Shell

Ticker: SHEL

Business Overview

The provided excerpt is a table of contents or index listing sections of the annual filing, rather than a business overview. It does not contain descriptive text about Shell's products, services, customers, or business model.

12-22, 35-88, 105-128, 317 B. Business overview 13-30, 33-34, 45-88, 118-139, 291-309 C. Organizational structure 19, Exhibit 8.1 D. Property, plants and equipment 23-30, 35-37, 45-88, 126-128, 135-137, 291-309

Company Facts

Ticker: SHEL
Exchange: LSE
Sector: Energy
SIC classification: Crude Petroleum & Natural Gas
State of incorporation: DC

Verdict: Hold · 56/100

Quality — 46/100

ROE: 10.2%, ROA: 4.8%, net margin: 6.7%

Financial Health — 60/100

Current ratio: 1.30, D/E: 1.12, interest coverage: 7.4×

Growth — 68/100

ROA change: 16.1% YoY, asset efficiency change: -1.8% YoY

Value — 31/100

Value score: sector ratios vs median (60%) + intrinsic method signal (40%)

Momentum — 95/100

52-week return: 34.3%, 3-month: 19.1%

Confidence: HIGH · Data as of 2025-12-31 · Sourced from SEC EDGAR filings.

Key Questions

Q1: Is Shell (SHEL) a buy?

Verdict: Hold · 56/100. Quality: ROE: 10.2%, ROA: 4.8%, net margin: 6.7%.

Q2: How financially healthy is SHEL?

Current ratio: 1.30, D/E: 1.12, interest coverage: 7.4×

Q3: What is SHEL's recent momentum?

52-week return: 34.3%, 3-month: 19.1%

Q4: What is SHEL's growth like?

ROA change: 16.1% YoY, asset efficiency change: -1.8% YoY

Q5: What is the investment thesis for Shell?

Value score: sector ratios vs median (60%) + intrinsic method signal (40%)