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Shell plc (SHEL) Stock: Price, Forecast & Analyst Target

Shell plc (SHEL) — MoonshotScore 88/100 (Exceptional band), calculated Oct 4, 2026. Price $96.23 (+0.65%), as of the Oct 2, 2026 trading session; market cap $268B. Expected results Oct 29, 2026.

Educational signal · not a buy or sell recommendation · How to read this

Market value / cash and short-term investments: 8.54× (market value Oct 2, 2026; cash Jun 30, 2026) · expected results Oct 29, 2026

$96.23 +$0.62 (+0.65%) Market Cap $268B

Shell plc · SHEL · NYSE · Energy · Oil & Gas Integrated

Research dated 2026-09-12: Shell plc is an integrated energy merchant and operator: it produces oil and gas, moves and trades commodities, turns feedstocks into fuels and chemicals, and sells power and lower-carbon services. Its economics therefore depend on more than crude prices; the key question is whether broad cash generation can endure as commodity realizations and product margins change while repaired LNG capacity returns to service.

Price as of Oct 2, 2026

Key Statistics

88 of 100

MoonshotScore v2 · Shell (SHEL)

Exceptional
Business Quality Average (59)
Financial Safety Fortress (91)
Valuation Cheap (91)
Growth Durability Growing (66)
Momentum Surging (82)
Why this rating? Method, drivers & history

Bands for the MoonshotScore: Exceptional 80-100 · Strong 65-79 · Fair 45-64 · Weak below 45.

  • Business Quality — Is this a genuinely good business?
  • Financial Safety — Could this blow up on me?
  • Valuation — Am I paying a fair price?
  • Growth Durability — Is the growth real and likely to last?
  • Momentum — Is the market already moving on this?
The ten-second read ·

A fortress balance sheet, at a dirt-cheap price, though quality and growth are only decent; the market is already moving on it. Business Quality: Average; Financial Safety: Fortress; Valuation: Cheap; Growth Durability: Growing; Momentum: Surging.

  • quarterly revenue $94.66B (Q2 FY2026, quarter ended Jun 2026)
  • EPS beat 6 of 8
  • Altman Z 2.69 · Piotroski F 9

Helping: balance-sheet strength, an attractive price, positive momentum

What has the MoonshotScore done over time?

MoonshotScore snapshots recorded for SHEL (29 recorded, newest six shown)
RecordedScoreBand
89Exceptional
88Exceptional
89Exceptional
89Exceptional
89Exceptional
89Exceptional

The score was 88 in the stored Oct 3, 2026 snapshot and remains 88 in the current publication computed Oct 4, 2026 (0). This current publication is not yet represented in the immutable snapshot archive.

Calculation uses the most recent completed US trading session. Live price changes do not update the score immediately.

Computed · Educational signal · not a buy or sell recommendation · How the MoonshotScore is computed →

Price & valuation

Dates shown where recorded
MeasureValueAs of
Latest provided price$96.23
Change on the day+0.65%
52-week range$68.63–$99.16
Market capitalisation$268B
Price / earnings (trailing)10.42
Shares traded on the day6.63M
Beta (volatility vs the S&P 500)-0.22
Dividends per share (last 12 months)$3.02
Dividend yield (last 12 months)3.14%

Price & events

Weekly closing price with reported quarters marked Weekly closing price from Aug 29, 2025 to Oct 2, 2026: low $71, high $97, latest $96. 4 reported quarters marked, 3 above and 1 below the recorded estimate. 1 other dated event marked. $97 $71 high $97 Oct 30, 2025 · Earnings results · reported above the recorded estimate · close $751Feb 5, 2026 · Earnings results · reported below the recorded estimate · close $752May 7, 2026 · Earnings results · reported above the recorded estimate · close $843Jul 30, 2026 · Earnings call · management outlook · no recorded estimate to compare · close $924Jul 30, 2026 · Earnings results · reported above the recorded estimate · close $925 Aug 29, 2025 Oct 2, 2026 · $96 $74Aug 29, 2025$71Sep 12, 2025$73Sep 26, 2025$71Oct 10, 2025$76Oct 24, 2025$76Nov 7, 2025$73Nov 21, 2025$73Dec 5, 2025$72Dec 19, 2025$75Jan 2, 2026$74Jan 16, 2026$77Jan 30, 2026$79Feb 13, 2026$84Feb 27, 2026$89Mar 13, 2026$92Mar 27, 2026$92Apr 10, 2026$89Apr 24, 2026$84May 8, 2026$86May 22, 2026$85Jun 5, 2026$79Jun 18, 2026$78Jul 2, 2026$87Jul 17, 2026$92Jul 31, 2026$90Aug 14, 2026$91Aug 28, 2026$97Sep 11, 2026$96Sep 25, 2026

Triangles mark reported quarters on the line: pointing up is above the recorded estimate, down is below, a diamond means no estimate on file or a dated event that is not a results report. Numbers key to the dated list. Point at or tab to any week for its close.

Events behind the price

  • · Earnings results · above the recorded estimate
  • · Earnings results · below the recorded estimate
  • · Earnings results · above the recorded estimate
  • · Earnings call · management outlook
  • · Earnings results · above the recorded estimate

Results dates follow the earnings feed; call dates follow the transcript provider. Nearby dates do not establish that an event caused a price move.

Upcoming events

As of

  1. Next results dueProvider estimate

Management outlook

  • The one that has been damaged, that second train, we expect the repairs, which are now progressing to be completed and for that facility to be ready to go, again, subject to our ability to export by end of the first quarter of next year.

    Wael Sawan · Statement from

Statement dates identify the earnings call, not a deadline. Management expectations and provider estimates can change.

Read management statements

Other perspectives

Council score for Shell (SHEL): perspectives

Council is a separate blend of available disciplines; MoonshotScore above remains the five-pillar research rating.

5-Factor Breakdown

Growth Durability Moderate
Momentum Strong
Business Quality Neutral
Financial Safety Strong
Valuation Strong

Legends Council

5 lenses, 0 current

AI simulations built from the named investors' published principles. Not affiliated with, endorsed by, or the opinion of these individuals. How these lenses are built

Dalio-style lens (simulated) Ray Dalio Favorable read
Griffin-style lens (simulated) Ken Griffin Unfavorable read
Englander-style lens (simulated) Izzy Englander Neutral read
Klarman-style lens (simulated) Seth Klarman Favorable read
Moon AI lens (model) Neutral read

Read on: Sep 24, 2026 · older than the 27 hours refresh window; not a current reading

Munger's Mindset

Balance Sheet & Valuation · historical

Financial Health Neutral
Margin of Safety Undervalued
Profit Margin Neutral
Revenue Growth Negative
Debt/Equity Neutral
ROE Moderate
Gross Margin Weak

Read on: Sep 20, 2026 · older than the 27 hours refresh window; not a current reading

How to read these bars and different assessments

Council is a separate blend of available disciplines; MoonshotScore above remains the five-pillar research rating.

