Popularity #2,848Ex-dividend today · $0.6276
E · NYSE · Oil & Gas Integrated

Eni (ADR) (E)

Runs an integrated oil, gas, LNG, refining and transition-energy portfolio.

$53.54
vs last close−0.50 (−0.93%)
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Eni S.p.A.E
Energy

Explores for and produces oil and gas while trading gas, LNG and power and operating refining and chemicals. Enilive covers biofuels and mobility; Plenitude spans retail energy, renewables and charging. The integrated, internationally active portfolio uses satellite companies to attract outside capital while retaining strategic interests.

Explores for and produces oil and gas, trades gas, LNG and power, and runs refining and chemicals operations. Enilive adds biofuels, biomethane and mobility services, while Plenitude combines retail energy, renewable generation and electric-vehicle charging across an international portfolio.

Execution centers on vertical integration, exploration and technology development, partnerships, and selective stake monetization. Specialized platforms such as Plenitude, Enilive and regional upstream companies can bring in outside capital while retaining strategic ties to the group.

Cash generation remains exposed to oil and gas prices, and operations extend into politically complex jurisdictions. European chemicals restructuring, state influence in governance and outside investors in satellite companies shape capital allocation and operating priorities.

Company facts

CEOClaudio Descalzi
ListedNov 28, 1995
ExchangeNYSE
HeadquartersRome, Italy
CountryItaly
Employees32,349
CIK0001002242
ISINUS26874R1086

Market cap$78.29B
EPS (ttm)$3.94
P/E (ttm)13.70
ROE11.0%
P/B1.31
P/S0.8205
Dividend yieldDiv yield4.55%
Beta−0.23vs XLE 0.84

Price target$64.30+19.0%Average of 26 analysts
ConsensusHold16 of 26 analysts
Ratings

Target rangeAs of Sep 21, 2026

Latest analyst notes

DateFirmActionPriorCurrent
Apr 17, 2026BNP ParibasTarget
Target:
Target: $64.30
Mar 2, 2026JP MorganUpgrade
Rating: Underweight
Rating: Overweight
Dec 5, 2025JP MorganDowngrade
Rating: Overweight
Rating: Underweight
Nov 25, 2025UBSUpgrade
Rating: Neutral
Rating: Buy
Sep 2, 2025RBC CapitalDowngrade
Rating: Outperform
Rating: Sector Perform

Next report
Oct 23, 26
in 31 days
EPS estimate
$1.85
Revenue estimate
$25.70B
Fiscal quarter
Q3 FY26

EPSReportedEstimate

Feb '25Apr '25Jul '25Oct '25Feb '26Apr '26Jul '26Oct '26
Reported$0.58$0.92$0.79$0.90$0.87$0.81$1.76Pending
Estimate$0.84$0.91$0.67$0.73$0.78$1.13$1.90$1.85
Surprise−31.0%+1.1%+17.9%+23.3%+11.5%−28.3%−7.4%

RevenueReportedEstimate

Feb '25Apr '25Jul '25Oct '25Feb '26Apr '26Jul '26Oct '26
Reported$24.46B$25.66B$22.01B$23.49B$24.32B$23.11B$25.40BPending
Estimate$20.20B$22.59B$22.12B$21.45B$21.16B$24.84B$27.93B$25.70B
Surprise+21.1%+13.6%−0.5%+9.5%+14.9%−7.0%−9.1%
Estimate$1.85
ReportedDue Oct 23, 2026
Estimate$25.70B
ReportedDue Oct 23, 2026
View details

Debt to equity71.10%
Current ratio123.30%

ProfitabilityRevenueNet incomeNet margin

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Revenue$23.62B$26.86B$21.56B$21.46B$23.10B$23.57B$22.58B$25.92B
Net income$596.9M$282.4M$1.34B$620.9M$918.2M$102.9M$1.22B$3.86B
Net margin2.5%1.1%6.2%2.9%4.0%0.4%5.4%14.9%

GrowthOperating income

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Operating income$1.74B$1.50B$680.4M$1.50B$1.66B$973.1M$719.3M$1.35B
YoY growth−52.7%−38.4%−78.5%−57.5%−4.9%−35.2%+5.7%−10.4%

Balance sheet, Jun 30, 2026Cash & short-term investments $17.25B · Total debt $42.30B · Total assets $168.10B · Shareholders' equity $59.46B

Revenue
$25.92B
Operating income
$1.35B
Net income
$3.86B

Reported in EUR, converted at the latest exchange rate

View details

Dividend yield
4.55%
Next ex-date
Dec 22, 26
estimated · in 91 days
Annual dividend
$2.46
per share
Schedule
Quarterly
4 payments a year

HistoryDividendAnnual yield

Nov '24Mar '25May '25Sep '25Nov '25Mar '26May '26Sep '26
Dividend$0.5249$0.5835$0.5707$0.6099$0.6043$0.6025$0.6263$0.6276
Annual yield7.72%7.37%7.75%6.53%6.48%4.56%4.38%4.55%
Ex-dateNov 19Mar 25May 20Sep 23Nov 25Mar 24May 19Sep 22
Payment dateDec 6Apr 7Jun 9Oct 7Dec 5Apr 8Jun 5Oct 7
View details

Institutions≈ 1.77%25.58M ADS
355 holders · as of Jun 30, 2026 · largest filers plus last quarter's tail
Other≈ 98.23%1.42B ADS
remainder

1.45B ADS as of Aug 29, 2026 · institutions as of Jun 30, 2026 · holders as of their latest filing

The share count has not been confirmed by a second filing; stakes use it as it stands.

Some positions are filed in underlying shares, not receipts; the ratio is unknown, so no percentage.

This quarter's institutional total failed a plausibility check; shown: the largest filers plus last quarter's remainder.

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesDate
Morgan StanleyInstitution
0.20%2.97M ADSas of Jun 30, 2026
Natixis Advisors, L.P.Institution
0.18%2.54M ADSas of Jun 30, 2026
Jones Financial Companies LLLPInstitution
0.17%2.49M ADSas of Jun 30, 2026
BlackRock, Inc.Institution
0.09%1.30M ADSas of Jun 30, 2026
Goldman Sachs Group IncInstitution
0.09%1.27M ADSas of Jun 30, 2026

Insider tradesForm 4

Nothing filed in the last 12 months.

View details

  • Shell (ADR)

    Broad overlap across LNG, upstream, fuels, power, and mobility

  • TotalEnergies

    Closest European overlap in LNG, power, fuels, and bioenergy

  • BP (ADR)

    Integrated overlap across upstream, gas trading, fuels, and transition

  • ExxonMobil

    Large-scale rival in upstream, LNG, refining, chemicals, and CCS

  • Chevron

    Upstream, LNG, refining, renewable-fuels, and CCS overlap

  • Equinor (ADR)

    Gas-weighted upstream, European supply, renewables, and CCS overlap

Compare

CompanyPriceChange
Eni (ADR)$53.54−0.93%$78.29B13.78.20.8+15.4%
Shell (ADR)$94.02+0.80%$260.05B10.39.00.9+44.7%
TotalEnergies$89.81−0.28%$200.56B11.38.11.0+26.2%
BP (ADR)$43.55+0.89%$113.19B21.68.00.5+46.5%
ExxonMobil$159.72+0.90%$656.48B20.413.01.8+46.0%
Chevron$204.17+0.24%$405.85B19.512.91.9+57.9%
Equinor (ADR)$42.13−0.86%$101.58B11.69.00.9+36.5%
Median15.69.01.0+45.4%