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ConocoPhillips · Energy

COP US listed · USD美股 · 美元

ConocoPhillips Company is an American multinational corporation engaged in hydrocarbon exploration and production. It is based in the Energy Corridor district of Houston, Texas.康菲公司(ConocoPhillips Company)是一家美国跨国公司,从事碳氢化合物的勘探与生产。公司总部位于得克萨斯州休斯敦的能源走廊区。

Large cap大盘 · $156B Energy Rate-sensitive利率敏感
$127.30
-$2.04 · -1.58%
52w low52周低 $82.95high高 $142
Neutral — no clear edge中性 — 无明显优势 Daily low forming, but the bigger trend is still bearish. Small size only; stop below 125.27.日线低点正在形成,但大趋势仍偏空。只适合小仓位;止损设于 125.27 下方。 As of 2026-09-28截至 2026-09-28
Company intelligence公司情报

The latest call, in context把最新财报放回历史脉络

A synthesized event record across management commentary and recorded metrics. Read as context; verify exact wording in the transcript before relying.综合管理层表述与记录指标形成事件档案。仅供参考;使用前请在电话会原文中核对准确措辞。

Checking latest record正在检查最新记录

Live company record实时公司记录

JavaScript loads the source-bounded event record here. Open Terminal if the live module does not start.JavaScript 会在此加载受来源约束的事件记录。如实时模块未启动,请打开终端。

Continue with full transcript history继续查看完整电话会历史 ↗

Price chart价格图表

daily · interactive日线 · 可交互 Open in Terminal打开终端 ↗
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The interactive chart could not load here.互动图表暂时无法在此加载。 Open the live chart in Terminal在终端中打开实时图表 ↗
Candles, volume and moving averages — pan and zoom inside the chart.蜡烛图、成交量与均线 — 图内可缩放拖动。 MMastermind Terminal — live & interactiveMastermind 终端 — 实时互动 ↗

Technicals技术面

daily bars日线数据 · 2026-09-28
Short-term Rising TrendLong-term Rising Trend
Momentum (RSI 14)动量(RSI 14) 44
Neutral zone中性区域
vs 50-day average相对50日均线 +0.4% above上方 Uptrend intact趋势完好
vs 200-day average相对200日均线 +11.2% above上方 Long trend up长期向上
Trend strength (ADX)趋势强度(ADX) 21 Trending趋势中
Volatility波动率 81th percentile第81百分位
These readings feed the stance at the top — one source per number, refreshed nightly.以上读数构成页首的引擎立场 — 每个数字只有一个来源,每晚更新。

Earnings财务业绩

next report下次财报 2026-11-05
38
days to go天后公布

Estimates roughly stable预期基本稳定

Beat in 3 of last 4 quarters近 4 季中 3 季超预期

+9.5% Jun 2026
+9.2% Mar 2026
-5.6% Dec 2025
+15.0% Sep 2025

EPS surprise vs consensus, last quarters每股收益相对预期的超预期幅度(近几个季度) · average平均 7.0%

Valuation估值

Roughly fair vs sector相对行业估值合理
Multiple指标COP Sector median行业中位Cheaper than相对便宜
P/E (trailing)市盈率(历史) 19.48x 21.70 54%
P/E (forward)市盈率(预测) 13.2x — —
P/B市净率 2.41x 2.11 41%
P/S市销率 2.64x 2.05 32%
Earnings yield盈利收益率 5.13% 4.34 60%
Shareholder yield股东收益率 5.79% 2.89 85%
"Cheaper than" = share of sector peers trading richer on that multiple.「相对便宜」= 行业中该指标估值更高的同行占比。

Financials财务数据

fiscal years财年
Revenue营业收入 $58.9B2025
20202025
5-yr growth5年复合增速 25.1%
Earnings per share每股收益 $6.352025
20202025
Free cash flow自由现金流 $18.2B2022
20202025
Net margin净利率
13.6%
FCF margin自由现金流利润率
33.6%
Balance-sheet quality财务体质 5/7 Bankruptcy risk: grey zone破产风险:灰色区 Return on equity股本回报率 12% Clean稳健

Leverage杠杆

Current ratio流动比率1.30

Capital allocation资本配置

Buybacks (TTM)回购(TTM)$5.0B
Stock-based comp股权薪酬$336.0M
Share count change (1y)股数变化(1年)-3.9%

Debt coming due到期债务

FY2025 10-K

In the 12-month bucket following fiscal period end 2025-12-31, it reported $713.0M due — about 15% of its disclosed principal.在财年期末 2025-12-31 之后12个月的区间内,已披露到期本金为 $713.0M,约占其披露本金的 15%。

All maturity buckets are measured from fiscal period end 2025-12-31, not from today.所有到期区间均从财年期末 2025-12-31 起算,而非从今天起算。

First 12 months after period end报告期末之后首12个月 $713.0M
Year 2第2年 $786.0M
Year 3第3年 $670.0M
Year 4第4年 $992.0M
Year 5第5年 $1.6B
After year 55年以后 not reported未披露

