TotalEnergies SE (TTFNF)
NEUTRALFundamental
65
Kurs
$75.70
Marktkapitalisierung
$168.86B
Teil 1 · Was das Unternehmen wert ist
Übersicht
TotalEnergies is a French multi-energy company that finds and produces oil and natural gas, liquefies and ships gas as LNG, refines crude into fuels and petrochemicals, and increasingly builds and operates power plants and renewable energy assets. It sells across the full chain from wellhead to gas station and household electricity meter, in more than 100 countries, and has been shifting new investment toward gas and low-carbon power alongside its traditional oil business.
Wie das Geld verdient wird
Revenue is organized in five businesses: Exploration & Production sells crude oil and gas at prices set by global commodity markets, Integrated LNG liquefies and sells gas under long-term contracts and spot cargoes (43.9 million tonnes sold in 2025), Integrated Power sells electricity from a growing renewables and gas-fired fleet (34.1 GW of renewable capacity), Refining & Chemicals turns crude into fuels and plastics, and Marketing & Services sells fuel and convenience products through service stations. Because oil and gas prices are set externally rather than by TotalEnergies, profit depends heavily on the cost of finding and producing each barrel relative to whatever the market happens to be paying.
Was die Nachfrage antreibt
ZyklischResults move with global oil and gas prices, which swing with worldwide economic activity, OPEC+ production decisions and geopolitical events far outside the company's control. TotalEnergies itself lists price fluctuations in crude oil and natural gas, and the evolution of demand and prices for petroleum products, among the market risk factors that drive its results.
Wichtigste Risiken
- Oil and gas price volatility — The company names price fluctuations in crude oil and natural gas, and the evolution of demand and price for petroleum products, as market risk factors directly affecting its results.
- Geopolitical tensions and external threats — The 20-F risk factor section names geopolitics and external threats as a distinct risk category, noting that heightened geopolitical tensions are pushing different regions of the world down increasingly divergent paths that affect operations and markets.
- Energy transition uncertainty — Energy transition is named as its own risk category; the company states that achieving ambitious climate scenarios currently seems out of reach given the state of geopolitical tensions, which affects the pace and profitability of its low-carbon investments.
- Operational risk — The 20-F lists operational risks as a distinct category alongside market and geopolitical risk, covering the hazards inherent in exploring for, producing, transporting and refining hydrocarbons across a large global asset base.
Written by the editors, published on 18. August 2026
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Who this company fights with for the same customers
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Bilanz & Liquidität
Umsatz
$196.38B
Letzte 12 Monate (bis 30.6.2026)
Nettogewinn
$17.84B
Letzte 12 Monate (bis 30.6.2026)
Freier Cashflow
$13.53B
Gesamtes Eigenkapital
$110.89B
Gesamtverbindlichkeiten
$62.92B
Current Ratio
1.06
Zinsdeckungsgrad
-
Schulden/EBITDA
1.59
Gewinn je Aktie
Umsatz & Nettogewinn
Freier Cashflow
Ertragsaufschlüsselung
Historische Aufstellung
Margen im Zeitverlauf
Verschuldung im Zeitverlauf
Wie schwer die Schulden wiegen
Wachstumsraster
Wachstum — Umsatz
Innerer-Wert-Schätzung
Innerer Wert
$98.75
Aktueller Kurs
$75.70
Sicherheitsmarge
+23.3%
Innerer-Wert-Spanne
$64.19 - $133.31
Bewertungsmethoden
Bewertungskennzahlen
P/E-Verhältnis
11.13
ROE
14.5%
P/B-Verhältnis
1.52
P/FCF
12.48
Bruttomarge
37.7%
ROIC
11.4%
Rentabilitäts-Radar
Value Creation (Economic Moat)
ROIC
11.4%
WACC
5.8%
ROIC − WACC
+5.6 pp
ROIC exceeds the cost of capital — the company is creating value for shareholders.
Fundamentalanalyse-Kriterien
Bestanden (13)
- Price CAGR 5.20%
- ROIC 11.4%
- Gross Margin 37.7%
- P/FCF 12.48
- P/B Ratio 1.52
- Debt/Equity ratio
- Positive Free Cash Flow
- Current Ratio
- Debt/EBITDA
- ROE 14.8%
- Revenue Growth 5Y 8.8%
- Analyst Consensus 59% Buy
- Earnings Quality (OCF/NI) 2.52
Nicht bestanden (5)
- CapEx intensity
- DCF valuation (Fairly valued)
- Earnings Surprise avg 0.4%
- Net Margin Trend 7.2% vs 8.1%
- Piotroski F-Score 2/9
Nicht verfügbar (9)
- EPS data insufficient
- Dividend Payout NaN%
- Operating Margin NaN%
- Interest Coverage
- Return on Tangible Assets
- Low reliance on intangibles
- Price below Graham Number
- PEG Ratio (need PE > 0 and growth > 0)
- Share Dilution (missing shares data)
Piotroski F-Score
Ernsthafte finanzielle Bedenken
Gewinnqualität
Hohe Qualität: Gewinne durch Cashflow gedeckt
Aktienverwässerung
Aktienrückkäufe. Aktionärsfreundlich
Unternehmensführung
Führungsteam
| Name | Position | Alter |
|---|---|---|
| Mr. Patrick Pouyanne | Chairman & CEO | 62 |
| Mr. Jean-Pierre Sbraire | Chief Financial Officer | 60 |
| Ms. Marie-Noëlle Semeria | Senior VP & Group CTO | - |
| Mr. Michel Hourcard | SVP of Development & Ops Techniques - Exploration/Production & SVP of Scientific & Technical Center | - |
| Mr. Renaud Lions | Senior Vice President of Investor Relations | - |
| Mr. Bernard Pinatel | President of Downstream and President of Marketing & Services | 63 |
| Ms. Catherine Remy | President of People & Social Engagement | 47 |
| Mr. Martin Deffontaines | Senior Vice President of Talent Management | 60 |
| Mr. Stephane Michel | President of Gas, Renewables & Power | 52 |
| Mr. Laurent Vivier | Senior Vice President of Middle East & North Africa - Exploration and Production | 55 |
Prüfungsrisiko
10
Vorstandsrisiko
5
Vergütungsrisiko
1
Aktionärsrechterisiko
5
Teil 2 · Der Preis und der Einstiegszeitpunkt
Dieser Teil sagt nicht, ob das Unternehmen etwas taugt: Er hilft bei der Wahl des Kaufzeitpunkts, nachdem die Fundamentaldaten überzeugt haben. Enthalten: technische Analyse, Potenzial, historische Drawdowns, Gamma-Exposure.
Latest News
Recent headlines for TTFNF, sourced from Markets Gazette.