Bars show each model's ordered assessment on its own scale, not a probability or a comparable investment return. The adjacent words give the assessment; more filled segments indicate a stronger model reading.

On Sep 20, 2026, the Munger lens read the price at that time as undervalued against its own estimate of value.

Readings on this page are from Oct 4, 2026, except a card that shows its own read date.

Watch the SHEL film — every key number, told as a short cinematic story

~2 min · open the film

1 · What is it?

What is Shell (SHEL), and what does it report?

Short answer · as of

Shell sells molecules, fuels, chemicals, electricity and related services across much of the energy value chain.

Research dated 2026-09-12.

Shell sells molecules, fuels, chemicals, electricity and related services across much of the energy value chain. Upstream production feeds a wider system of LNG infrastructure, commodity trading, refining, petrochemicals, lubricants, power and customer-facing energy services, so the company is not simply a producer whose sales track crude output.

Reported revenue captures large commodity and product flows, while net income and cash flow reveal how much value survives feedstock costs, operating expenses, trading outcomes and capital spending. Natural gas and associated liquids are the largest disclosed product category, with crude oil, power, lubricants and other contracts adding distinct sources of volume and margin exposure.

Sources (as of 2026-09-12): Sector / industry (provider taxonomy); Business description; Revenue by segment; Quarterly income statement (USD thousands); Annual revenue and net result (USD millions); Operating cash flow by quarter (USD millions)

2 · Latest results

What do the latest results show for Shell (SHEL)?

Short answer · as of

The most recent reported quarter, Q2 FY2026, carried revenue of $94.66B.

Research dated 2026-09-12.

The latest period brought a sharp acceleration: revenue, gross profit, operating profit and net income all rose, while operating cash flow expanded far more dramatically than capital spending. Cash and short-term investments also recovered after the prior decline, and reported earnings exceeded expectations alongside revenue that surpassed consensus.

That improvement follows a volatile sequence rather than a smooth trend. Revenue and earnings have repeatedly diverged from expectations in different directions, consistent with a business where high-volume commodity sales do not map neatly onto profit. Management separately says repairs to a damaged LNG train are progressing, with readiness to resume exports targeted after year-end, subject to export capability.

Sources (as of 2026-09-12): Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Cash and short-term investments over time (USD millions); Reported versus estimated, last 8 quarters; Management outlook — dated call excerpts

Where is operating spending going?

Revenue alongside research and development, selling, general and administrative expenses, and the FMP standardized operating result.

Latest quarter · revenue
$94.66B Jun 30, 2026
Latest quarter · R&D
$277.00M Jun 30, 2026
Latest quarter · SG&A
$2.91B Jun 30, 2026
Latest quarter · FMP standardized operating result
$15.18B Jun 30, 2026
Where is operating spending going? — FMP standardized evidence
Period endRevenueR&DSG&AFMP standardized operating result
Jun 30, 2026$94.66B$277.00M$2.91B$15.18B
Mar 31, 2026$69.69B$167.00M$2.80B$10.37B
Dec 31, 2025$64.09B$298.00M$3.43B$3.16B
Sep 30, 2025$68.15B$409.00M$3.26B$7.73B

USD. The operating result is the FMP-standardized value supplied by FMP; it may differ from a filing’s GAAP loss from operations when the provider classifies separately presented items differently. It is not net income or cash flow.

Did results meet expectations?

Reported earnings and revenue alongside the estimates recorded by the provider.

Latest report · revenue
$94.66B Jul 30, 2026
Latest report · revenue estimate
$86.22B Jul 30, 2026
Latest report · revenue vs estimate
Above estimate Jul 30, 2026
Latest report · EPS vs estimate
Above estimate Jul 30, 2026
Did results meet expectations? — reported evidence
Report dateRevenue · reportedRevenue · estimateEPS · reportedEPS · estimate
Jul 30, 2026$94.66B$86.22B$3.5200$3.2300
May 7, 2026$69.69B$77.54B$2.4400$2.1400
Feb 5, 2026$64.09B$62.64B$1.1400$1.2100
Oct 30, 2025$67.74B$67.73B$1.8600$1.7200

Dates are report dates, not fiscal period ends. Revenue is in USD; EPS is USD per share, rounded to four decimals. The earnings feed does not establish a basic, diluted or adjusted basis. Earnings-feed EPS may differ from statement EPS; the two series are not combined.

Quarterly income statement — 4 quarters
Revenue, net income and earnings per share by quarter
PeriodRevenueNet incomeEPS
Q2 FY2026$94.66B$10.82B$3.84 (diluted)
Q1 FY2026$69.69B$5.69B$2.00 (diluted)
Q4 FY2025$64.09B$4.13B$1.42 (diluted)
Q3 FY2025$68.15B$5.32B$1.80 (diluted)
3 · Financial strengths and risks

What are the financial strengths and risks for Shell (SHEL)?

Short answer

Cash and short-term investments were $31.37B at the Jun 30, 2026 balance-sheet date. Operating cash flow was $21.43B for the quarter ended Jun 30, 2026, meaning operations generated cash. These figures do not establish a cash runway.

Research dated 2026-09-12.

Shell remains a substantial cash generator, and recent operating cash flow covered capital expenditure with ample headroom. Current liquidity ratios are above parity, while the latest profitability and free-cash-flow measures indicate that the asset base is producing meaningful returns.

Debt still exceeds cash and short-term investments. Including long-term investments narrows that gap, but those holdings are unclassified and should not be treated as equivalent to immediately available cash. The cash balance declined across the reported window before its latest rebound, so a sustained downturn in commodity realizations, refining economics or trading contribution would matter through both weaker cash generation and reduced balance-sheet flexibility.

Sources (as of 2026-09-12): Operating cash flow by quarter (USD millions); Cash, investments and debt; Cash and investment components; Cash and short-term investments over time (USD millions); Cash decline over the reported window; Cash against market value; Trailing twelve-month ratio set; Annual revenue and net result (USD millions)

How much cash does the business generate or use?

Quarterly operating cash flow shows cash generated or used by operations.

Latest quarter · operating cash flow
$21.43B Jun 30, 2026
Previous quarter · operating cash flow
$6.06B Mar 31, 2026
How much cash does the business generate or use? — reported evidence
Period endOperating cash flowCapital expenditure (reported)
Jun 30, 2026$21.43B−$4.03B
Mar 31, 2026$6.06B−$3.76B
Dec 31, 2025$9.44B−$5.25B
Sep 30, 2025$12.21B−$4.56B

Operating cash-flow bars share one scale and show magnitude; negative values mean cash used.

