C
Equinor ASA EQNR
$22.37 -$0.04-0.18%
Recommendation
Prev Close
Volume
Avg Vol (90D)
Market Cap
Dividend & Yield
52-Week Range
P/E (TTM)
EPS (TTM)
C
Hold 12/4/2024Downgrade
Equinor ASA (EQNR) was downgraded to C- from C on 12/4/2024 due to a noticeable decline in the volatility index, total return index and solvency index. The quick ratio declined from 1.26 to 1.22.
C
Hold 4/17/2024Downgrade
Equinor ASA (EQNR) was downgraded to C from C+ on 4/17/2024 due to a noticeable decline in the growth index, volatility index and total return index. Operating cash flow declined 47.75% from $5.24B to $2.74B, and EBIT declined 1.48% from $8.3B to $8.17B.
C
Hold 3/11/2024Downgrade
Equinor ASA (EQNR) was downgraded to C+ from B- on 3/11/2024 due to a decline in the total return index and valuation index.
B
Buy 8/24/2023Upgraded
Equinor ASA (EQNR) was upgraded to B- from C+ on 8/24/2023 due to an increase in the volatility index and total return index.
C
Hold 6/16/2023Downgrade
Equinor ASA (EQNR) was downgraded to C+ from B- on 6/16/2023 due to a decline in the volatility index, total return index and valuation index.
B
Buy 5/12/2023Upgraded
Equinor ASA (EQNR) was upgraded to B- from C+ on 5/12/2023 due to an increase in the total return index, efficiency index and solvency index. The quick ratio increased from 1.55 to 1.79, debt to equity declined from 0.55 to 0.5, and total capital increased 2.49% from $86.16B to $88.3B.
C
Hold 5/3/2023Downgrade
Equinor ASA (EQNR) was downgraded to C+ from B- on 5/3/2023 due to a decline in the total return index, volatility index and efficiency index.
B
Buy 4/4/2023Downgrade
Equinor ASA (EQNR) was downgraded to B- from B on 4/4/2023 due to a noticeable decline in the growth index, solvency index and total return index. EBIT declined 43.12% from $24.13B to $13.72B, operating cash flow declined 35.13% from $6.58B to $4.27B, and total revenue declined 20.79% from $42.73B to $33.84B.
B
Buy 2/21/2023Upgraded
Equinor ASA (EQNR) was upgraded to B from B- on 2/21/2023 due to an increase in the total return index.
B
Buy 2/3/2023Downgrade
Equinor ASA (EQNR) was downgraded to B- from B on 2/3/2023 due to a significant decline in the total return index.
B
Buy 3/21/2022Upgraded
Equinor ASA (EQNR) was upgraded to B from B- on 3/21/2022 due to a substantial increase in the valuation index, growth index and total return index. Earnings per share increased from $0.43 to $1.0306, EBIT increased 61.51% from $8.86B to $14.32B, and total revenue increased 39% from $23.11B to $32.13B.
B
Buy 12/7/2021Upgraded
Equinor ASA (EQNR) was upgraded to B- from C+ on 12/7/2021 due to an increase in the total return index, valuation index and dividend index.
C
Hold 11/3/2021Upgraded
Equinor ASA (EQNR) was upgraded to C+ from C on 11/3/2021 due to a substantial increase in the valuation index, total return index and efficiency index.
C
Hold 7/29/2021Upgraded
Equinor ASA (EQNR) was upgraded to C from C- on 7/29/2021 due to a significant increase in the growth index, efficiency index and solvency index. EBIT increased 14.25% from $4.22B to $4.83B, operating cash flow increased 11.01% from $5.98B to $6.64B, and total revenue increased 7.76% from $16.13B to $17.38B.
C
Hold 5/3/2021Upgraded
Equinor ASA (EQNR) was upgraded to C- from D+ on 5/3/2021 due to a large increase in the solvency index, efficiency index and growth index. EBIT increased 539.54% from -$961M to $4.22B, net income increased 176.42% from -$2.42B to $1.85B, and earnings per share increased from -$0.7484 to $0.5699.
D
Sell 3/19/2021Downgrade
Equinor ASA (EQNR) was downgraded to D+ from C- on 3/19/2021 due to a noticeable decline in the efficiency index and growth index. EBIT declined 493.85% from $244M to -$961M, earnings per share declined from -$0.6549 to -$0.7484, and net income declined 13.87% from -$2.13B to -$2.42B.
C
Hold 3/12/2021Upgraded
Equinor ASA (EQNR) was upgraded to C- from D+ on 3/12/2021 due to a noticeable increase in the total return index, volatility index and dividend index.
D
Sell 5/8/2020Downgrade
Equinor ASA (EQNR) was downgraded to D+ from C- on 5/8/2020 due to a significant decline in the valuation index, growth index and solvency index. Earnings per share declined from -$0.0712 to -$0.2142, EBIT declined 97.15% from $2.04B to $58M, and debt to equity increased from 0.63 to 0.79.
