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EOG Resources Inc (EOG)

適正価値
EnergyOil & Gas E&PUnited States

ファンダメンタル

78

株価

$141.00

時価総額

$74.90B

パート1 · 企業の価値

概要

EOG Resources, Inc., together with its subsidiaries, explores for, develops, produces, and markets crude oil, natural gas liquids, and natural gas in producing basins in the United States, the Republic of Trinidad and Tobago, and internationally. The company also offers crude oil and condensate, and gathering, processing and marketing. The company was formerly known as Enron Oil & Gas Company. EOG Resources, Inc. was incorporated in 1985 and is headquartered in Houston, Texas.

No editorial profile for this company yet

Direct competitors

Who this company fights with for the same customers

Compare

Generated on 2026年9月18日 with claude-haiku-4-5 — shared with all users

P/E: 35.0Score: 63Market cap: $52.93B

A pure-play Permian producer drilling the same Delaware and Midland Basin shale intervals as EOG and selling the same light sweet crude to the same Gulf Coast buyers.

P/E: 10.9Score: 70Market cap: $51.40B

Overlaps with EOG across the Delaware Basin, Eagle Ford and Powder River Basin, competing for the same acreage, drilling crews and oil and gas volumes.

P/E: 16.5Score: 62Market cap: $151.42B

The largest US independent exploration and production company, competing directly with EOG for Permian and Eagle Ford acreage and for the same crude and natural gas customers.

P/E: 8.6Score: 67Market cap: $56.08B

One of the biggest acreage holders in the Permian Basin, competing with EOG for the same shale drilling inventory and for the same domestic crude buyers.

P/E: 8.8Score: 80Market cap: $15.30B

An independent producer with Permian operations and an international exploration portfolio, competing with EOG both for US shale barrels and for offshore exploration licences abroad.

Coterra Energy Inc.CTRA

Produces oil in the Delaware Basin and natural gas from US shale, putting it head to head with EOG's Delaware oil and South Texas Dorado gas volumes.

貸借対照表と流動性

売上高

$27.03B

直近12か月(2026/6/30まで)

純利益

$6.88B

直近12か月(2026/6/30まで)

フリーキャッシュフロー

-

自己資本合計

$29.83B

負債合計

$21.97B

流動比率

1.85

利払い倍率

32.98

負債/EBITDA

0.76

一株当たり利益(EPS)

売上高と純利益

フリーキャッシュフロー

収益内訳

財務推移表

利益率の推移

負債の推移

負債の重さ

成長率グリッド

成長率 — 売上高

適正価値の推定

景気循環株適正価値

適正価値

$154.32

現在株価

$141.00

安全マージン

+8.6%

適正価値レンジ

$140.71 - $167.93

使用した評価手法間のばらつきであり、統計的に較正された信頼区間ではありません。

推定方法

アナリストの目標株価:$162.00
ディスカウンテッド・キャッシュフロー(DCF):この種の企業には適用されません
利益倍率(P/E):$114.79
グレアムの成長公式:この種の企業には適用されません
収益力価値(EPV):$166.25
正当化されたP/B:この種の企業には適用されません
配当割引モデル(ゴードン):この種の企業には適用されません
P/FFO(運用から生まれる資金):この種の企業には適用されません
中間サイクル利益:$151.66
売上高倍率:この種の企業には適用されません
アナリスト・コンセンサス:買い (17B / 19H / 0S)
直近の決算サプライズ:+0.82%

バリュエーション指標

P/E レシオ

10.71

ROE

16.7%

P/B レシオ

2.27

P/FCF

-

粗利益率

-

ROIC

14.2%

収益性レーダー

価値創造(経済的モート)

ROIC

14.2%

WACC

7.4%

ROIC − WACC

+6.8 pp

ROICが資本コストを上回っています。企業は株主のために価値を創出しています。

ファンダメンタル分析基準

合格(16)