USD. Negative operating cash flow means cash used. Capital expenditure keeps the provider’s reported sign; it is not added here to estimate free cash flow or runway.

4 · What to check next?

What should you watch next at Shell (SHEL)?

Short answer · as of

The next earnings report is expected on Oct 29, 2026.

Research dated 2026-09-12.

The next earnings release should be read against an unusually strong latest period, because consensus anticipates cooler revenue and earnings. The useful observations are whether operating cash flow continues to cover capital spending comfortably, whether cash remains rebuilt against debt, and whether profit holds up better than sales.

LNG execution deserves a separate check: readiness of the damaged train is not the same as successful exports. Beyond that milestone, longer-range estimates imply limited sustained revenue expansion and a broad range of possible outcomes, placing attention on earnings conversion rather than headline sales alone.

Sources (as of 2026-09-12): Next earnings report; Analyst revenue and earnings estimates (average); Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Cash, investments and debt; Cash and short-term investments over time (USD millions); Management outlook — dated call excerpts

What management is planning

Management expectations, not completed milestones or guarantees. Selected verbatim excerpts; dates follow the transcript provider.

  1. The one that has been damaged, that second train, we expect the repairs, which are now progressing to be completed and for that facility to be ready to go, again, subject to our ability to export by end of the first quarter of next year.

    Wael Sawan ·

What the records here don't tell us

  • No insider Form 4 transaction falls inside the window this page reads.

Checked against the records this page reads, on the dates shown above.

5 · Peer comparison

How does Shell compare with its peers?

Short answer

Shell's score ranks 2nd of 13 in the bounded comparison shown, against 12 same-model peers. These are company scores, not expected investment returns. The set lists named competitors first, then companies in the same data-provider industry classification closest in market value; that classification is the provider's, not our judgment of business similarity.

Research dated 2026-09-12.

Shell differs from a focused exploration company because it can participate in the same energy flow at several points: production, LNG processing and transport, commodity trading, refining, chemicals, marketing and power. That breadth can diversify where profit is earned, but it also makes revenue a noisy indicator of underlying economics; investors must follow margins and cash conversion across the chain rather than treat Shell as a direct proxy for crude prices.

Sources (as of 2026-09-12): Business description; Revenue by segment; Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Trailing twelve-month ratio set

Peer set — price, market value and MoonshotScore
CompanyPriceMarket valueScore
Equinor ASA (EQNR) Named competitor$42.56 Oct 2, 2026$102B95 5-pillar Oct 4, 2026
Shell (SHEL) — this page$96.23$268B88
Suncor Energy Inc. (SU) Same industry, near in market value$69.56 Oct 2, 2026$82.1B87 5-pillar Oct 4, 2026
Cenovus Energy Inc. (CVE) Same industry, near in market value$32.40 Oct 2, 2026$59.8B85 5-pillar Oct 4, 2026
BP p.l.c. (BP) Same industry, near in market value$44.79 Oct 2, 2026$117B80 5-pillar Oct 4, 2026
Transportadora de Gas del Sur S.A. (TGS) Same industry, near in market value$25.01 Oct 2, 2026$3.77B80 5-pillar Oct 4, 2026
TotalEnergies SE (TTE) Named competitor$84.40 Oct 2, 2026$188B78 5-pillar Oct 4, 2026
Petróleo Brasileiro S.A. - Petrobras (PBR) Named competitor$21.65 Oct 2, 2026$140B77 5-pillar Oct 4, 2026
Chevron Corporation (CVX) Named competitor$206.77 Oct 2, 2026$412B72 5-pillar Oct 4, 2026
Imperial Oil Limited (IMO) Same industry, near in market value$125.68 Oct 2, 2026$61.6B72 5-pillar Oct 4, 2026
National Fuel Gas Company (NFG) Same industry, near in market value$76.43 Oct 2, 2026$7.26B72 5-pillar Oct 4, 2026
Ecopetrol S.A. (EC) Same industry, near in market value$16.60 Oct 2, 2026$34.1B71 5-pillar Oct 4, 2026
Eni S.p.A. (E) Same industry, near in market value$54.73 Oct 2, 2026$79.3B60 5-pillar Oct 4, 2026

Only 5-pillar scores are ranked together. Other models are not directly comparable. Price and score dates are shown separately; market-value dates are unavailable.

Screen more Energy stocks

The records behind this page

Analyst targets & estimates

What analysts have on file

Price target, low to high
$90.00 – $122.40
Consensus target
$102.53
Median target
$101.00

Consensus record · Captured .

Measured against a quoted price of $96.23 (as of Oct 2, 2026).

Who holds the shares?

Institutional ownership reported through 13F filings.

Institutional ownership
13.1% Period end Jun 30, 2026
Previous quarter · ownership
12.9% Prior to period end Jun 30, 2026
Reporting holders
1,586 Period end Jun 30, 2026
Previous quarter · holders
1,651 Prior to period end Jun 30, 2026
Who holds the shares? — reported evidence
Holders in provider snapshotShares
Fmr LLC87,332,346
Fisher Asset Management, LLC27,633,155
Dimensional Fund Advisors LP25,363,810
Morgan Stanley10,779,129
Goldman Sachs Group INC10,560,692

Quarterly filings lag the period end. Holder rows are names in the provider snapshot, not a verified ranking; individual filing dates are not supplied. Related managers may appear separately, so these positions are not summed. Holder snapshot as of Jun 30, 2026.

What has been published about Shell (SHEL)?

Read these with our analysis →

Common Questions About SHEL (Energy)

Research dated 2026-09-12; the answers below are from that research, and the full attribution is under Sources. The last 3 questions are answered from this page's own dated data, not from the research.

What does Shell Integrated Gas sell beyond raw natural gas?

Integrated Gas combines LNG and gas-to-liquids products with transport infrastructure and trading in natural gas and LNG. Its economics therefore include processing, logistics and merchandising as well as extraction.

Sources (as of 2026-09-12): Business description; Revenue by segment

Why can Shell revenue and earnings move in different directions?

Revenue reflects enormous commodity and refined-product flows, while earnings depend on the margin retained after feedstock costs, operations and other expenses. Shell's reporting history shows repeated periods when sales and earnings landed on opposite sides of expectations.

Sources (as of 2026-09-12): Business description; Quarterly income statement (USD thousands); Reported versus estimated, last 8 quarters

What matters about Shell's damaged LNG train?

Returning the train to service would restore the facility's readiness to export, but management has made that timing conditional on export capability. Investors can therefore distinguish mechanical completion from actual commercial operation.

Sources (as of 2026-09-12): Management outlook — dated call excerpts; Business description

Is Shell mainly an oil producer or also a power and charging business?