C
Hold 3/27/2020Downgrade
Equinor ASA (EQNR) was downgraded to C- from C on 3/27/2020 due to a substantial decline in the valuation index, growth index and total return index. Operating cash flow declined 57.56% from $4.18B to $1.77B.
C
Hold 7/30/2019Downgrade
Equinor ASA (EQNR) was downgraded to C from C+ on 7/30/2019 due to a decline in the volatility index and solvency index. The quick ratio declined from 1.27 to 1.17, and debt to equity increased from 0.66 to 0.68.
C
Hold 5/31/2019Downgrade
Equinor ASA (EQNR) was downgraded to C+ from B- on 5/31/2019 due to a decline in the volatility index and total return index.
B
Buy 5/7/2019Downgrade
Equinor ASA (EQNR) was downgraded to B- from B on 5/7/2019 due to a significant decline in the growth index, solvency index and total return index. Earnings per share declined from $1.0111 to $0.51, total revenue declined 24.46% from $21.72B to $16.41B, and EBIT declined 17.8% from $5.53B to $4.55B.
B
Buy 4/25/2019Upgraded
Equinor ASA (EQNR) was upgraded to B from B- on 4/25/2019 due to an increase in the total return index.
B
Buy 3/29/2019Downgrade
Equinor ASA (EQNR) was downgraded to B- from B on 3/29/2019 due to a significant decline in the total return index and volatility index.
B
Buy 7/27/2018Upgraded
Equinor ASA (EQNR) was upgraded to B from B- on 7/27/2018 due to a large increase in the growth index, total return index and volatility index.
B
Buy 5/11/2018Upgraded
Statoil ASA (STO) was upgraded to B- from C+ on 5/11/2018 due to an increase in the dividend index, volatility index and solvency index.
C
Hold 4/26/2018Downgrade
Statoil ASA (STO) was downgraded to C+ from B- on 4/26/2018 due to a decline in the growth index, dividend index and valuation index. Earnings per share declined from $0.7742 to $0.3875.
B
Buy 3/26/2018Upgraded
Statoil ASA (STO) was upgraded to B- from C- on 3/26/2018 due to a significant increase in the valuation index, growth index and efficiency index. Net income increased 636.46% from -$480M to $2.58B, earnings per share increased from -$0.1464 to $0.7742, and EBIT increased 131.9% from $1.54B to $3.56B.
C
Hold 11/13/2017Upgraded
Statoil ASA (STO) was upgraded to C- from D+ on 11/13/2017 due to an increase in the volatility index.
D
Sell 10/27/2017Downgrade
Statoil ASA (STO) was downgraded to D+ from C- on 10/27/2017 due to a decline in the growth index, efficiency index and dividend index. Net income declined 133.5% from $1.43B to -$480M, earnings per share declined from $0.44 to -$0.1464, and EBIT declined 51.58% from $3.17B to $1.54B.
C
Hold 10/2/2017Upgraded
Statoil ASA (STO) was upgraded to C- from D+ on 10/2/2017 due to a noticeable increase in the total return index, volatility index and solvency index. Debt to equity declined from 0.87 to 0.85.
D
Sell 5/10/2017Upgraded
Statoil ASA (STO) was upgraded to D+ from D on 5/10/2017 due to a major increase in the growth index, volatility index and valuation index. EBIT increased 517.71% from -$898M to $3.75B, operating cash flow increased 194.52% from $2.03B to $5.97B, and earnings per share increased from -$0.8667 to $0.3282.
D
Sell 4/20/2017Downgrade
Statoil ASA (STO) was downgraded to D from D+ on 4/20/2017 due to a decline in the total return index and volatility index.
D
Sell 3/21/2017Downgrade
Statoil ASA (STO) was downgraded to D+ from C- on 3/21/2017 due to a noticeable decline in the efficiency index, growth index and solvency index. Net income declined 545.83% from -$432M to -$2.79B, earnings per share declined from -$0.135 to -$0.8667, and EBIT declined 228.65% from $698M to -$898M.
C
Hold 2/24/2017Upgraded
Statoil ASA (STO) was upgraded to C- from D+ on 2/24/2017 due to an increase in the total return index.
D
Sell 2/17/2017Upgraded
Statoil ASA (STO) was upgraded to D+ from D on 2/17/2017 due to a noticeable increase in the efficiency index, growth index and dividend index. Operating cash flow increased 219.76% from $1.14B to $3.66B, EBIT increased 116.77% from $322M to $698M, and total revenue increased 11.81% from $10.81B to $12.09B.
D
Sell 2/8/2017Downgrade
Statoil ASA (STO) was downgraded to D from D+ on 2/8/2017 due to a large decline in the efficiency index, dividend index and growth index. Net income declined 546.06% from -$432M to -$2.79B, earnings per share declined from -$0.135 to -$0.867, and EBIT declined 371.78% from $698M to -$1.9B.
