BEACON ScannerEnergy

COP ConocoPhillips

Oil & Gas Exploration & Production · Market cap $150.9B · Score date Apr 9, 2026

57.5
Neutral
Raw BEACON composite

How to read this page

The big number above is COP's BEACON composite — a 0-100 sector-relative score blending three factors: Value (40%), Quality (35%), and Momentum (25%). A score of 70+ means COP ranks well against its Energy peers on most factors. The current macro regime is then overlaid to produce the regime-adjusted score lower on this page.

Every metric on this page is computed against Energy peers, not the whole market. A "cheap" P/E in tech isn't the same as a "cheap" P/E in utilities. Read the full methodology →

Value 40%

How cheap is COP compared to other Energy stocks? Lower forward P/E, EV/EBITDA, and P/FCF earn higher Value scores.

48.2
Forward P/E
16.64
EV / EBITDA
5.79
P / FCF
6.99
PEG
n/m

Quality 35%

How healthy is the underlying business? Higher gross margin, ROE, and FCF yield (and lower debt) earn higher Quality scores.

65.7
Gross Margin
+24.6%
ROE
+12.4%
Debt / Equity
0.36
FCF Yield
+14.31%

Momentum 25%

Is the market starting to recognize the value? Above the 200-day moving average and a positive 3-month return earn higher Momentum scores.

61.0
Price
$123.47
200-day SMA
$98.57
vs 200-day
+25.3%
3-month change
+26.6%

COP vs Energy Median

Each row compares COP to the median stock in the Energy sector. ▲ Better means COP is better positioned than the sector median for that metric (cheaper for valuation metrics, healthier for quality metrics). ▼ Worse means the opposite. Tiny differences (within 2%) are shown as In line.

Metric COP Energy Median vs Median
Forward P/E 16.64 13.92 ▼ Worse
EV / EBITDA 5.79 6.51 ▲ Better
P / FCF 6.99 11.04 ▲ Better
PEG Ratio n/m 0.00 — No data
Gross Margin +24.6% +24.7% · In line
ROE +12.4% +9.8% ▲ Better
Debt / Equity 0.36 0.55 ▲ Better
FCF Yield +14.3% +6.9% ▲ Better

Regime Fit

The current macro regime favors some sectors and pressures others. BEACON multiplies COP's raw score by a sector-specific multiplier to produce its regime-adjusted score. The regime contribution below is how many score points the overlay added (or subtracted) for this stock.

Current regimeEXPANSION
Confidence70.0%
Fit► Neutral
Base multiplier1.00x
Effective multiplier1.00x
Regime contribution0.0 pts
Raw BEACON57.5
Regime-adjusted57.5
Global rank#156
Sector rank#7 / 91

Financial Health

These five indicators drive BEACON's hard red-flag gates. If any of them lands in the red zone, the composite score is capped at 40 regardless of how the Value/Quality/Momentum sub-scores look. Refreshed weekly from COP's most recent annual filings.

Altman Z-Score
2.84
Grey Zone
≥ 3.0 safe · 1.81-2.99 grey · < 1.8 distress
Current Ratio
1.30
Adequate
≥ 1.5 healthy · 1.0-1.49 adequate · < 0.5 critical
Revenue YoY Growth
+7.5%
Growing
≥ +5% growing · 0 to -15% declining · < -15% sharp
Consecutive Negative FCF Years
0
None
3+ years triggers a red flag
Consecutive Revenue Decline Years
0
None
2+ years (combined w/ -15% YoY) triggers a red flag

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