  • EPS shows upward trend
  • ROIC 14.2%
  • P/B Ratio 2.27
  • Debt/Equity ratio
  • Operating Margin 32.9%
  • Current Ratio
  • Interest Coverage
  • Debt/EBITDA
  • Return on Tangible Assets
  • Low reliance on intangibles
  • ROE 22.4%
  • Revenue Growth 5Y 15.4%
  • Earnings Surprise avg 4.9%
  • Earnings Quality (OCF/NI) 1.94
  • Share Dilution -4.1%
  • Net Margin Trend 25.4% vs 25.3%

不合格(6)

  • EPS CAGR 4.17%
  • Price CAGR 3.84%
  • Price below Graham Number
  • DCF valuation (Unknown)
  • Analyst Consensus 47% Buy
  • Piotroski F-Score 4/9

データなし(6)

  • Gross Margin NaN%
  • P/FCF NaN
  • Dividend Payout NaN%
  • Positive Free Cash Flow
  • CapEx intensity
  • PEG Ratio (need PE > 0 and growth > 0)

Piotroski F-スコア

4/9

まちまちのシグナル:一部の領域に注意が必要

score
criteria

利益の質

1.94

高品質:利益はキャッシュに裏付けられている

株式希薄化

-4.1%

株式を買い戻している。株主に友好的

機関投資家の保有

ガバナンス

経営陣

氏名役職年齢
Mr. Ezra Y. YacobCEO & Chairman48
Ms. Ann D. JanssenExecutive VP & CFO60
Mr. Jeffrey R. LeitzellExecutive VP & COO45
Mr. Michael P. DonaldsonExecutive VP & Chief Legal Officer62
Laura B. DistefanoVP & Chief Accounting Officer-
Mr. Sandeep BhakhriSenior VP and Chief Information & Technology Officer-
Mr. Pearce Wheless Hammond Jr., C.F.A.Vice President of Investor Relations-
Lori A. GeigerVice President of Marketing-
Chase KriegerVice President of Corporate Development-
Ms. Michele L. HatzSenior VP & Chief Human Resources Officer-

監査リスク

9

取締役会リスク

5

報酬リスク

3

株主権利リスク

2

パート2 · 株価と買い時

この部分は企業に価値があるかを判断するものではありません。ファンダメンタルズに納得したうえで、いつ買うかを選ぶためのものです。内容:テクニカル分析、ポテンシャル、過去のドローダウン、ガンマエクスポージャー。

書類

  • 年次報告書(10-K)

    事業内容、財務実績、リスクをまとめた年次の概要。

    提出日: 2026-02-24

    書類を見る
  • 四半期報告書(10-Q)

    直近3か月間の業績に関する最新情報。

    提出日: 2026-08-04

    書類を見る
  • 臨時報告書(8-K)

    経営陣の交代や重要な発表など、大きな出来事に関するお知らせ。

    提出日: 2026-09-24

    書類を見る

via SEC EDGAR

業績推移

via SEC EDGAR

Latest News

Recent headlines for EOG, sourced from Markets Gazette.

  • 3/31/2026POSITIVE
    Here's How Much You Would Have Made Owning EOG Resources Stock In The Last 5 Years

    An analysis of EOG Resources stock performance over the past five years reveals a substantial return for investors. While specific figures are not detailed in the provided snippet, the title implies significant gains, suggesting the company has outperformed market expectations or its peers. This historical performance indicates strong operational execution, favorable market conditions for its products, or successful strategic decisions. Investors considering EOG Resources should note this long-term positive trend as a potential indicator of continued value creation, though future performance is not guaranteed.

  • 2/25/2026NEUTRAL
    EOG Resources (EOG) Q4 2025 Earnings Transcript

    The financial community eagerly awaits the publication of EOG Resources Inc.'s Q4 2025 earnings transcript. As a prominent player in the oil and natural gas exploration and production sector, detailed insights from these documents are crucial for investors assessing the company's operational performance, capital strategies, and future outlook. While the specific content is not yet available, earnings call transcripts often provide direct commentary from management regarding production levels, cost structures, capital allocation, and forward guidance. The current lack of specific data keeps the stock in a holding pattern, with market participants poised to react once key information is disclosed, potentially influencing share prices.

via Markets Gazette