Exxon Mobil Corporation Reports Issuance of Floating Rate Notes
Summary
On March 26, 2026, Exxon Mobil Corporation entered into an underwriting agreement with RBC Capital Markets, LLC, J.P. Morgan Securities LLC, and UBS Securities LLC for the issuance and sale of $169,312,000 aggregate principal amount of its Floating Rate Notes due 2076. These Notes were issued pursuant to an indenture dated March 20, 2014, as supplemented, and an officer's certificate dated March 30, 2026 (via Ex. 4.3). The offering was made under the Company's Registration Statement on Form S-3, filed February 18, 2026.
Why It Matters
This debt issuance of $169,312,000 in Floating Rate Notes due 2076, as detailed in the exhibits, represents a capital-raising activity that will impact the company's financial structure and future obligations.
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Key Quote
“On March 26, 2026, Exxon Mobil Corporation (the "Company") entered into an underwriting agreement (the "Underwriting Agreement") with RBC Capital Markets, LLC, J.”
— From Item 8.01
Filing Details
Reported Items
Additional Information
- CIK Number
- 0000034088
- Filing Date
- Tuesday, March 31, 2026
- Filing Time
- 12:00 AM UTC
- Form Type
- 8-K
- Materiality Level
- medium
- Sentiment
- neutral