TTE · NYSE · Oil & Gas Integrated

TotalEnergies (TTE)

Produces and markets oil, LNG, electricity, renewables and lower-carbon fuels through an integrated global system.

$89.05
vs last close−1.01 (−1.12%)
Loading prices…

TotalEnergies SETTE
Energy

Produces and markets oil, natural gas, LNG, electricity, renewables, biofuels and green gases through an integrated global system. Hydrocarbons remain central, while acquisitions have added power generation, energy retail, batteries and solar.

Produces oil and natural gas, supplies LNG, refines and markets fuels, and operates electricity and renewable-energy businesses. The portfolio also includes biofuels, green gases, batteries and customer-facing power activities.

Built its present scale through the Petrofina and Elf combinations, then expanded through Maersk Oil, Direct Energie and an acquired LNG portfolio. Execution rests on coordinating upstream production, refining, shipping, generation and retail across a global system.

Hydrocarbons remain central as power, renewables and lower-carbon molecules broaden the mix. Operations depend on project safety, environmental and anti-corruption compliance, sanctions, host-country politics and climate-marketing rules; the group retains some Russian LNG interests, while allegations tied to Mozambique LNG remain under investigation.

Company facts

CEOPatrick Pouyanné
ListedDec 8, 2025
ExchangeNYSE
HeadquartersCourbevoie, France
CountryFrance
Employees101,513
CIK0000879764
ISINFR0000120271

Market cap$200.56B
EPS (ttm)$7.95
P/E (ttm)11.33
ROE14.8%
P/B1.56
P/S1.02
Dividend yieldDiv yield4.38%
Beta−0.25vs XLE 0.75

Price target$93.00+3.3%Average of 34 analysts
ConsensusBuy20 of 34 analysts
Ratings

Target rangeAs of Sep 21, 2026

Latest analyst notes

DateFirmActionPriorCurrent
Sep 3, 2026Morgan StanleyTarget
Target:
Target: $90
Sep 3, 2026Piper SandlerReiterate
Rating: Target: $71
Rating: NeutralTarget: $93
Jul 20, 2026Mizuho SecuritiesTarget
Target:
Target: $103
Jun 22, 2026CICCInitiate
Rating:
Rating: Outperform
Mar 2, 2026JP MorganUpgrade
Rating: Neutral
Rating: Overweight

Next report
Oct 29, 26
in 37 days
EPS estimate
$3.14
Revenue estimate
$54.18B
Fiscal quarter
Q3 FY26

EPSReportedEstimate

Feb '25Apr '25Jul '25Oct '25Feb '26Apr '26Jul '26Oct '26
Reported$1.90$1.83$1.57$1.77$1.73$2.45$2.68Pending
Estimate$1.74$1.88$1.62$1.81$1.80$2.22$2.66$3.14
Surprise+9.2%−2.7%−3.1%−2.2%−3.9%+10.4%+0.8%

RevenueReportedEstimate

Feb '25Apr '25Jul '25Oct '25Feb '26Apr '26Jul '26Oct '26
Reported$47.12B$47.90B$45.24B$43.65B$45.93B$49.52B$57.10BPending
Estimate$42.71B$36.85B$43.66B$32.62B$33.98B$44.58B$56.76B$54.18B
Surprise+10.3%+30.0%+3.6%+33.8%+35.2%+11.1%+0.6%
Estimate$3.14
ReportedDue Oct 29, 2026
Estimate$54.18B
ReportedDue Oct 29, 2026
View details

Debt to equity48.80%
Current ratio106.10%

ProfitabilityRevenueNet incomeNet margin

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Revenue$47.43B$47.12B$47.90B$44.68B$43.84B$45.93B$49.52B$57.10B
Net income$2.29B$3.96B$3.85B$2.69B$3.67B$2.91B$5.81B$5.44B
Net margin4.8%8.4%8.0%6.0%8.4%6.3%11.7%9.5%

GrowthOperating income

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Operating income$4.77B$5.64B$6.40B$4.33B$5.72B$3.48B$10.16B$7.58B
YoY growthTurned profit−16.3%−13.8%−30.9%+19.8%−38.4%+58.6%+75.1%

Balance sheet, Jun 30, 2026Cash & short-term investments $31.68B · Total debt $62.64B · Total assets $313.42B · Shareholders' equity $128.27B

Revenue
$57.10B
Operating income
$7.58B
Net income
$5.44B
View details

Dividend yield
4.38%
Next ex-date
Sep 30, 26
in 8 days
Annual dividend
$3.94
per share
Schedule
Quarterly
4 payments a year

HistoryDividendAnnual yieldUpcoming

Mar '25Jun '25Oct '25Dec '25Mar '26Jun '26Jul '26Sep '26
Dividend$0.8532$0.9792$0.9942$0.9983$0.979$0.9704$0.9964$1.0336
Annual yield5.24%5.65%6.15%5.85%4.34%5.07%5.27%4.47%
Ex-dateMar 27Jun 20Oct 2Dec 31Mar 31Jun 30Jul 1Sep 30
Payment dateApr 16Jul 1Oct 3Jan 5Apr 2Jul 22Jul 2Oct 2
View details

Institutions0.03%617.2K ADS
13 holders · as of Jun 30, 2026
Insiders10.09%222.65M ADS
1 holder · as of Mar 9, 2026
Other89.88%1.98B ADS
remainder

2.21B ADS as of Sep 22, 2026 · institutions as of Jun 30, 2026 · holders as of their latest filing

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesDate
AmundiInsider
10.09%222.65Mfiled Mar 9, 2026
Mediolanum International Funds LtdInstitution
0.02%397,632 ADSas of Jun 30, 2026
Keating Investment Counselors IncInstitution
0.00%101,464 ADSas of Jun 30, 2026
Energy Income Partners, LLCInstitution
0.00%83,995 ADSas of Jun 30, 2026
Argyle Capital Management Inc.Institution
0.00%11,400 ADSas of Jun 30, 2026

Insider tradesForm 4

Nothing filed in the last 12 months.

View details

  • Shell (ADR)

    Closest broad peer across LNG, upstream, fuels, and power

  • ExxonMobil

    Global scale rival in upstream, LNG, refining, and chemicals

  • BP (ADR)

    Integrated rival in upstream, gas, refining, and customer fuels

  • Chevron

    Large upstream, LNG, refining, and renewable-fuels competitor

  • Equinor (ADR)

    European gas, offshore upstream, power, and offshore-wind rival

  • Eni (ADR)

    Integrated rival across upstream, LNG, retail power, and biofuels

Compare

CompanyPriceChange
TotalEnergies$89.05−1.12%$200.56B11.38.11.0+26.2%
Shell (ADR)$92.98−0.31%$260.05B10.38.90.9+44.7%
ExxonMobil$157.50−0.51%$656.48B20.412.81.8+46.0%
BP (ADR)$42.61−1.27%$113.19B21.67.80.5+46.5%
Chevron$202.03−0.81%$405.85B19.512.71.9+57.9%
Equinor (ADR)$41.57−2.17%$101.58B11.68.90.9+36.5%
Eni (ADR)$52.85−2.21%$78.29B13.78.10.8+15.4%
Median16.68.90.9+45.4%