Oil and gas production remain core activities, but Shell also trades electricity, generates renewable power, develops hydrogen and operates electric-vehicle charging services. Those activities sit beside refining, chemicals, lubricants and fuel marketing rather than replacing them.

Sources (as of 2026-09-12): Business description; Revenue by segment

What is the SHEL stock price today?

The last price recorded on this page for Shell plc (SHEL) is $96.23, as of the Oct 2, 2026 trading session (source: Financial Modeling Prep (FMP) · quote). It is a provider snapshot, not a live exchange feed, so check a brokerage quote before you trade.

What is the SHEL price target?

The analyst consensus price target for Shell plc (SHEL) is $102.53 (range $90.00 to $122.40, median $101.00), per FMP data captured Oct 4, 2026. Targets are analyst opinions and change often; they are not a Stock Expert AI forecast.

Does SHEL pay a dividend?

Yes. Shell plc (SHEL) shows a trailing 12-month dividend yield of 3.14%, as of Oct 2, 2026, in the data on this page. Payout ratio and cash-flow coverage decide whether it can last, and past dividends do not guarantee future payments.

Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.

Research written by Codex (gpt-5.6-sol) on 2026-09-12. AI-authored analysis; source dates are shown with each answer. Editorial oversight is systemic, not page-by-page. Editorially accountable: Sedat ANAK, Founder and Editor-in-Chief.

Sources (as of 2026-09-12): Legal name; Business description; Revenue by segment; Annual revenue and net result (USD millions); Operating cash flow by quarter (USD millions); Management outlook — dated call excerpts

Sources — records for every figure on this page (84 figures)

The 84 rows below are exactly the facts the evidence-backed sections of this page printed — the 10-second verdict, the MoonshotScore, price and market value, the five questions with their receipts, and the records behind this page. Known dates and sources are recorded on their own rows; an em dash or UNRECORDED tier preserves a stored observation without inventing either. The quarterly income statement is provider-standardized (FMP) under one row, and scale definitions — a 0-100 rating, the band ladder, the Piotroski 0–9 range — are fixed rather than measured. No number in those sections was generated by a model. The register does not cover quoted third-party headlines, the dated council readings, or the Frequently Asked Questions; each of those says where it came from where it stands.

"As of" is the date the value is true for where the source carries one — a quarter end, a filing date, a price close, the day the score was computed. A cached observation with no source date remains undated; the page publication date is not used as a substitute.

OFFICIAL — 2 facts from SEC filings and earnings calls

OFFICIAL facts used on this page
Fact IDFactValue as shownAs ofTierSource
prod.outlookManagement outlook — call excerptsWael Sawan (Jul 30, 2026): The one that has been damaged, that second train, we expect the repairs, which are now progressing to be completed and for that facility to be ready to go, again, subject to our ability to export by end of the first quarter of next year.OFFICIALCompany earnings call, transcript via Financial Modeling Prep (FMP) — Selected verbatim statements from the latest available call, dated by the transcript provider. Management expectations, not completed milestones or guarantees. Relative dates retain the speaker's wording.
id.hqSEC filing business addressShell Centre, 2 York Road, London, SE1 7NAOFFICIALSEC EDGAR filer business address — The SEC filer business address. Our market-data provider separately lists "Shell Centre, 2 York Road, London, GL, SE1 7NA, GB".

