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SLBNYSE64

SLB LIMITED/NV

Oil Related Services and EquipmentVerified
Score breakdown
Profitability+32Sentiment+15Risk penalty-6Missing signals-3
Quality breakdown
Key fields100Profile75Conclusion83AI synthesis40Observations50

SLB LIMITED/NV (SLB) is currently classified as Energy - Fossil Fuels within Oil Related Services and Equipment (Energy). Classification confidence: 0.92 (verified market data). Capital structure on the latest snapshot: total assets 54,526,000,000 USD, total equity 26,177,000,000, short-term debt 0, long-term debt 9,670,000,000. Net cash position is approximately -9,102,000,000 USD. Profitability profile: revenue 8,721,000,000, gross profit 0, operating income 0, net income 752,000,000. Return on equity ~2.9%. Return on assets ~1.4%. Operating-cash-flow to net-income ratio is 0.65. Risk profile from automated assessment: liquidity risk medium, dilution risk medium. Flags: Net cash is negative after subtracting total debt.; Source documents mention dilution or offering risk..

Profile
CompanySLB LIMITED/NV
ExchangeNYSE
TickerSLB
CIK0000087347
SICOil & Gas Field Services, NEC
SectorEnergy
BusinessEnergy - Fossil Fuels
Industry groupEnergy - Fossil Fuels
IndustryOil Related Services and Equipment
AI analysis

Business. SLB LIMITED/NV is classified under Energy / Oil Related Services and Equipment and appears profitable on the latest normalized snapshot.

Classification. Classification confidence is 0.92 based on verified market data; matched terms: Oil Related Services and Equipment, Energy - Fossil Fuels, Energy.

SLB LIMITED/NV (SLB) is currently classified as Energy - Fossil Fuels within Oil Related Services and Equipment (Energy). Classification confidence: 0.92 (verified market data). Capital structure on the latest snapshot: total assets 54,526,000,000 USD, total equity 26,177,000,000, short-term debt 0, long-term debt 9,670,000,000. Net cash position is approximately -9,102,000,000 USD. Profitability profile: revenue 8,721,000,000, gross profit 0, operating income 0, net income 752,000,000. Return on equity ~2.9%. Return on assets ~1.4%. Operating-cash-flow to net-income ratio is 0.65. Risk profile from automated assessment: liquidity risk medium, dilution risk medium. Flags: Net cash is negative after subtracting total debt.; Source documents mention dilution or offering risk..
Key takeaways
  • Return on equity is about 2.9%.
  • Debt to equity is about 0.37x.
  • SLB entered 2026 anticipating that global liquid supply and demand would gradually rebalance throughout the year and into 2027.
Financial snapshot
PeriodQ1 2026
CurrencyUSD
Revenue$8.72B
Gross profit
Operating income
Net income$752.0M
R&D$164.0M
SG&A$97.0M
D&A$685.0M
SBC$101.0M
Operating cash flow$487.0M
CapEx$343.0M
Free cash flow$144.0M
Total assets$54.53B
Total liabilities$27.17B
Total equity$26.18B
Cash & equivalents
Long-term debt$9.67B
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY2025$35.71B$3.37B$4.79B
FY2024$36.29B$4.46B$4.67B
FY2025$36.29B$4.46B$4.67B
FY2023$33.13B$6.52B$4.20B$4.70B
FY2024$33.13B$4.20B$4.70B
PeriodGross %Op %Net %FCF %
FY2025
FY2024
FY2025
FY2023
FY2024
PeriodAssetsEquityCashDebt
FY2025$54.87B$26.11B
FY2024$48.94B$21.13B
FY2025$48.94B$21.13B
FY2023$47.96B$20.19B
FY2024$47.96B$20.19B
PeriodOCFCapExFCFSBC
FY2025$6.49B$1.69B$4.79B$332.0M
FY2024$6.60B$1.93B$4.67B$316.0M
FY2025$6.60B$1.93B$4.67B$316.0M
FY2023$6.64B$1.94B$4.70B$293.0M
FY2024$6.64B$1.94B$4.70B$293.0M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
Q1 2026$8.72B$752.0M$144.0M
Q1 2026
Q3 2025$25.96B$2.55B$2.31B
Q2 2025$17.04B$1.81B$1.03B
PeriodGross %Op %Net %FCF %
Q1 2026
Q1 2026
Q3 2025
Q2 2025
PeriodAssetsEquityCashDebt
Q1 2026$54.53B$26.18B
Q1 2026$54.87B$26.11B
Q3 2025$55.09B$25.64B
Q2 2025$48.77B$20.30B
PeriodOCFCapExFCFSBC
Q1 2026$487.0M$343.0M$144.0M$101.0M
Q1 2026
Q3 2025$3.48B$1.18B$2.31B$257.0M
Q2 2025$1.80B$769.0M$1.03B$168.0M
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$5.60B
Net cash-$9.10B
Current ratio1.3
Debt/Equity0.4
ROA1.4%
ROE2.9%
Cash conversion65.0%
CapEx/Revenue3.9%
SBC/Revenue1.2%
Asset intensity0.1
Dilution ratio1.3%
Risk assessment
Dilution riskMedium
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
  • Source documents mention dilution or offering risk.
Industry benchmarks
Activity: Energy - Fossil Fuels · cohort 87 companies
MetricSLBActivity
Op margin23.2% medp25 15.8% · p75 28.2%
Net margin8.6%5.8% medp25 -2.3% · p75 11.7%above median
Gross margin25.7% medp25 17.0% · p75 43.1%
R&D / revenue1.9%1.3% medp25 1.0% · p75 1.6%top quartile
CapEx / revenue3.9%-7.8% medp25 -17.3% · p75 -1.5%top quartile
Debt / equity37.0%58.5% medp25 38.7% · p75 89.0%bottom quartile
Observations
IR observations
Mean price target60.23 USD
Median price target61.00 USD
High price target71.00 USD
Low price target43.00 USD
Mean recommendation2.00 (1=strong buy, 5=strong sell)
Strong-buy count7.00
Buy count17.00
Hold count3.00
Sell count2.00
Strong-sell count0.00
Mean EPS estimate2.59 USD
Last actual EPS2.93 USD
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
SEC filingstype companyfacts · CIK 0000087347 · 548 us-gaap concepts
2026-05-01 04:09 UTC#c64551bb
Source: analysis-pipeline (hybrid)Generated: 2026-05-01 04:09 UTCJob: f5ace725