D
Sell 10/21/2016Downgrade
Statoil ASA (STO) was downgraded to D+ from C- on 10/21/2016 due to a decline in the total return index, volatility index and dividend index.
C
Hold 10/6/2016Upgraded
Statoil ASA (STO) was upgraded to C- from D+ on 10/6/2016 due to an increase in the total return index and dividend index.
D
Sell 7/28/2016Downgrade
Statoil ASA (STO) was downgraded to D+ from C- on 7/28/2016 due to a decline in the growth index, efficiency index and dividend index. Earnings per share declined from $0.19 to -$0.0965, net income declined 150.58% from $607M to -$307M, and EBIT declined 82.58% from $1.03B to $180M.
C
Hold 4/28/2016Upgraded
Statoil ASA (STO) was upgraded to C- from D+ on 4/28/2016 due to a noticeable increase in the growth index, efficiency index and total return index. Net income increased 156.25% from -$1.08B to $607M, earnings per share increased from -$0.3395 to $0.19, and total capital increased 4.09% from $72.25B to $75.2B.
D
Sell 4/19/2016Upgraded
Statoil ASA (STO) was upgraded to D+ from D on 4/19/2016 due to an increase in the total return index, volatility index and solvency index.
D
Sell 3/18/2016Downgrade
Statoil ASA (STO) was downgraded to D from D+ on 3/18/2016 due to a decline in the efficiency index, growth index and valuation index. Earnings per share declined from -$0.1071 to -$0.3395, net income declined 216.86% from -$340.57M to -$1.08B, and operating cash flow declined 57.04% from $5.13B to $2.21B.
D
Sell 3/11/2016Downgrade
Statoil ASA (STO) was downgraded to D+ from C- on 3/11/2016 due to a major decline in the volatility index, total return index and valuation index.
C
Hold 2/19/2016Upgraded
Statoil ASA (STO) was upgraded to C- from D+ on 2/19/2016 due to an increase in the dividend index, growth index and efficiency index. Operating cash flow increased 110.4% from $2.44B to $5.13B.
D
Sell 2/8/2016Downgrade
Statoil ASA (STO) was downgraded to D+ from C- on 2/8/2016 due to a decline in the dividend index, growth index and efficiency index. EBIT declined 73.4% from $705.47M to $187.67M, operating cash flow declined 69.84% from $5.13B to $1.55B, and total revenue declined 3.74% from $13.65B to $13.14B.
C
Hold 1/15/2016Downgrade
Statoil ASA (STO) was downgraded to C- from C on 1/15/2016 due to a noticeable decline in the total return index.
C
Hold 12/31/2015Upgraded
Statoil ASA (STO) was upgraded to C from C- on 12/31/2015 due to a noticeable increase in the total return index, growth index and solvency index. Operating cash flow increased 110.4% from $2.44B to $5.13B.
C
Hold 5/1/2015Downgrade
Statoil ASA (STO) was downgraded to C- from C on 5/1/2015 due to a significant decline in the valuation index, efficiency index and growth index. EBIT declined 42.29% from $2.01B to $1.16B, total revenue declined 28.06% from $21.4B to $15.39B, and operating cash flow declined 6.02% from $3.99B to $3.75B.
C
Hold 2/27/2015Downgrade
Statoil ASA (STO) was downgraded to C from B- on 2/27/2015 due to a major decline in the total return index, valuation index and growth index. EBIT declined 35.56% from $3.95B to $2.55B, total revenue declined 9.23% from $23.58B to $21.4B, and operating cash flow declined 4.52% from $4.18B to $3.99B.
B
Buy 10/31/2014Downgrade
Statoil ASA (STO) was downgraded to B- from B on 10/31/2014 due to a noticeable decline in the volatility index, growth index and total return index. Earnings per share declined from $0.6196 to -$0.2366, EBIT declined 27.39% from $5.44B to $3.95B, and total revenue declined 1.01% from $23.82B to $23.58B.
B
Buy 8/21/2014Downgrade
Statoil ASA (STO) was downgraded to B from B+ on 8/21/2014 due to a decline in the volatility index.
B
Buy 8/6/2014Downgrade
Statoil ASA (STO) was downgraded to B+ from A- on 8/6/2014 due to a large decline in the volatility index, growth index and solvency index. Operating cash flow declined 66.52% from $9.03B to $3.02B, earnings per share declined from $1.2144 to $0.6246, and EBIT declined 27.88% from $7.5B to $5.41B.
A
Buy 3/21/2014Upgraded
Statoil ASA (STO) was upgraded to A- from B+ on 3/21/2014 due to an increase in the dividend index, volatility index and solvency index. The quick ratio increased from 1.03 to 1.24.
B
Buy 3/12/2014Upgraded
Statoil ASA (STO) was upgraded to B+ from B on 3/12/2014 due to a large increase in the volatility index, total return index and solvency index.
Weiss Ratings