FMP — 73 facts from Financial Modeling Prep endpoint families

FMP facts used on this page
Fact IDFactValue as shownAs ofTierSource
earn.nextNext earnings dateOct 29, 2026FMPFinancial Modeling Prep (FMP) earnings calendar — The date is our provider's estimate until the company confirms it.
px.lastLatest provided price$96.23FMPFinancial Modeling Prep (FMP) · quote — Dated to the US trading session the price belongs to, derived from the quote record's timestamp (weekend and pre-open reads roll back to the previous weekday; exchange holidays are not modelled). The record does not establish an exchange execution time. Retrieved 2026-10-04T21:04:46.148Z.
px.changeChange on the day+0.65%FMPFinancial Modeling Prep (FMP) · quote
px.mcapMarket capitalisation$268BFMPFinancial Modeling Prep (FMP) · quote — Date unknown Market cap record date: 2026-10-02. FMP quote timestamp: 2026-10-02T20:00:02.000Z. Captured from FMP at 2026-10-04T21:04:44.619Z. No share-count basis is inferred; this page preserves the reported amount instead of recalculating it from shares.
px.change_absChange on the day, in dollars+$0.62FMPFinancial Modeling Prep (FMP) · quote
fin.q_revenueRevenue, Q2 FY2026$94.66BFMPFinancial Modeling Prep (FMP) · income statement (quarterly)
px.range5252-week range$68.63–$99.16FMPFinancial Modeling Prep (FMP) quote
px.pePrice / earnings (trailing)10.42FMPFinancial Modeling Prep (FMP) · quote
px.volumeShares traded on the day6.63MFMPFinancial Modeling Prep (FMP) · quote
px.betaBeta-0.22FMPFinancial Modeling Prep (FMP) company profile
id.ceoChief executiveWael SawanFMPFinancial Modeling Prep (FMP) key executives (proxy-derived) — Titles and pay come from the company's proxy statement as our provider parsed it.
id.employeesEmployees84,000FMPFinancial Modeling Prep (FMP) employee count, from the company's filing
fin.annualRevenue and net result by fiscal year5 fiscal years, FY2021 through FY2025: FY2021 revenue $261.50B, net result $20.10B; FY2022 revenue $381.31B, net result $42.31B; FY2023 revenue $316.62B, net result $19.36B; FY2024 revenue $284.31B, net result $16.09B; FY2025 revenue $266.89B, net result $17.84BFMPFinancial Modeling Prep (FMP), from the company's 10-K income statements
fin.rev_mixReported revenue segmentsLNG $33.47B · Other $19.96B · Crude oil $35.71B · Oil products $114.66B · Natural gas and NGL $22.82BFMPFinancial Modeling Prep (FMP) revenue segmentation, from the company's 10-K
fin.gross_marginGross margin (trailing twelve months)17.9%FMPFinancial Modeling Prep (FMP) key-metrics-ttm + ratios-ttm — A ratio our provider could not compute is absent rather than shown as zero.
fin.q_table.depth.2026-06-30.revenue_kRevenue — period end 2026-06-30$94.66BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-06-30.rd_kR&D — period end 2026-06-30$277.00MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-06-30.sga_kSG&A — period end 2026-06-30$2.91BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-06-30.operating_result_kFMP standardized operating result — period end 2026-06-30$15.18BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.revenue_kRevenue — period end 2026-03-31$69.69BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.rd_kR&D — period end 2026-03-31$167.00MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.sga_kSG&A — period end 2026-03-31$2.80BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.operating_result_kFMP standardized operating result — period end 2026-03-31$10.37BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.revenue_kRevenue — period end 2025-12-31$64.09BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.rd_kR&D — period end 2025-12-31$298.00MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.sga_kSG&A — period end 2025-12-31$3.43BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.operating_result_kFMP standardized operating result — period end 2025-12-31$3.16BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.revenue_kRevenue — period end 2025-09-30$68.15BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.rd_kR&D — period end 2025-09-30$409.00MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.sga_kSG&A — period end 2025-09-30$3.26BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.operating_result_kFMP standardized operating result — period end 2025-09-30$7.73BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
earn.history.depth.2026-07-30.revenue_actualRevenue · reported — report date 2026-07-30$94.66BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-07-30.revenue_estimatedRevenue · estimate — report date 2026-07-30$86.22BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-07-30.eps_actualEPS · reported — report date 2026-07-30$3.5200Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-07-30.eps_estimatedEPS · estimate — report date 2026-07-30$3.2300Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-05-07.revenue_actualRevenue · reported — report date 2026-05-07$69.69BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-05-07.revenue_estimatedRevenue · estimate — report date 2026-05-07$77.54BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-05-07.eps_actualEPS · reported — report date 2026-05-07$2.4400Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-05-07.eps_estimatedEPS · estimate — report date 2026-05-07$2.1400Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-05.revenue_actualRevenue · reported — report date 2026-02-05$64.09BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-05.revenue_estimatedRevenue · estimate — report date 2026-02-05$62.64BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-05.eps_actualEPS · reported — report date 2026-02-05$1.1400Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-05.eps_estimatedEPS · estimate — report date 2026-02-05$1.2100Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-30.revenue_actualRevenue · reported — report date 2025-10-30$67.74BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-30.revenue_estimatedRevenue · estimate — report date 2025-10-30$67.73BReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-30.eps_actualEPS · reported — report date 2025-10-30$1.8600Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-30.eps_estimatedEPS · estimate — report date 2025-10-30$1.7200Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
fin.q_tableQuarterly income statement4 quarters through Q2 FY2026FMPFinancial Modeling Prep (FMP) · income statement (quarterly), as filed
fin.cash_investmentsCash and short-term investments$31.37BFMPFinancial Modeling Prep (FMP), from the company's balance sheet — Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability. Long-term investments are excluded and remain unclassified. Restrictions on cash and short-term investments require separate review.
fin.opcf_latestLatest-quarter operating cash flow$21.43BFMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Period end: 2026-06-30. Negative operating cash flow means cash used. This figure is not a cash-runway estimate.
fin.long_term_investmentsLong-term investments (classification unverified)$29.48BFMPFinancial Modeling Prep (FMP), from the company's balance sheet — Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability.
fin.total_debtTotal debt$73.08BFMPFinancial Modeling Prep (FMP), from the company's balance sheet — Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability.
fin.price_to_bookPrice to book value1.46×FMPFinancial Modeling Prep (FMP) key-metrics-ttm + ratios-ttm — A ratio our provider could not compute is absent rather than shown as zero.
fin.opcf.depth.2026-06-30.operating_cash_flow_mOperating cash flow — period end 2026-06-30$21.43BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2026-03-31.operating_cash_flow_mOperating cash flow — period end 2026-03-31$6.06BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2026-06-30.capex_mCapital expenditure (reported) — period end 2026-06-30−$4.03BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2026-03-31.capex_mCapital expenditure (reported) — period end 2026-03-31−$3.76BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-12-31.operating_cash_flow_mOperating cash flow — period end 2025-12-31$9.44BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-12-31.capex_mCapital expenditure (reported) — period end 2025-12-31−$5.25BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-09-30.operating_cash_flow_mOperating cash flow — period end 2025-09-30$12.21BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-09-30.capex_mCapital expenditure (reported) — period end 2025-09-30−$4.56BPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
earn.pt_rangeAnalyst price target, low to high$90.00 – $122.40FMPFinancial Modeling Prep (FMP) · price-target consensus — Captured Oct 4, 2026 · Coverage not supplied
earn.pt_consensusConsensus analyst price target$102.53FMPFinancial Modeling Prep (FMP) · price-target consensus — Captured Oct 4, 2026 · Coverage not supplied
earn.pt_medianMedian analyst price target$101.00FMPFinancial Modeling Prep (FMP) · price-target consensus — Captured Oct 4, 2026 · Coverage not supplied
own.institutions.depth.ownership_pctInstitutional ownership13.1%FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings — 13F filings are quarterly and lag the quarter end by up to 45 days. Period end Jun 30, 2026
own.institutions.depth.ownership_pct_previous_quarterPrevious quarter · ownership12.9%FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings — 13F filings are quarterly and lag the quarter end by up to 45 days. Prior to period end Jun 30, 2026
own.institutions.depth.holdersReporting holders1,586FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings — 13F filings are quarterly and lag the quarter end by up to 45 days. Period end Jun 30, 2026
own.institutions.depth.holders_previous_quarterPrevious quarter · holders1,651FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings — 13F filings are quarterly and lag the quarter end by up to 45 days. Prior to period end Jun 30, 2026
own.top_holders.depth.holder_0.sharesFmr LLC — shares in provider snapshot87,332,346FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_1.sharesFisher Asset Management, LLC — shares in provider snapshot27,633,155FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_2.sharesDimensional Fund Advisors LP — shares in provider snapshot25,363,810FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_3.sharesMorgan Stanley — shares in provider snapshot10,779,129FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_4.sharesGoldman Sachs Group INC — shares in provider snapshot10,560,692FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.

UNRECORDED — 2 facts from stored observations whose source was not recorded

UNRECORDED facts used on this page
Fact IDFactValue as shownAs ofTierSource
earn.historyReported versus estimated, recent quartersEPS beat 6 of 8UNRECORDEDStored earnings-history observation — Captured 2026-10-02 · Expired observation
fin.scoresDistress and quality screensAltman Z 2.69 · Piotroski F 9UNRECORDEDStored financial-scores observation — Captured 2026-10-03 · Expired observation

