SLD 0.42 ▲0.00% MBG 0.21 ▲0.00% FDC 3.93 ▼-0.76% LF1 1.87 ▼-2.12% LGF 2.38 ▲0.86% DN1 98.00 ▼-0.17% WMX 1.58 ▼-2.46% RG8 2.52 ▲0.40% CTS 0.89 ▲2.89% TET 0.42 ▲1.20% MRE 1.68 ▲0.00% BST 0.27 ▲3.85% EFR 0.01 ▲0.00% RIV 1.20 ▼-0.42% KIT 1.80 ▲0.56% EMUCA 0.89 RF1 3.38 ▲0.00% AIX 9.00 ▲0.22% SLD 0.42 ▲0.00% MBG 0.21 ▲0.00% FDC 3.93 ▼-0.76% LF1 1.87 ▼-2.12% LGF 2.38 ▲0.86% DN1 98.00 ▼-0.17% WMX 1.58 ▼-2.46% RG8 2.52 ▲0.40% CTS 0.89 ▲2.89% TET 0.42 ▲1.20% MRE 1.68 ▲0.00% BST 0.27 ▲3.85% EFR 0.01 ▲0.00% RIV 1.20 ▼-0.42% KIT 1.80 ▲0.56% EMUCA 0.89 RF1 3.38 ▲0.00% AIX 9.00 ▲0.22%

WDS Woodside Energy Group Ltd

Energy · Oil & Gas E&P · website · 4,693 employees
$31.24
52wk 21.96 – 35.82
Overall
54.3
Value
76.3
Growth
6.4
Health
77.5
Quality
71.9
Momentum
41.0
Dividend
53.6
Price
About Woodside Energy Group Ltd

Woodside Energy Group Ltd engages in the exploration, evaluation, development, production, marketing, and sale of hydrocarbons in the Asia Pacific, Africa, the Americas, and the Europe. It produces liquefied natural gas, pipeline gas, crude oil and condensate, and natural gas liquids. The company holds interests in the Pluto LNG, North West Shelf, Wheatstone and Julimar-Brunello, Bass Strait, Ngujima-Yin FPSO, Okha FPSO, Pyrenees FPSO, Macedon, Shenzi, Mad dog, Greater Angostura, as well as Scarborough, Sangomar, Trion, Calypso, Browse, Liard, Ruby, Sangomar, Atlantis, Woodside Solar opportunity, and Sunrise and Troubadour. It is also involved in the development of new energy products and lower-carbon services. The company was formerly known as Woodside Petroleum Ltd and changed its name to Woodside Energy Group Ltd in May 2022. Woodside Energy Group Ltd was founded in 1954 and is headquartered in Perth, Australia.

Commodity exposure

Primary exposure: Crude Oil (Brent) (detected from the company profile: oil, crude, petroleum, condensate)

Crude Oil (Brent) primary
100.86 USD/bbl
1m: 5.5% · 1y: 57.3%
Natural Gas
2.92 USD/MMBtu
1m: -1.4% · 1y: -15.3%
Price analytics

Returns

1 day 1.1%
1 week -1.5%
1 month -3.0%
3 months 11.7%
6 months -2.6%
1 year 34.9%
3 years -11.4%

Risk

Volatility (1y ann.) 30.1%
Beta vs ASX 200 -0.34
Sharpe (1y) 1.02
VaR 95% (1-day) -2.9%
Max drawdown (1y) -23.4%
Off 1-year high -12.7%

Technicals

RSI(14) 36
vs 50DMA -3.7%
vs 200DMA 4.1%
Trend Golden cross
Fundamental trends
Financial statements
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Scoring breakdown (2 Oct 2026)
Value 76.3
Trailing P/E
83
Forward P/E
84
PEG ratio
67
EV / EBITDA
68
Price / Book
95
Price / Sales
62
Growth 6.4
Revenue growth (1y)
24
Revenue CAGR (3y)
0
EPS growth (1y)
0
EPS CAGR (3y)
0
Financial Health 77.5
Net debt / EBITDA
79
Interest coverage (EBIT/interest)
100
Current ratio
35
Debt / Equity
93
Quality (Profitability & Cash Flow) 71.9
Return on equity
38
Return on assets
28
Operating margin
96
Net margin
100
Cash conversion (OCF / net income)
100
Dividend / Income 53.6
Dividend yield (%)
88
Payout ratio
62
FCF dividend cover
0
Momentum 41.0
6-month return vs ASX 200
11
Price vs 200-day average
64
Price vs 50-day average
32
Position in 52-week range
67

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Score history
Key metrics
Market cap
$59.39B
P/E (trailing)
13.52
P/E (forward)
12.37
EPS (trailing)
2.31
Dividend yield
5.2%
Payout ratio
70.3%
Beta
-0.23
EV / EBITDA
9.29
Price / Book
1.15
ROE
7.7%
Operating margin
23.9%
Net margin
22.2%
Total cash
$4.46B
Total debt
$13.67B
Current ratio
1.39
Debt / Equity
0.33
Free cash flow
$562.50M
Avg volume
4.48M
Latest annual results (FY ending 31 Dec 2025)
  • Revenue$12.98B
  • Gross profit$4.54B
  • Operating income$4.54B
  • Net income$2.72B
  • Diluted EPS1.42
  • Free cash flow-$782.00M
  • Net debt$8.01B
Sector peers (Energy)
TickerMkt cap P/EScore
STO $27.74B 26.7 46.2
ALD $10.54B 7.3 51.3
NXG $8.60B — 39.5
YAL $7.54B 26.0 46.6
WHC $6.24B 15.8 50.1
VEA $5.36B 24.9 49.9
NHC $4.92B 30.7 53.6
WOR $4.64B 20.2 36.6