CIC
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Chilton Investment Company’s Exxon Mobil XOM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$2.91M Buy
27,010
+22,349
+479% +$2.41M 0.06% 80
2025
Q1
$554K Buy
+4,661
New +$554K 0.01% 140
2024
Q4
Sell
-1,736
Closed -$203K 212
2024
Q3
$203K Buy
+1,736
New +$203K 0.01% 188
2021
Q4
Sell
-5,259
Closed -$309K 170
2021
Q3
$309K Buy
+5,259
New +$309K 0.01% 144
2021
Q2
Sell
-5,316
Closed -$297K 153
2021
Q1
$297K Sell
5,316
-663
-11% -$37K 0.01% 137
2020
Q4
$246K Buy
5,979
+144
+2% +$5.93K 0.01% 135
2020
Q3
$200K Sell
5,835
-3,724
-39% -$128K 0.01% 142
2020
Q2
$427K Buy
9,559
+743
+8% +$33.2K 0.01% 116
2020
Q1
$335K Sell
8,816
-97
-1% -$3.69K 0.01% 97
2019
Q4
$622K Buy
8,913
+70
+0.8% +$4.89K 0.02% 94
2019
Q3
$624K Sell
8,843
-5,592
-39% -$395K 0.02% 89
2019
Q2
$1.11M Sell
14,435
-3,372
-19% -$258K 0.04% 79
2019
Q1
$1.44M Hold
17,807
0.05% 77
2018
Q4
$1.21M Sell
17,807
-4,024
-18% -$274K 0.04% 84
2018
Q3
$1.86M Buy
21,831
+2,726
+14% +$232K 0.06% 85
2018
Q2
$1.58M Sell
19,105
-33,637
-64% -$2.78M 0.06% 95
2018
Q1
$3.94M Sell
52,742
-4,727
-8% -$353K 0.15% 61
2017
Q4
$4.81M Sell
57,469
-835
-1% -$69.8K 0.19% 54
2017
Q3
$4.78M Sell
58,304
-687
-1% -$56.3K 0.18% 61
2017
Q2
$4.76M Sell
58,991
-1,170
-2% -$94.4K 0.18% 64
2017
Q1
$4.93M Buy
60,161
+5,033
+9% +$413K 0.19% 60
2016
Q4
$4.98M Sell
55,128
-16,044
-23% -$1.45M 0.2% 51
2016
Q3
$6.21M Buy
71,172
+15,014
+27% +$1.31M 0.24% 41
2016
Q2
$5.26M Buy
56,158
+2,365
+4% +$222K 0.19% 48
2016
Q1
$4.5M Sell
53,793
-54,830
-50% -$4.58M 0.17% 50
2015
Q4
$8.47M Buy
108,623
+15,252
+16% +$1.19M 0.3% 41
2015
Q3
$6.94M Hold
93,371
0.25% 51
2015
Q2
$7.77M Buy
93,371
+36,810
+65% +$3.06M 0.28% 56
2015
Q1
$4.81M Buy
56,561
+10,214
+22% +$868K 0.17% 73
2014
Q4
$4.29M Sell
46,347
-10,726
-19% -$992K 0.15% 82
2014
Q3
$5.37M Buy
57,073
+36,077
+172% +$3.39M 0.18% 81
2014
Q2
$2.11M Sell
20,996
-31,175
-60% -$3.14M 0.09% 81
2014
Q1
$5.1M Hold
52,171
0.16% 87
2013
Q4
$5.28M Sell
52,171
-22,555
-30% -$2.28M 0.15% 91
2013
Q3
$6.43M Buy
74,726
+337
+0.5% +$29K 0.18% 90
2013
Q2
$6.72M Buy
+74,389
New +$6.72M 0.18% 82