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Woodside Energy Group (ADR)

Produces Australian LNG and oil while building US LNG and ammonia projects.

$23.06
After-hours close−0.01 (−0.02%)
At close$23.07(−0.97%)
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Profile

Woodside Energy Group LtdWDSEnergy

Produces and markets LNG, pipeline gas, oil, condensate and ammonia from an Australian core and a growing international portfolio. North West Shelf and Pluto LNG anchor the business, while Senegalese production and US LNG and ammonia projects broaden its geography; execution depends on safety, reliability, approvals and major-project delivery.

Produces LNG, pipeline gas, crude oil, condensate and ammonia through an Australian core and a broader international portfolio. North West Shelf and Pluto LNG anchor the business, while Sangomar adds Senegalese oil production and Louisiana LNG and Beaumont New Ammonia extend the US project base.

Growth has come through large infrastructure projects and acquisitions, especially the BHP Petroleum combination and the Tellurian and OCI transactions. Operations emphasize safety, reliability, efficiency and disciplined project execution, with marketing connecting production to customers.

Performance depends on safe and reliable operations, environmental approvals, construction delivery and demand for oil and LNG. Scarborough and Pluto Train 2 have faced environmental litigation, while shareholder votes have registered substantial opposition to Woodside's climate plans. The portfolio remains centered on hydrocarbons even as ammonia adds a newer business line.

Company facts

CEOLiz Westcott
ListedNov 18, 1996
ExchangeNYSE
HeadquartersPerth, Australia
CountryAustralia
Employees4,693
CIK0000844551
ISINUS9802283088

Key statistics

Market cap$43.72B
EPS (ttm)$1.62
P/E (ttm)14.21
ROE8.5%
P/B1.22
P/S3.17
Dividend yield2.56%
Beta−0.27vs XLE 1.02

Year to date +44.2% · Average volume (30d) 613.9K

Analysts

Price target, next 12 months$23.21+0.7%Median of 2 analysts · vs the Aug 28 close
ConsensusHold0 of 2 analysts rate it buy or better

Ratings

Target range

Latest analyst notes

DateFirmActionPrior ratingRatingTarget
Aug 25, 2026MacquarieDowngradeNeutral
Aug 11, 2026NeedhamInitiateNeutral$23.21
Feb 25, 2025CitigroupUpgradeSellNeutral

Earnings

EPS

Estimate$0.78
Reported$0.70−10.4%

Revenue

Estimate$3.61B
Reported$7.45B+106.1%

History

Report dateEPS estEPSSurpriseRevenue estRevenueSurpriseNext session
Aug 25, 2026Q2 FY26$0.78$0.70−10.4%$3.61B$7.45B+106.1%−4.03%
Aug 24, 2026Q2 FY26$0.78$0.88+13.3%$3.61B$7.45B+106.1%−2.10%
Feb 24, 2026Q4 FY25$0.70$0.74+5.9%$6.37B$6.39B+0.4%+2.04%
Aug 18, 2025Q2 FY25$0.69$0.69−0.6%$6.58B$6.58B−0.1%−4.60%
View details

Financial highlights

12 quartersQ4 FY23Q2 FY24Q4 FY24Q2 FY25Q4 FY25Q2 FY26
Revenue$6.59B$5.99B$7.19B$6.58B$6.39B$7.47B
Gross profit$2.95B$2.72B$2.96B$2.20B$1.99B$2.49B
Operating income$1.29B$2.40B$2.51B$1.94B$1.67B$2.25B
Net income−$80.0M$1.94B$1.64B$1.32B$1.40B$1.68B
Diluted EPS−$0.02$1.01$0.86$0.69$0.73$0.88
Gross margin44.7%45.4%41.2%33.5%31.1%33.3%
Operating margin19.6%40.1%34.8%29.5%26.1%30.1%

Revenue by geography · FY25

Asia Pacific$7.34B · 56%
Europe$3.12B · 24%
Americas$2.24B · 17%
Other Countries$286.0M · 2%

Balance sheet, Jun 30, 2026Cash & short-term investments $4.34B · Total debt $13.67B · Total assets $67.68B · Shareholders' equity $36.05B

Dividends

Next ex-date
Sep 6, 2026
estimated · in 8 days
Annual dividend
$0.59
per share
Dividend yield
2.56%
Schedule
Semi-annual
2 payments a year

Last raised to $0.59 from $0.53 in Mar 2026. To collect a payout, hold shares through the close before the ex-date.

History

Ex-dateRecordPaidAmountNote
Mar 6, 2026Mar 6Mar 27$0.59raised from $0.53
Aug 29, 2025Aug 29Sep 24$0.53
Mar 7, 2025Mar 7Apr 2$0.53cut from $0.69
Sep 6, 2024Sep 6Oct 3$0.69raised from $0.58
Mar 7, 2024Mar 8Apr 4$0.58cut from $0.78
Aug 31, 2023Sep 1Sep 28$0.78cut from $1.42
Mar 8, 2023Mar 9Apr 5$1.42raised from $1.05
Sep 8, 2022Sep 9Oct 6$1.05
View details

Ownership

Institutions 1.67%Insiders

Shares outstanding 1.90B · Float 1.90B · 100.0% free float

Insiders — filings are in the shares behind the receipt.

This listing is a depositary receipt and the Form 4 positions here are filed in the shares behind it, a different unit from the share count and in a ratio the filings never state, so no insider percentage is shown.

Top shareholders13F · 13D/G · Form 4

HolderShares% outstandingFormFiled
Morgan Stanley5.27M0.28%13FAug 13, 2026
Goldman Sachs Group Inc3.74M0.20%13FAug 14, 2026
BlackRock, Inc.2.86M0.15%13FAug 7, 2026
Northern Trust Corp1.71M0.09%13FAug 13, 2026
Clearbridge Investments, LLC1.55M0.08%13FAug 13, 2026

Insider tradesForm 4

DateInsiderRoleSharesAvg price
Mar 26, 2026Mark Anthony Abbotsfordofficer: See Remarks−7,500$23.94
Mar 24, 2026Mark Anthony Abbotsfordofficer: See Remarks−7,500$23.38
Mar 23, 2026Mark Anthony Abbotsfordofficer: See Remarks−7,500$24.06
View details

Peers

  • Shell (ADR)

    Broad overlap across global LNG, Australian gas, and upstream energy

  • Chevron

    Direct Western Australian LNG and global upstream rival

  • ExxonMobil

    Competes in Asia-Pacific LNG, Gulf Coast LNG, and upstream development

  • TotalEnergies

    Integrated LNG and offshore oil-and-gas peer with Australian exposure

  • ConocoPhillips

    Australian and U.S. LNG competitor backed by large upstream scale

CompareAfter-hours close

CompanyPriceChange
Woodside Energy Group (ADR)$23.06−0.02%$43.72B14.23.2+13.2%
Shell (ADR)$91.47+0.63%$253.47B10.09.20.8+44.7%
Chevron$204.35+1.24%$402.06B19.413.21.9+57.9%
ExxonMobil$156.80+0.08%$649.44B20.213.21.8+46.0%
TotalEnergies$86.31−0.05%$192.30B10.98.41.0+26.2%
ConocoPhillips$129.95−0.32%$158.80B17.313.42.5+39.7%
Median17.313.21.8+44.7%