EXXON MOBIL CORP - Common Stock (XOM)

Historical Holders from Q1 2014 to Q3 2025

Symbol
XOM on NYSE
CUSIP
30231G102
Type / Class
Equity / Common Stock
Shares outstanding
4.34B
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
2.7B
Holdings value
$304B
% of all portfolios
0.266%
Grand Portfolio weight change
-0.017%
Number of holders
4132
Number of buys
1920
Number of sells
-1806
Average Value change %
-0.01%
Average buys %
+0.013%
Average sells %
-0.019%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of EXXON MOBIL CORP - Common Stock (XOM)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10.06% $47.4B 437M The Vanguard Group Feb 28, 2025
STATE STREET CORP 5% 0% $23.3B -$767M 215M -3.19% STATE STREET CORPORATION Mar 31, 2025

Institutional Holders of EXXON MOBIL CORP - Common Stock (XOM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 2.7B $304B -$10.4B $112.75 4,132
2025 Q2 2.79B $301B +$3.89B $107.80 4,165
2025 Q1 2.76B $328B -$6.19B $118.93 4,197
2024 Q4 2.82B $304B +$4.98B $107.57 4,185
2024 Q3 2.76B $324B -$8.8B $117.22 3,889
2024 Q2 2.84B $326B +$46.3B $115.12 3,858
2024 Q1 2.44B $283B -$137M $116.24 3,726
2023 Q4 2.45B $245B +$11.1B $99.98 3,672
2023 Q3 2.33B $273B -$6.24B $117.58 3,521
2023 Q2 2.39B $256B -$3.3B $107.25 3,468
2023 Q1 2.42B $265B -$1.02B $109.66 3,457
2022 Q4 2.43B $268B +$2.2B $110.30 3,476
2022 Q3 2.42B $211B +$1.25B $87.31 3,117
2022 Q2 2.4B $206B +$5.27B $85.64 3,159
2022 Q1 2.36B $195B +$6.3B $82.59 3,139
2021 Q4 2.28B $140B +$2.34B $61.19 2,929
2021 Q3 2.24B $132B +$502M $58.82 2,689
2021 Q2 2.23B $140B +$1.02B $63.08 2,723
2021 Q1 2.22B $124B +$2.2B $55.83 2,661
2020 Q4 2.18B $89.8B +$719M $41.22 2,500
2020 Q3 2.17B $74.3B -$1.22B $34.33 2,268
2020 Q2 2.19B $98B -$2.04B $44.72 2,445
2020 Q1 2.24B $85.1B -$4.77B $37.97 2,401
2019 Q4 2.35B $164B +$115M $69.78 2,712
2019 Q3 2.35B $166B +$286M $70.61 2,505
2019 Q2 2.35B $180B +$1.3B $76.63 2,522
2019 Q1 2.35B $190B +$3.07B $80.80 2,549
2018 Q4 2.31B $158B +$1.21B $68.19 2,537
2018 Q3 2.29B $195B +$2.67B $85.02 2,416
2018 Q2 2.26B $187B +$2.11B $82.73 2,425
2018 Q1 2.24B $167B -$1.48B $74.61 2,418
2017 Q4 2.27B $189B +$4.13B $83.64 2,443
2017 Q3 2.21B $181B +$1.31B $81.98 2,212
2017 Q2 2.2B $177B +$1.24B $80.73 2,208
2017 Q1 2.18B $179B +$20.9B $82.01 2,218
2016 Q4 2.17B $195B +$558M $90.26 2,234
2016 Q3 2.16B $188B +$2.26B $87.28 2,107
2016 Q2 2.13B $200B +$2.99B $93.74 2,130
2016 Q1 2.1B $175B +$96.8M $83.59 2,115
2015 Q4 2.1B $164B +$482M $77.95 2,108
2015 Q3 2.09B $156B +$2.04B $74.35 2,001
2015 Q2 2.07B $172B -$1.46B $83.20 2,029
2015 Q1 2.09B $177B -$2.08B $85.00 2,045
2014 Q4 2.11B $195B +$4.01B $92.45 2,033
2014 Q3 2.06B $194B -$8.76B $94.05 1,916
2014 Q2 2.16B $217B -$1.16B $100.68 1,959
2014 Q1 2.17B $212B +$5.48B $97.68 1,900