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Exxon Mobil Corporation Common Stock (XOM)

Stock · Energy

XOM historical returns, growth, and risk - total return with all dividends reinvested, 1970-02-28 to 2026-06-30.

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⚠ Source dividend records for XOM are incomplete before 1989-01-01 - returns before then understate by roughly 1.9%/yr (price-only stretches). Later years are dividend-complete.
XOM · $10,000 invested at 1970-02-28
CAGR10.61%
Total return29479.75%
Max drawdown-57.97%Oct 2020
Volatility19.64%
Sharpe0.39
Final balance$2,957,975
Best year87.36%2022
Worst year-36.21%2020
Avg daily volume19.3M
Avg daily $ volume$2.95B

Growth of $10,000 (log scale)

Drawdown

Annual returns

Funds and stocks whose monthly returns moved almost identically to XOM over the last ~5 years (number = correlation, 0.90 minimum). Near-1.00 funds track essentially the same thing - worth comparing their expense ratios. Hover a fund (or tap on mobile) to see a growth comparison and a fee-difference estimate. Compare XOM vs XLE →

About backtesting XOM

This page shows the historical total return of Exxon Mobil Corporation Common Stock (XOM) - its compound annual growth rate (CAGR), maximum drawdown, annualized volatility, and Sharpe ratio - with all dividends reinvested. Past performance does not guarantee future results. To test XOM inside a full portfolio alongside other assets, with contributions and rebalancing, open it in the free backtester.