v2.3.0.15
Condensed Consolidated Statement Of Changes In Equity (USD $)
In Millions
Common Stock [Member]
USD ($)
Earnings Reinvested [Member]
USD ($)
Accumulated Other Comprehensive Income [Member]
USD ($)
Common Stock Held In Treasury [Member]
USD ($)
Exxon Mobil Share Of Equity [Member]
USD ($)
Noncontrolling Interests [Member]
USD ($)
Outstanding [Member]
Total
USD ($)
Balance at Dec. 31, 2009$ 5,503$ 276,937$ (5,461)$ (166,410)$ 110,569$ 4,823 $ 115,392
Balance (in shares) at Dec. 31, 20098,019  (3,292)  4,727 
Amortization of stock-based awards572   572  572
Tax benefits related to stock-based awards240   240  240
Other(494)   (494)12 (482)
Net income for the period 21,210  21,210672 21,882
Dividends - common shares (6,286)  (6,286)(244) (6,530)
Foreign exchange translation adjustment  74 74267 341
Postretirement benefits reserves adjustment  (6) (6)3 (3)
Amortization of postretirement benefits reserves adjustment included in periodic benefit costs  901 90139 940
Change in fair value of cash flow hedges  195 195  195
Realized (gain)/ loss from settled cash flow hedges included in net income  (42) (42)  (42)
Acquisitions at cost   (7,335)(7,335)(3) (7,338)
Acquisitions (in shares)   (115)  (115) 
Issued for XTO merger3,520  21,13924,659  24,659
Issued for XTO merger (in shares)   416  416 
Dispositions   774774  774
Dispositions (in shares)   15  15 
Balance at Sep. 30, 20109,341291,861(4,339)(151,832)145,0315,569 150,600
Balance (in shares) at Sep. 30, 20108,019  (2,976)  5,043 
Balance at Dec. 31, 20109,371298,899(4,823)(156,608)146,8395,840 152,679
Balance (in shares) at Dec. 31, 20108,019  (3,040)  4,979 
Amortization of stock-based awards572   572  572
Tax benefits related to stock-based awards159   159  159
Other(596)   (596)(4) (600)
Net income for the period 31,660  31,660822 32,482
Dividends - common shares (6,773)  (6,773)(264) (7,037)
Foreign exchange translation adjustment  (1,110) (1,110)(114) (1,224)
Postretirement benefits reserves adjustment  (252) (252)(41) (293)
Amortization of postretirement benefits reserves adjustment included in periodic benefit costs  883 88346 929
Change in fair value of cash flow hedges  24 24  24
Realized (gain)/ loss from settled cash flow hedges included in net income  (50) (50)  (50)
Acquisitions at cost   (16,633)(16,633)(12) (16,645)
Acquisitions (in shares)   (209)  (209) 
Dispositions   1,2161,216  1,216
Dispositions (in shares)   23  23 
Balance at Sep. 30, 2011$ 9,506$ 323,786$ (5,328)$ (172,025)$ 155,939$ 6,273 $ 162,212
Balance (in shares) at Sep. 30, 20118,019  (3,226)  4,793