First Eagle Investment Management LLCXOM history

Issuer:
EXXON MOBIL CORP
Quarters tracked:
48 (Q3 2014Q2 2026)
Current shares:
0
Current value:
$0
Peak shares:
27,626,740 (Q2 2020)
Overall change:
-100%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026SOLD-6,237,614-100%
Q1 20266,237,614$1.06B$169.66-1,516,212-20%
Q4 20257,753,826$933.10M$120.34-40,551-1%
Q3 20257,794,377$878.82M$112.75+1,2250%
Q2 20257,793,152$840.10M$107.80-913,185-10%
Q1 20258,706,337$1.04B$118.93+24,4510%
Q4 20248,681,886$933.91M$107.57-4,482,231-34%
Q3 202413,164,117$1.54B$117.22+12,0630%
Q2 202413,152,054$1.51B$115.12-51,7450%
Q1 202413,203,799$1.53B$116.24+14,6300%
Q4 202313,189,169$1.32B$99.98-3,4120%
Q3 202313,192,581$1.55B$117.58-137,880-1%
Q2 202313,330,461$1.43B$107.25-107,464-1%
Q1 202313,437,925$1.47B$109.66-45,3370%
Q4 202213,483,262$1.49B$110.30-6,345,366-32%
Q3 202219,828,628$1.73B$87.31-126,074-1%
Q2 202219,954,702$1.71B$85.64-3,651,936-15%
Q1 202223,606,638$1.95B$82.59-205,645-1%
Q4 202123,812,283$1.46B$61.19-1,254,662-5%
Q3 202125,066,945$1.47B$58.82-427,021-2%
Q2 202125,493,966$1.61B$63.08-394,347-2%
Q1 202125,888,313$1.45B$55.83-896,327-3%
Q4 202026,784,640$1.10B$41.22+394,658+1%
Q3 202026,389,982$905.97M$34.33-1,236,758-4%
Q2 202027,626,740$1.24B$44.72+75,0340%
Q1 202027,551,706$1.05B$37.97+7,611,498+38%
Q4 201919,940,208$1.39B$69.78-101,699-1%
Q3 201920,041,907$1.42B$70.61+1,214,794+6%
Q2 201918,827,113$1.44B$76.63+565,191+3%
Q1 201918,261,922$1.48B$80.80-146,481-1%
Q4 201818,408,403$1.26B$68.19+335,427+2%
Q3 201818,072,976$1.54B$85.02+15,3800%
Q2 201818,057,596$1.49B$82.73-28,0000%
Q1 201818,085,596$1.35B$74.61+5,440,412+43%
Q4 201712,645,184$1.06B$83.64+1,923,229+18%
Q3 201710,721,955$878.99M$81.98+3,582,422+50%
Q2 20177,139,533$576.37M$80.73+7,134,305+136463%
Q1 20175,228$429K$82.06-200-4%
Q4 20165,428$490K$90.27-1,200-18%
Q3 20166,628$578K$87.2100%
Q2 20166,628$621K$93.6900%
Q1 20166,628$554K$83.5800%
Q4 20156,628$517K$78.00+6,628+100%
Q3 2015SOLD-6,628-100%
Q2 20156,628$551K$83.1300%
Q1 20156,628$563K$84.9400%
Q4 20146,628$613K$92.4900%
Q3 20146,628$623K$94.00NEW