Prices from Twelve Data (may be delayed) — Hong Kong Stock Exchange tickers (e.g. “0700.HK”) instead use EODHD, the only free source found that covers HKEX. Fundamentals from SEC EDGAR (US filers only). Not investment advice — see the data sources appendix on each company page for full detail.
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Shell plc SHEL

NYSE

$89.84

-1.24 (-1.36%)

A quick, factual read on the price trend and the underlying business — not a recommendation, and not a substitute for reading the numbers below yourself.

At a glance

Above 200DMAFirm momentumNear 52-week highModerate ROEUnavailableLower than marketUnavailable

74

Technical strength

Trend, momentum, position vs averages

  • Price is 10.6% above its 200-day moving average.
  • 14-day RSI is 66.
  • Sits at 81% of its 52-week range (0% = low, 100% = high).

25

Fundamental quality

Margins, returns, leverage, growth

  • Net margin is 6.2%.
  • Return on equity is 10.2%.
  • Revenue grew -17.0% year over year.

$90.13

Open

$91.08

Previous close

$94.90

52-week high

$68.63

52-week low

8,972,303

Volume

7,919,477

Avg. volume

$84.01

50-day avg.

+22%

Volatility (ann.)

Context

  • Trading 5.3% below its 52-week high, and closer to the top of its 52-week range.
  • Trading 6.9% above its 50-day average price, consistent with recent upward momentum.
  • Annualized price volatility over this period is about 22%, which is moderately volatile next to a typical broad-market stock (commonly ~15-25%).

About

Shell plc is a British multinational oil and gas company, headquartered in London, England. Shell is a public limited company with a primary listing on the London Stock Exchange (LSE) and secondary listings on Euronext Amsterdam and the New York Stock Exchange. A core component of Big Oil, Shell is the largest investor owned oil company in Europe, third largest globally behind ExxonMobil and Chevron, and among the world's largest companies out of any industry. Measured by both its own emissions, and the emissions of all the fossil fuels it sells, Shell was the ninth-largest corporate producer of greenhouse gas emissions in the period 1988–2015.

Fundamentals & valuation (FY2025, from SEC filings)

Core financials

$316.6bn

Revenue (latest FY)

-16.97%

Revenue growth (YoY)

$19.6bn

Net income (latest FY)

$40.2bn

Cash & equivalents

+6.20%

Net margin

$32.9bn

Working capital

$192.6bn

Shareholders' equity

$54.2bn

Operating cash flow

Valuation multiples

$89.84

Price

Growth & returns

-16.97%

Revenue growth (YoY)

+10.20%

ROE

+5.07%

ROA

Credit metrics & WACC inputs

0.02

Beta (vs. S&P 500)

$40.2bn

Cash & equivalents

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