MUR
Next earnings: Aug 5, 2026 · After close
Signal
Bearish Setup2
Price
1
Move-3.37%Selling pressure
Volume
1
Volume1.1× avgNormal activity
Technical
1
RSIRSI 49Momentum negative
PRICE
Prev Close
38.27
Open
38.22
Day Range36.84 – 38.22
36.84
38.22
52W Range20.20 – 43.34
20.20
43.34
73% of range
VOLUME & SIZE
Avg Volume
1.7M
FUNDAMENTALS
P/E Ratio
57.9x
Premium valuation
EPS (TTM)
Div Yield
0.02%
Beta
1.06
Market-like
Performance
1D
-3.37%
5D
-10.63%
1M
-5.42%
3M
+15.17%
6M
+30.07%
YTD
+18.34%
1Y
+72.97%
Best: 1Y (+72.97%)Worst: 5D (-10.63%)
Quick Read
TrendInsufficient MA data
Momentum
BULLISH
69% gross margin
Valuation
EXPENSIVE
P/E 58x vs ~20x sector
Health
MODERATE
CR 0.8 (low) · FCF $1.24/sh
Lean Bullish
Key MetricsTTM
Market Cap$5.30B
Revenue TTM$2.78B
Net Income TTM$84.15M
Free Cash Flow$177.93M
Gross Margin69.1%
Net Margin3.0%
Operating Margin10.6%
Return on Equity1.6%
Return on Assets0.8%
Debt / Equity0.45
Current Ratio0.83
EPS TTM$0.59

Intelligence analysis not yet available for this stock. Full AI-powered analysis may be available on the intelligence page.

Health Radar
1 strong5 concern
23/100
Liquidity
0.83Concern
Leverage
0.45Strong
Coverage
-0.0xConcern
ROE
1.6%Concern
ROIC
1.6%Concern
Cash
$377MConcern
ANALYST COVERAGE14 analysts
HOLD
-4.0%downside to target
L $29.00
Med $35.50consensus
H $44.00
Buy
214%
Hold
1179%
Sell
17%
2 Buy (14%)11 Hold (79%)1 Sell (7%)
Full report →
Stock Health
Composite Score
1 of 5 signals bullish
4/10
Technicals
RSI RangeRSI 49 — Bearish momentum
Volume
Volume FlowNeutral
~
Fundamentals
Last EarningsBeat estimates
Analyst ConsensusHold
~
LiquidityCurrent Ratio 0.83 — liquidity risk
Upcoming Events
EEarnings ReportMay 10, 2026
Tomorrow
DEx-Dividend DateAug 7, 2026
In 90 days
PDividend PaymentAug 14, 2026
In 97 days
Technicals
Technical SetupBULLISH
Technicals →

Trend

PullbackGolden Cross · 50D leads 200D by 21.9%

-3.0% vs SMA 50 · +18.3% vs SMA 200

Momentum

RSI48.7
Neutral territory
MACD+0.29
Above zero — bullish momentum · compressing
Market Position
Price Levels
52W High
$43.34+17.2%
EMA 50
$38.02+2.8%
Current
$36.98
EMA 200
$31.88-13.8%
52W Low
$20.20-45.4%
52-Week RangeMid-range
$20.2073th %ile$43.34
Squeeze SetupVolume-based
No Clear Setup

Volume distribution is neutral or leaning toward distribution. No compelling squeeze setup based on current money flow data.

20-Day Money Flow
Acc days:3
Dist days:0
Edge:+3 acc
Volume Context
Avg Vol (50D)2.5M
Recent Vol (5D)
1.9M-25%

Based on volume distribution analysis. Direct short interest data (short float %, days to cover) is not available in current data sources.