A cash-flow scenario is unavailable until the filing inputs are verified.报告数据核实前,现金流情景暂不可用。

Capital-need coverage is partial; incomplete or incompatible filing inputs are not combined.资本需求覆盖信息不完整;不会合并不完整或不兼容的报告数据。

Any available cash-flow scenario is context only. Missing or incompatible inputs are not replaced with zero or a financing forecast.可用现金流情景仅供参考;缺失或不兼容的输入不以零值或融资预测替代。

Sources and cash-flow calculation来源与现金流计算

Figures are XBRL facts from one filing — no two years are mixed. Filing数据取自同一份文件中的 XBRL 事实,不跨文件拼接。文件 0001163165-26-000009, period ending报告期截至 2025-12-31, unit单位 USD. Cache acquired缓存获取时间: 2026-09-23T08:00:39.088829+00:00. 5/6 buckets reported.个区间有披露。

  • LongTermDebtMaturitiesRepaymentsOfPrincipalInNextTwelveMonths
  • LongTermDebtMaturitiesRepaymentsOfPrincipalInYearTwo
  • LongTermDebtMaturitiesRepaymentsOfPrincipalInYearThree
  • LongTermDebtMaturitiesRepaymentsOfPrincipalInYearFour
  • LongTermDebtMaturitiesRepaymentsOfPrincipalInYearFive
  • LongTermDebtMaturitiesRepaymentsOfPrincipalAfterYearFive — absent
Research context only — reported figures from SEC filings, not a rating, a signal or investment advice.仅供研究参考 — 数据摘自 SEC 文件披露口径,不构成评级、信号或投资建议。

Why is it moving为何波动

6 checks · nightly六项检查 · 每晚
Sector / Theme行业/主题 Energy (Equal-Weight) theme — #16 of 49 themes「能源(等权)」主题 — 49 个主题中第 16 位
Macro宏观 Short-duration name into a restrictive, rising-real-rate regime → rate tailwind.短久期标的进入偏紧、实际利率上行的环境→利率顺风。
Positioning持仓 Insider cluster activity内部人集中交易
Technical技术面 NEARING A LOW → BOTTOMING接近低点 → 筑底中

Options positioning期权持仓

as of last close截至上一收盘

Market makers are net long gamma — price pinned near current level做市商净持有正伽玛,价格倾向于在当前水平附近震荡

Expected daily move预期日波动
±2.00%
Expected weekly move预期周波动
±4.47%
Gamma flip伽玛翻转位
$104
25d risk reversal25d风险逆转
-0.7%

Flow:资金流向: $5M premium traded; 0% 0DTE; 17 fresh positions; P/C 0.46; ~leans bearish (direction approx)成交权利金 $5M;0DTE占0%;17个新建仓;看跌看涨比 0.46;≈偏看跌/对冲(方向近似)

Skew: balanced偏斜:balanced
Call and put walls are plotted on the Trade levels ladder →看涨/看跌期权墙已标注在「交易点位」阶梯上 →

Ownership & smart money持仓与聪明钱

13F

Insider activity:内部人动向: -$96.2M net (0 buyers, 8 sellers)-$96.2M 净值(0 买家,8 卖家)

Signal history信号历史

engine events引擎事件
BOTTOMING → UNCONFIRMED TURN筑底中 → 未确认转向 HIGH-RISK · NIMBLE ONLY. A daily bottoming setup is forming (swing low in, momentum turned up) — but the higher timeframes haven't confirmed it: the bigger picture is still bearish (weekly momentum positive; but rolling toward a weekly cross-down; 3-day crossed down; last cycle left-translated (topped early)). This is an UNCONFIRMED TURN, not a confirmed buy. Weekly confirmation lags price, so this exact reading covers BOTH bounces that fail AND the first leg of a genuine new cycle — you can't tell which in real time, so treat it as a risk/size signal, not a direction call. Measured: weekly-unconfirmed bottoming setups held the low ~49% of the time vs ~68% once the weekly turns up. Last cycle was left-translated (topped early) — a bearish structural tell高风险 · 仅限灵活操作。正在形成日线筑底形态(摆动低点已现、动量转向上行)——但更高周期尚未确认:大局仍偏空(周线动量为正;但正趋向周线向下交叉;3 日线向下交叉;上一周期左移(见顶偏早))。这是「未确认转向」,并非已确认的买入。周线确认滞后于价格,因此同样的读数既涵盖最终失败的反弹,也涵盖真正新周期的第一段——实时无法判定属于哪一种,故应将其视为风险/仓位信号,而非方向判断。实测:周线未确认的筑底形态约 49% 守住低点,周线转向后升至约 68%。 上一周期为左移结构(见顶偏早)——属于看空的结构性信号
Sep 23, 2026
NEARING A LOW → BOTTOMING接近低点 → 筑底中
BUY SETUP买入预备
Sep 21, 2026
BOTTOMING → NEARING A LOW筑底中 → 接近低点
GET READY准备
Sep 16, 2026
NEARING A HIGH → BOTTOMING接近高点 → 筑底中
BUY SETUP买入预备
Sep 15, 2026
COP made a new 52-week highCOP 创52周新高
Price reached a fresh 52-week high — a momentum / trend extreme the whole market watches. $141.22.价格创出52周新高 — 全市场关注的动量/趋势极值。$141.22。
Sep 15, 2026
COP RSI reached overboughtCOP RSI进入超买
RSI(14) crossed above 70 — stretched to the upside; context, not a timing trigger alone. $141.22.RSI(14)上穿70 — 上行过度;仅作背景,单独不构成择时。$141.22。
Sep 11, 2026
COP made a new 52-week highCOP 创52周新高
Price reached a fresh 52-week high — a momentum / trend extreme the whole market watches. $137.35.价格创出52周新高 — 全市场关注的动量/趋势极值。$137.35。
Sep 4, 2026
COP daily MACD crossed downCOP 日线MACD下穿
The daily MACD histogram turned negative — fast and noisy, context rather than a standalone trigger. $134.26.日线MACD柱状图转负 — 快速且嘈杂,仅作背景。$134.26。
Sep 2, 2026
BOTTOMING → NEARING A HIGH筑底中 → 接近高点
TAKE PROFITS止盈
Showing the last 15 of显示最近15条,共 3763 signals条信号

