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ConocoPhillips

NASDAQ: COP
Energy Oil & Gas
$122.57
-0.90 (-0.73%)
Updated 4/12/2026, 1:42:33 PM
ConocoPhillips is the 44th largest stock tracked on DollarScout by market cap
Market cap: $149.80B · Rank 44 of 60
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Key stats

Market cap
$149.80B
Revenue (TTM)
Net income (TTM)
P/E ratio
18.75
EPS (TTM)
6.35
Dividend yield
2.67%
Beta (5Y)
0.20
Shares outstanding
1.22B
52W high
$135.87
52W low
$79.88
Day open
$123.31
Previous close
$123.47

Price chart

About ConocoPhillips

Energy

Company profile

IPO date
Mar 17, 1980

Energy peers

How COP compares to other large companies in the same sector.

Company Price Today Market cap P/E
XOM
Exxon Mobil Corporation
$152.53 -1.62% $680.72B 21.81
CVX
Chevron Corporation
$188.57 -0.94% $376.23B 30.59
OXY
Occidental Petroleum
$57.99 -0.92% $57.17B 24.58

Wall Street analyst ratings

Strong Buy
Buy24
Hold9
Sell1
Based on 34 Wall Street analyst ratings

DollarScout analysis

Editorial, not advice. See our methodology.

ConocoPhillips is a major player in the oil and gas industry, focusing on exploration and production globally. It matters because of its significant influence on energy markets and economic stability. The single biggest thing investors should know is its bullish price trend amid strong buy recommendations from analysts.

Bull case

ConocoPhillips is a heavyweight in the energy sector, leveraging its expansive resource base and efficient production operations. The company benefits from high crude oil prices, which directly boost its revenue streams. It has a competitive advantage due to its diverse portfolio, extending from Alaska to Asia and beyond. COP's current P/E ratio of 18.75 indicates that investors might be willing to pay a premium for its earnings, banking on future growth. The analyst consensus as a strong buy suggests confidence in its ongoing performance and strategic initiatives to expand low-cost production. Furthermore, its relatively low beta of 0.196 suggests less volatility compared to the overall market, appealing to risk-averse investors.

Bear case

Several risks loom over ConocoPhillips, notably its sensitivity to fluctuating oil prices which can impact profitability without warning. The company's valuation, reflected in its P/E ratio of 18.75, could be seen as over-priced if future earnings disappoint. Competitors in the energy space, like ExxonMobil and Chevron, also possess extensive global operations that can challenge COP's market share. Environmental regulations and a growing trend towards renewable energy create long-term risks not immediately reflected in COP's current bullish trend. Any significant shift in government policies toward carbon emissions could unfavorably impact ConocoPhillips' bottom line.

Who should buy COP

ConocoPhillips is best suited for growth-oriented investors with a moderate risk appetite, looking to gain exposure to the energy sector. Ideal for those who believe in the continued demand for oil and want a stake in a market leader with a solid performance track record. Short to medium-term investors who can handle sector volatility may find the consistent dividend yield attractive.

Key risks

- Oil price volatility can impact profits significantly. - Regulatory changes toward green energy may hurt future prospects. - Rising competition from other oil giants could pressure market share. - Political instability in key operating regions poses operational risks.

Where to buy COP

Open an account with a broker we've reviewed and start trading ConocoPhillips today.

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Recent COP news

How The ConocoPhillips (COP) Investment Story Is Shifting With New Oil And Cash Flow Views

ConocoPhillips now carries a refreshed fair value estimate of US$131.52, up from US$128.29, as analysts rework their models. Much of this shift reflects recent research that folds in updated oil and gas price decks, geopolitical risk, and evolving views on cash generation and capital returns. As you read on, you will see what is driving the bullish and bearish calls, as well as how to follow the evolving narrative around this stock. Analyst Price Targets don't always capture the full story...

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SeekingAlpha · 4/11/2026
ConocoPhillips vs. EOG: 1 of These Energy Stocks Is Cheaper and Pays You More. Which One?

ConocoPhillips and EOG are both winning energy stocks, but one stands out on scale while the other looks cheaper and stronger for income.

Yahoo · 4/10/2026
Sector Update: Energy Stocks Mixed Late Afternoon

Energy stocks were mixed late Friday afternoon, with the NYSE Energy Sector Index fractionally highe

Yahoo · 4/10/2026
Is ConocoPhillips Positioned to Capitalize on Rising LNG Demand?

COP expands its LNG footprint with its Qatar and Port Arthur projects, securing long-term offtake as rising demand for cleaner fuels support growth.

Yahoo · 4/10/2026
Sector Update: Energy Stocks Lean Lower Premarket Friday

Energy stocks were leaning lower premarket Friday, with the State Street Energy Select Sector SPDR E

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Disclaimer: The information on this page is provided for informational and educational purposes only and should not be considered financial, investment, or trading advice. DollarScout does not recommend buying or selling any specific security. Stock data may be delayed. Past performance is not indicative of future results. Always do your own research and consult a licensed financial advisor before making investment decisions.