Historical source-based research. Compilation date and financial period are different dates.
Research summary
A research framework for 10 covered energy issuers, with explicit attention to financial comparability.
Industry context
Producers, refiners and service providers respond differently to commodity prices, project spending and capacity utilization.
Covered sample
CVX, SHEL, COP, MPC, VLO, PSX, SLB, EOG, OXY, BKR. Selection favors available recent annual USD disclosures; it is not a market-cap ranking.
Financial evidence
The related sector data notes provide company-level observations for revenue growth, profitability, cash conversion and balance-sheet structure. They show the exact sample and period for every calculation.
Valuation context
Company profiles show eligible dated valuation ratios using the September 17, 2026 price snapshot and selected annual accounting denominators. Capitalization-based measures use estimates and are identified as such. These are not live, TTM or forward values. A historical-multiple series and EV/EBITDA are not available. Sector medians describe a selected sample; they do not establish fair value or expected returns.
Risks and uncertainties
Commodity cycles, project execution, reserve replacement, environmental liabilities and geopolitical exposure.
What to monitor
Realized prices, production volumes, refining economics and capital expenditure.
Sources & dates
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-24
- SEC annual filing · 2025-12-31 ↗Source date 2026-03-12
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-17
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-26
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-25
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-20
- SEC annual filing · 2025-12-31 ↗Source date 2026-01-23
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-24
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-18
- SEC annual filing · 2025-12-31 ↗Source date 2026-02-05