Company profile公司档案

ConocoPhillips Company is an American multinational corporation engaged in hydrocarbon exploration and production. It is based in the Energy Corridor district of Houston, Texas.康菲公司(ConocoPhillips Company)是一家美国跨国公司,从事碳氢化合物的勘探与生产。公司总部位于得克萨斯州休斯敦的能源走廊区。

Style DNA — how it trades vs the market风格基因 — 相对市场的交易特征
Value价值
Below market低于市场
Quality质量
Above market高于市场
Investment资本投入
Above market高于市场
Shareholder payout股东回报
Below market低于市场
Low volatility低波动
Above market高于市场
Low market beta低市场敏感度
Above market高于市场
Earnings quality盈利质量
Below market低于市场
Short interest空头兴趣
Below market低于市场
Watch items — what could change the story关注项 — 可能改变故事的因素
  • Margin compression despite revenue growth

AI research briefAI研究简报

generated生成于 2026-09-24

COP is at a short-term bottoming juncture: buyers rejected the 2026-09-22 swing low, but price has not reclaimed its 10-day average and the prior cycle was left-translated, so the bounce is unconfirmed. The longer-term trend is mixed despite price holding above the 50- and 200-day averages, while fundamentals show strong cash flow and shareholder returns but shrinking net income.

Key drivers主要驱动
  • Short-term bottoming setup: swing low printed but price remains below the 10-day average
  • Macro tailwind: US net liquidity expanding cited in the signal
  • Technical: above 50-day and 200-day averages, but MACD negative and RSI14 near 48
  • Factor tilts: positive quality, accruals, low-beta and short-interest; value slightly negative
  • Fundamentals: strong CFO and dividends/repurchases, but net income growth of -13.6%
Key risks主要风险
  • Left-translated prior cycle flagged as a bearish structural tell; bounce may fail
  • Below the 10-day average keeps short-term momentum unconfirmed
  • Net income declined 13.6% despite strong operating cash flow
  • Mixed/no clear daily trend above longer averages could whipsaw
  • Energy cyclicality and commodity price swings could dominate the setup
Upcoming catalysts近期催化剂
  • Reclaiming the 10-day average would confirm the bottoming setup
  • October seasonality: +0.2% average, up 55% of years (n=44)
  • Macro net-liquidity expansion as a potential tailwind
  • No earnings or news calendar provided; watch energy price and macro headlines
Research context only — not a signal, not advice. This is an AI-generated reading of one stock's PUBLIC, already-computed context (its cycle/technical state, cross-sectional factor scores, SEC fundamentals, and recent public news). It does NOT feed any score, signal, ladder call or position size, and it can be wrong or overconfident. The mechanical engine never sees it. Verify every claim against the deterministic analysis on the same page. No holdings or watchlist information is used.

The whole US universe — S&P 1500 and Russell 2000 — read nightly.覆盖标普1500与罗素2000全部成分股 — 每晚更新解读。

Signals, options positioning, smart-money moves and factor DNA — the same engine that wrote this page covers 2,700+ US stocks.信号、期权持仓、聪明钱动向与因子基因 — 撰写本页的引擎覆盖2700多只美股。

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Research context only — not investment advice. Past patterns do not guarantee future results.仅供研究参考,不构成投资建议。历史规律不代表未来表现。

Data through数据截至 2026-09-28 · regenerated nightly每晚更新 · Generated生成于 2026-09-29 04:25 UTC · All coverage所有股票 · Analyzer分析器