COMPUTED — 5 facts from our arithmetic, formula restated

COMPUTED facts used on this page
Fact IDFactValue as shownAs ofTierSource
fin.mcap_to_cashMarket value per dollar of cash and short-term investments8.54×—COMPUTEDComputed on this page from the figures above — The market capitalisation printed on this page divided by cash and short-term investments of $31.37B at Jun 30, 2026. Long-term investments are excluded and remain unclassified. Restrictions on cash and short-term investments require separate review. Market cap record date: 2026-10-02. Balance-sheet reference date: 2026-06-30. The inputs do not establish a single common source date for this ratio.
div.ttm_per_shareDividends per share, last 12 months (split-adjusted)$3.02COMPUTEDFinancial Modeling Prep (FMP) split-adjusted dividend history — Sum of 4 split-adjusted declared dividends with an ex-date in the 365 days to 2026-10-03, per current share. Ex-dates are not payment dates; special dividends are included. Not a declared annual rate.
div.ttm_yieldDividend yield, last 12 months3.14%COMPUTEDFinancial Modeling Prep (FMP) split-adjusted dividend history and quote — Split-adjusted dividends with ex-dates in the trailing 365-day window divided by the packet price, on the same current-share basis. Price date follows the quote, latest price bar or packet-build day when unstamped. Not a forecast or declared annual rate.
earn.history.depth.2026-07-30.revenue_actual.comparisonLatest report · revenue vs estimateAbove estimateReport date · COMPUTEDComputed from Financial Modeling Prep (FMP) earnings — Earnings-history note — Method: compare reported revenue ($94.66B) with the recorded estimate ($86.22B) at displayed precision. Equal displayed values are in line. This compares reported results with recorded estimates, not investment returns.
earn.history.depth.2026-07-30.eps_actual.comparisonLatest report · EPS vs estimateAbove estimateReport date · COMPUTEDComputed from Financial Modeling Prep (FMP) earnings — Earnings-history note — Method: compare reported EPS ($3.5200) with the recorded estimate ($3.2300) at displayed precision. Equal displayed values are in line. This compares reported results with recorded estimates, not investment returns.

OURS — 2 facts from Stock Expert AI's own score and rank

OURS facts used on this page
Fact IDFactValue as shownAs ofTierSource
ours.moonshotMoonshotScore v288 of 100 · Exceptional · pillars 59 / 91 / 91 / 66 / 82OURSStock Expert AI MoonshotScore v2 engine
ours.moonshot_changeMoonshotScore movement88 (stored snapshot Oct 3, 2026) → 88 (current publication computed Oct 4, 2026) (0)OURSStock Expert AI current score publication and immutable score snapshots — The current score publication is not yet represented in the immutable snapshot archive.

Fact-family notes

  1. Quarterly statement note. Source series as of 2026-06-30. USD. The operating result is the FMP-standardized value supplied by FMP; it may differ from a filing’s GAAP loss from operations when the provider classifies separately presented items differently. It is not net income or cash flow. Applies to Fact IDs: fin.q_table.depth.2026-06-30.revenue_k, fin.q_table.depth.2026-06-30.rd_k, fin.q_table.depth.2026-06-30.sga_k, fin.q_table.depth.2026-06-30.operating_result_k, fin.q_table.depth.2026-03-31.revenue_k, fin.q_table.depth.2026-03-31.rd_k, fin.q_table.depth.2026-03-31.sga_k, fin.q_table.depth.2026-03-31.operating_result_k, fin.q_table.depth.2025-12-31.revenue_k, fin.q_table.depth.2025-12-31.rd_k, fin.q_table.depth.2025-12-31.sga_k, fin.q_table.depth.2025-12-31.operating_result_k, fin.q_table.depth.2025-09-30.revenue_k, fin.q_table.depth.2025-09-30.rd_k, fin.q_table.depth.2025-09-30.sga_k, fin.q_table.depth.2025-09-30.operating_result_k.
  2. Earnings-history note. Source series as of 2026-07-30. Dates are report dates, not fiscal period ends. Revenue is in USD; EPS is USD per share, rounded to four decimals. The earnings feed does not establish a basic, diluted or adjusted basis. Earnings-feed EPS may differ from statement EPS; the two series are not combined. Applies to Fact IDs: earn.history.depth.2026-07-30.revenue_actual, earn.history.depth.2026-07-30.revenue_estimated, earn.history.depth.2026-07-30.revenue_actual.comparison, earn.history.depth.2026-07-30.eps_actual.comparison, earn.history.depth.2026-07-30.eps_actual, earn.history.depth.2026-07-30.eps_estimated, earn.history.depth.2026-05-07.revenue_actual, earn.history.depth.2026-05-07.revenue_estimated, earn.history.depth.2026-05-07.eps_actual, earn.history.depth.2026-05-07.eps_estimated, earn.history.depth.2026-02-05.revenue_actual, earn.history.depth.2026-02-05.revenue_estimated, earn.history.depth.2026-02-05.eps_actual, earn.history.depth.2026-02-05.eps_estimated, earn.history.depth.2025-10-30.revenue_actual, earn.history.depth.2025-10-30.revenue_estimated, earn.history.depth.2025-10-30.eps_actual, earn.history.depth.2025-10-30.eps_estimated.
  3. Cash-flow note. Source series as of 2026-06-30. USD. Negative operating cash flow means cash used. Capital expenditure keeps the provider’s reported sign; it is not added here to estimate free cash flow or runway. Applies to Fact IDs: fin.opcf.depth.2026-06-30.operating_cash_flow_m, fin.opcf.depth.2026-03-31.operating_cash_flow_m, fin.opcf.depth.2026-06-30.capex_m, fin.opcf.depth.2026-03-31.capex_m, fin.opcf.depth.2025-12-31.operating_cash_flow_m, fin.opcf.depth.2025-12-31.capex_m, fin.opcf.depth.2025-09-30.operating_cash_flow_m, fin.opcf.depth.2025-09-30.capex_m.
Published
Research standards
Methodology · Editorial policy · Corrections

Sources used for research written 2026-09-12

Historical evidence preserved with this analysis. Current figures are listed separately above.

