14)
43.3
MACD signal
bear
vs 50-DMA
-3.22
vs 200-DMA
9.72
vs 52w high
-16.67
HV-30
30.7
Sentiment
Analyst rec
2.36
Target upside
15.58
Insider buy-sell 90d
-1
Risk
Short interest
1.1400000000000001
Days to cover
2.39
Next earnings
2026-07-31
Full XOM dashboard →
CVX
Chevron Corporation
$187.22
+0.75%
CVX
Chevron Corporation
$187.22
+0.75%
Snapshot
Price
187.22
Day %
0.75
1M %
0.66
3M %
-4.88
YTD %
20.09
Market cap
372866908160.0
ADV ($)
2101863536.5844727
Beta
0.472
OdysseyHQ zone
Current zone
Neutral
Dist 21-EMA %
-0.29
Dist ATR (σ)
-0.12
OdysseyHQ grade
—
Confluence
2
Valuation
P/E (ttm)
32.56
P/E (fwd)
14.898056
P/S
2.007467
EV/EBITDA
10.974
P/B
2.015155
FCF yield
0.0316
PEG
0.75
Growth
Revenue yoy
0.023
EPS yoy
-0.445
FCF yoy
—
Quality
Gross margin
0.42421
Operating margin
0.07312
Net margin
0.059270002
ROE
0.06638
ROA
0.0346
Debt / Equity
0.24
Interest cov.
17.22
Technicals
RSI(14)
48.7
MACD signal
neutral
vs 50-DMA
-0.74
vs 200-DMA
9.2
vs 52w high
-12.8
HV-30
25.9
Sentiment
Analyst rec
1.84
Target upside
15.4
Insider buy-sell 90d
0
Risk
Short interest
1.16
Days to cover
2.24
Next earnings
2026-07-31
Full CVX dashboard →
OXY
Occidental Petroleum Corporation
$56.54
+1.93%
OXY
Occidental Petroleum Corporation
$56.54
+1.93%
Snapshot
Price
56.54
Day %
1.93
1M %
0.64
3M %
-2.32
YTD %
33.41
Market cap
56236646400.0
ADV ($)
807479585.0951614
Beta
0.124
OdysseyHQ zone
Current zone
Neutral
Dist 21-EMA %
-1.65
Dist ATR (σ)
-0.48
OdysseyHQ grade
C
Confluence
4
Valuation
P/E (ttm)
76.4054
P/E (fwd)
14.016734
P/S
2.662846
EV/EBITDA
7.2
P/B
1.8287674
FCF yield
0.0539
PEG
1.19
Growth
Revenue yoy
-0.083
EPS yoy
3.156
FCF yoy
—
Quality
Gross margin
0.69757
Operating margin
0.17725
Net margin
0.22421
ROE
0.04053
ROA
0.02497
Debt / Equity
0.42
Interest cov.
3.83
Technicals
RSI(14)
46.2
MACD signal
bear
vs 50-DMA
-2.22
vs 200-DMA
15.24
vs 52w high
-16.17
HV-30
40.5
Sentiment
Analyst rec
2.56
Target upside
15.85
Insider buy-sell 90d
11
Risk
Short interest
0.02
Days to cover
0.01
Next earnings
2026-08-05
Full OXY dashboard →
COP
ConocoPhillips
$116.98
+1.40%
COP
ConocoPhillips
$116.98
+1.40%
Snapshot
Price
116.98
Day %
1.4
1M %
-0.36
3M %
-4.03
YTD %
20.97
Market cap
142516043776.0
ADV ($)
994031027.6453552
Beta
0.106
OdysseyHQ zone
Current zone
Neutral
Dist 21-EMA %
-1.05
Dist ATR (σ)
-0.35
OdysseyHQ grade
C
Confluence
4
Valuation
P/E (ttm)
19.82712
P/E (fwd)
12.72086
P/S
2.4001489
EV/EBITDA
6.831
P/B
2.208128
FCF yield
0.0371
PEG
0.99
Growth
Revenue yoy
-0.053
EPS yoy
-0.202
FCF yoy
—
Quality
Gross margin
0.45591
Operating margin
0.22051
Net margin
0.12331
ROE
0.112840004
ROA
0.05865
Debt / Equity
0.36
Interest cov.
11.26
Technicals
RSI(14)
47.0
MACD signal
neutral
vs 50-DMA
-3.01
vs 200-DMA
11.53
vs 52w high
-13.9
HV-30
31.0
Sentiment
Analyst rec
1.85185
Target upside
22.05
Insider buy-sell 90d
-4
Risk
Short interest
1.83
Days to cover
2.94
Next earnings
2026-08-06
Full COP dashboard →