Earnings & Analysts

ANALYST ESTIMATES

Consensus of 11 analysts
Analyst revisions:EPS↓ Revised DownRevenue↓ Revised Down

Analyst consensus estimates · Actuals replace estimates as reported

YearRevenue Est.Rev GthEPS Est.EPS GthRangeAnalysts
FY2025
$2.7B
$2.7B$2.7B
$1.17
±16%
High11
FY2026(current)
$3.2B
$2.6B$3.5B
+16.3%$3.79+222.9%
±35%
High9
FY2027
$3.1B
$2.8B$3.5B
-3.0%$3.63-4.1%
±41%
High9
Range confidence:Tight (high)ModerateWide (low)
🔥Beat 5 consecutive quarters
Earnings HistoryMUR
Last 8Q
+56.5%avg beat
Beat 7 of 8 quartersMissed 1 Estimates falling
+9%
Q3'24
+9%
Q4'24
-38%
Q1'25
+17%
Q2'25
+29%
Q3'25
+140%
Q4'25
+275%
Q1'26
+10%
Q2'26
Beat
Miss
Estimate
Deeper color = bigger beat/miss
* Negative EPS shown at reduced height
Analyst Activity
All ratings →
Neutral — mixed activity
90d20
Johnson RiceHold → Accumulate
Mar 25
UPGRADE
Piper SandlerNeutral → Overweight
Mar 12
UPGRADE
Johnson RiceHold
May 21
DOWNGRADE
Roth CapitalNeutral
May 15
DOWNGRADE
BarclaysEqual-Weight → Underweight
Apr 23
DOWNGRADE
JefferiesBuy
Apr 17
UPGRADE
Wells FargoEqual-Weight
Dec 5
UPGRADE
Insider Activity
SEC Filings →
0 Buys/2 SellsNet Selling
Hanchera Daniel RSenior Vice Pr…
$1.6M
Mar 11
SELL
Martinez Maria ASenior Vice Pr…
$301K
Mar 3
SELL
Financials
Dividends3.58% yield
+9.2% avg annual growth
Annual Yield3.58%
Quarterly Div.$0.3500
Est. Annual / Share$1.40
FrequencyQuarterly
Q3'24
Q4'24
Q1'25
Q2'25
Q3'25
Q4'25
Q1'26
Q2'26

Dividend per payment — last 8 periods

INSTITUTIONAL OWNERSHIP

1
DIMENSIONAL FUND ADVISORS LP
8.2M
2
VAUGHAN NELSON INVESTMENT MANAGEMENT, L.P.
1.6M
3
Bank of New York Mellon Corp
1.6M
4
UBS Group AG
1.4M
5
Fisher Asset Management, LLC
1.1M
6
NEW YORK STATE COMMON RETIREMENT FUND
784K
7
BESSEMER GROUP INC
700K
8
Retirement Systems of Alabama
467K
News & Activity

MUR News

20 articles · 4h ago

About

murphy oil corporation is an independent exploration and production company with a strong oil-weighted portfolio of global offshore and onshore assets with upside to our exploration program. our global offshore operations are balanced by a predictable north america onshore business. exploration activities are focused in four main regions: deepwater gulf of mexico, the atlantic margin, southeast asia and australia.

Industry
Crude Petroleum Extraction 
CEO
Roger Jenkins
Francisco R. GarciaSenior Vice President of Development & Engineering
Paul D. VaughanVice President & Controller
Thomas J. MirelesExecutive Vice President & Chief Financial Officer
PeersEnergy(7 companies)
Screen sector →
SymbolPriceDay %Mkt CapP/ERev GrwMarginELO
MUR
$36.98-3.37%$6.0B0.1-9099.3%3832.5%1500
$144.40-1.49%$643.8B23.9-452.2%890.5%1499
$181.46-0.58%$384.4B32.6-464.4%666.9%1494
$113.82-0.88%$150.3B19.0+751.1%1360.5%1503
$71.95-1.36%$93.1B31.0+1377.7%2190.8%1499
$53.26+0.51%$83.7B24.2-159.8%938.1%1511
$244.97+1.08%$76.7B15.6-444.0%305.0%1503
Sector avg-0.87%20.9-1213.0%1454.9%1501