EvidenceCaptured valueSource dateSource typeSource
Legal name
Shell plc
2026-09-12OFFICIALSEC EDGAR filer record
Business description
Shell plc, a distinguished energy and petrochemical corporation, is headquartered in London, United Kingdom, and was originally founded in 1907. Known as Royal Dutch Shell plc until its name change in January 2022, the company maintains a formidable global presence, conducting operations across Europe, Asia, Oceania, Africa, and both North and South America. Its comprehensive business activities are categorized into several key divisions: Integrated Gas, Upstream, Marketing, Chemicals and Products, and Renewables and Energy Solutions. Shell's core operations involve the exploration for and extraction of crude oil, natural gas, and natural gas liquids. Beyond production, the company is deeply involved in the marketing, transportation, and strategic infrastructure development required to deliver these energy resources to consumers. This includes the manufacturing of gas-to-liquids fuels and a variety of other refined products. Shell also operates a substantial trading arm, dealing in commodities such as natural gas, liquefied natural gas (LNG), crude oil, electricity, and carbon emission rights. Its refining capabilities convert crude oil and various feedstocks into a wide range of essential products, including gasoline, diesel, aviation and marine fuels, lubricants, bitumen, and sulfur, while also developing low-carbon fuel alternatives. In the chemical sector, Shell is a significant producer of petrochemicals for industrial use, manufacturing base chemicals like ethylene, propylene, and aromatics, alongside intermediate chemicals such as styrene monomer, propylene oxide, and various solvents. The company also manages oil sands assets. Looking to the future of energy, Shell is actively investing in and developing renewable solutions. This includes generating electricity from wind and solar power, pioneering hydrogen production and sales, and establishing a network of electric vehicle charging services. Furthermore, Shell promotes LNG as a viable fuel source for heavy-duty transportation.
2026-09-12FMPFinancial Modeling Prep (FMP) company profile
Revenue by segment
Power: $12.26B; Crude Oil: $35.71B; Lubricants: $11.54B; Other Contracts: $19.96B; Natural Gas and Natural Gas Liquids (NGL): $56.29B
2025-12-31FMPFinancial Modeling Prep (FMP) revenue segmentation, from the company's 10-K
Annual revenue and net result (USD millions)
Captured record · 5 entries
  • FY2025 — R&D: $1.17B, Revenue: $266.89B, Period end: 2025-12-31, Net result: $17.84B
  • FY2024 — R&D: $1.10B, Revenue: $284.31B, Period end: 2024-12-31, Net result: $16.09B
  • FY2023 — R&D: $1.29B, Revenue: $316.62B, Period end: 2023-12-31, Net result: $19.36B
  • FY2022 — R&D: $1.07B, Revenue: $381.31B, Period end: 2022-12-31, Net result: $42.31B
  • FY2021 — R&D: $815.00M, Revenue: $261.50B, Period end: 2021-12-31, Net result: $20.10B
2025-12-31FMPFinancial Modeling Prep (FMP), from the company's 10-K income statements
Operating cash flow by quarter (USD millions)
Captured record · 8 entries
  • Quarter ended 2026-06-30 — Capital expenditure: -$4.03B, Operating cash flow: $21.43B
  • Quarter ended 2026-03-31 — Capital expenditure: -$3.76B, Operating cash flow: $6.06B
  • Quarter ended 2025-12-31 — Capital expenditure: -$5.25B, Operating cash flow: $9.44B
  • Quarter ended 2025-09-30 — Capital expenditure: -$4.56B, Operating cash flow: $12.21B
  • Quarter ended 2025-06-30 — Capital expenditure: -$5.45B, Operating cash flow: $11.94B
  • Quarter ended 2025-03-31 — Capital expenditure: -$3.75B, Operating cash flow: $9.28B
  • Quarter ended 2024-12-31 — Capital expenditure: -$6.49B, Operating cash flow: $13.16B
  • Quarter ended 2024-09-30 — Capital expenditure: -$4.69B, Operating cash flow: $14.68B
2026-06-30FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements
Management outlook — dated call excerpts
Captured record · 1 entry
  • Call of 2026-07-30 — Quote: The one that has been damaged, that second train, we expect the repairs, which are now progressing to be completed and for that facility to be ready to go, again, subject to our ability to export by end of the first quarter of next year., Speaker: Wael Sawan

Selected verbatim statements from the latest available call, dated by the transcript provider. Management expectations, not completed milestones or guarantees. Relative dates retain the speaker's wording.

2026-07-30OFFICIALCompany earnings call, transcript via Financial Modeling Prep (FMP)
Sector / industry (provider taxonomy)
Energy / Oil & Gas Integrated

The company's SEC filings classify it under SIC 1311 — Crude Petroleum & Natural Gas.

2026-09-12FMPFinancial Modeling Prep (FMP) company profile
Quarterly income statement (USD thousands)
Captured record · 8 entries
  • Quarter ended 2026-06-30 — EPS: $3.84 per share, R&D: $277.00M, SG&A: $2.91B, EPS basic: $3.88 per share, EPS basis: diluted, Revenue: $94.66B, EPS diluted: $3.84 per share, Net result: $10.82B, Gross profit: $18.48B, Operating result: $15.18B
  • Quarter ended 2026-03-31 — EPS: $2 per share, R&D: $167.00M, SG&A: $2.80B, EPS basic: $2 per share, EPS basis: diluted, Revenue: $69.69B, EPS diluted: $2 per share, Net result: $5.69B, Gross profit: $13.43B, Operating result: $10.37B
  • Quarter ended 2025-12-31 — EPS: $1.42 per share, R&D: $298.00M, SG&A: $3.43B, EPS basic: $1.44 per share, EPS basis: diluted, Revenue: $64.09B, EPS diluted: $1.42 per share, Net result: $4.13B, Gross profit: $7.28B, Operating result: $3.16B
  • Quarter ended 2025-09-30 — EPS: $1.8 per share, R&D: $409.00M, SG&A: $3.26B, EPS basic: $1.82 per share, EPS basis: diluted, Revenue: $68.15B, EPS diluted: $1.8 per share, Net result: $5.32B, Gross profit: $11.58B, Operating result: $7.73B
  • Quarter ended 2025-06-30 — EPS: $1.2 per share, R&D: $278.00M, SG&A: $3.08B, EPS basic: $1.22 per share, EPS basis: diluted, Revenue: $65.41B, EPS diluted: $1.2 per share, Net result: $3.60B, Gross profit: $9.73B, Operating result: $6.01B
  • Quarter ended 2025-03-31 — EPS: $1.5 per share, R&D: $185.00M, SG&A: $2.84B, EPS basic: $1.52 per share, EPS basis: diluted, Revenue: $69.23B, EPS diluted: $1.5 per share, Net result: $4.78B, Gross profit: $12.71B, Operating result: $9.47B
  • Quarter ended 2024-12-31 — EPS: $0.3 per share, R&D: $331.00M, SG&A: $3.23B, EPS basic: $0.3 per share, EPS basis: diluted, Revenue: $66.28B, EPS diluted: $0.3 per share, Net result: $928.00M, Gross profit: $6.83B, Operating result: $2.41B
  • Quarter ended 2024-09-30 — EPS: $1.36 per share, R&D: $294.00M, SG&A: $3.14B, EPS basic: $1.38 per share, EPS basis: diluted, Revenue: $71.09B, EPS diluted: $1.36 per share, Net result: $4.29B, Gross profit: $11.15B, Operating result: $7.41B
2026-06-30FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements
Cash and short-term investments over time (USD millions)
Captured record · 8 entries
  • 2026-06-30 — Amount: $31.37B, Cash basis: cash and short-term investments
  • 2026-03-31 — Amount: $23.12B, Cash basis: cash and short-term investments
  • 2025-12-31 — Amount: $30.22B, Cash basis: cash and short-term investments
  • 2025-09-30 — Amount: $33.05B, Cash basis: cash and short-term investments
  • 2025-06-30 — Amount: $32.68B, Cash basis: cash and short-term investments
  • 2025-03-31 — Amount: $35.60B, Cash basis: cash and short-term investments
  • 2024-12-31 — Amount: $39.11B, Cash basis: cash and short-term investments
  • 2024-09-30 — Amount: $42.25B, Cash basis: cash and short-term investments
2026-06-30FMPFinancial Modeling Prep (FMP), from the company's quarterly balance sheets
Reported versus estimated, last 8 quarters
Captured record · 8 entries
  • Reported 2026-07-30 — EPS actual: $3.52 per share, EPS estimated: $3.23 per share, Revenue actual: $94.66B, Revenue estimated: $86.22B
  • Reported 2026-05-07 — EPS actual: $2.44 per share, EPS estimated: $2.14 per share, Revenue actual: $69.69B, Revenue estimated: $77.54B
  • Reported 2026-02-05 — EPS actual: $1.14 per share, EPS estimated: $1.21 per share, Revenue actual: $64.09B, Revenue estimated: $62.64B
  • Reported 2025-10-30 — EPS actual: $1.86 per share, EPS estimated: $1.72 per share, Revenue actual: $67.74B, Revenue estimated: $67.73B
  • Reported 2025-07-31 — EPS actual: $1.42 per share, EPS estimated: $1.13 per share, Revenue actual: $65.41B, Revenue estimated: $70.23B
  • Reported 2025-05-02 — EPS actual: $1.84 per share, EPS estimated: $1.54 per share, Revenue actual: $69.23B, Revenue estimated: $70.86B
  • Reported 2025-01-30 — EPS actual: $1.2 per share, EPS estimated: $1.74 per share, Revenue actual: $66.28B, Revenue estimated: $65.02B
  • Reported 2024-10-31 — EPS actual: $2.36 per share, EPS estimated: $1.66 per share, Revenue actual: $71.09B, Revenue estimated: $61.34B
2026-07-30FMPFinancial Modeling Prep (FMP) earnings
Cash, investments and debt
Total debt: $73.08B; Liquidity basis: cash and short-term investments; Total liabilities: $198.73B; Cash and short-term investments: $31.37B; Cash and investments: $60.85B; Long-term investments: $29.48B; Long-term investments classification: unclassified

Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability.

2026-06-30FMPFinancial Modeling Prep (FMP), from the company's balance sheet
Cash and investment components
Total basis: cash short and long-term investments; Total: $60.85B; Cash and short-term investments: $31.37B; Long-term investments: $29.48B; Long-term investments classification: unclassified

Sums the balance sheet's cash and short-term investments with its long-term investments.; The long-term investment field does not establish marketability; the sum is not a measure of available liquidity.; These provider fields do not establish investment access restrictions or explain differences from third-party cash figures.

2026-06-30COMPUTEDComputed from the balance sheet
Cash decline over the reported window
To: 2026-06-30; From: 2024-09-30; Periods: 7; Cash basis: cash and short-term investments; Closing balance: $31.37B; Decline: $10.88B; Opening balance: $42.25B; Average change per period: $1.55B

Change in cash, cash equivalents and short-term investments between the 2024-09-30 and 2026-06-30 balance sheets.; This is a balance change, not operating burn: financing and investing move it too.; Averaged over 7 reporting periods of unequal length.

2026-06-30COMPUTEDComputed from reported balances
Cash against market value
As of: 2026-06-30; Cash basis: cash and short-term investments; Net cash: -$41.70B; Total debt: $73.08B; Cash and investments: $31.37B

Price-based multiples captured at research time are not repeated here; the page shows each once, from current figures with their own dates. Cash is the latest reported cash and short-term investment balance; long-term investments are excluded. Market capitalization is the latest provider value.; The reported balance does not establish unrestricted availability or liquidation value.; The two are measured on different dates — the balance sheet is a quarter-end, the market cap is a recent close.; Debt is total debt as reported, including operating lease liabilities where the filer includes them.

2026-06-30COMPUTEDComputed from the balance sheet and the latest market capitalization
Trailing twelve-month ratio set
Quick ratio: 1.12; Current ratio: 1.43; Debt to equity: 0.4; Net margin: 8.8%; Gross margin: 17.9%; Operating margin: 13.4%; Return on assets: 6.8%; Return on equity: 14.7%

Price-based multiples captured at research time are not repeated here; the page shows each once, from current figures with their own dates. A ratio our provider could not compute is absent rather than shown as zero.

2026-09-12FMPFinancial Modeling Prep (FMP) key-metrics-ttm + ratios-ttm
Next earnings report
Date: 2026-10-29; EPS estimate: $2.85 per share; Revenue estimate: $82.30B

The date is our provider's estimate until the company confirms it.

2026-09-12FMPFinancial Modeling Prep (FMP) earnings calendar
Analyst revenue and earnings estimates (average)
Captured record · 4 entries
  • FY2027 — EPS average: $9.37 per share, Revenue average: $305.56B, Revenue low: $280.29B, Revenue high: $330.84B, Analysts (revenue): 5
  • FY2028 — EPS average: $9.37 per share, Revenue average: $304.48B, Revenue low: $270.30B, Revenue high: $354.17B, Analysts (revenue): 6
  • FY2029 — EPS average: $9.78 per share, Revenue average: $308.20B, Revenue low: $271.20B, Revenue high: $352.84B, Analysts (revenue): 4
  • FY2030 — EPS average: $10.4 per share, Revenue average: $308.50B, Revenue low: $271.46B, Revenue high: $353.18B, Analysts (revenue): 3
2026-09-12FMPFinancial Modeling Prep (FMP) analyst estimates
Data Sources & Methodology
Figures come from Financial Modeling Prep (FMP). If FMP has no figure for a ticker, a price or fundamental may come from a Yahoo Finance fallback, or a price from an Alpaca fallback. SEC EDGAR is used only for filing links and company identity details (legal name, address), never for figures. AI analysis by Stock Expert AI proprietary algorithms. Technical indicators via industry-standard calculations. Last updated: .
Data Provenance
Sources: Financial Modeling Prep (FMP) — Primary · Yahoo Finance — Fallback · Alpaca — Tertiary
Last fetched:
Cache TTL: Quote 5min · Profile 7d · Financials 7d · Insider 48h
How we use AI: Numbers are pulled directly from FMP & Yahoo Finance — our AI writes the analysis, it never edits the figures.
Data provided as-is for educational purposes. Not financial advice. Methodology

Data provided for informational purposes only.

ETFs that hold SHEL

Funds in our ETF coverage that list SHEL among the top 10 holdings on their fund page, largest weight first. Each weight is the fund's reported holding weight as of the date in its row.

ETFWeightHoldings as of
FT Energy Income Partners Enhanced Income ETF (EIPI)3.54%
Rockefeller Global Equity ETF (RGEF)2.54%