PerpEquities

Equity · Energy

TotalEnergies SE (TTE) perpetual futures

TotalEnergies SE is a global integrated energy company operating in LNG, renewables, exploration, refining, and marketing with 16,000 service stations and 25,000 EV charging points.

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Trading data

Perpetual market activity

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24h volume
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Open interest
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Best liquidity
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Tightest spread
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Highest volume
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Settlement mix
USDT · 1/1
Perp/spot vol.
-
OI / float
-
Spot performance
1D-0.80%
5D+1.88%
1M+3.93%
6M+15.11%
YTD+35.34%
1Y+43.87%

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Company data

Company fundamentals

Updated 1h ago
Market cap
$197.3B
Updated 1h ago
Revenue
$196.4B
Trailing 12 months
Revenue growth
+13%
Next fiscal year
Profit margin
+9.1%
P/E
11.0
Peer P/E 16.6
Free cash flow
$16.3B
Trailing 12 months
More metrics
Net income
$17.8B
Trailing 12 months
P/S
1.0
Peer P/E
16.6
Similar listed perps
Revenue estimate
$205.2B
Next fiscal year
Earnings
2026-10-29
Revenue est. $53.7B · Updated 1h ago
Dividend
$1.046
2026-12-31

Fundamental detail

Annual + quarterly
Latest revenue$182.3B
Net margin+7.2%
Free cash flow$10.8B
Net debt$35.2B
2020$119.7B
2021$184.6B
2022$263.3B
2023$218.9B
2024$195.6B
2025$182.3B
PeriodRevenueGrowthNet incomeFCF
2020$119.7B-32%-$7.2B$4B
2021$184.6B+54%$16B$18.1B
2022$263.3B+43%$20.5B$31.7B
2023$218.9B-17%$21.4B$23B
2024$195.6B-11%$15.8B$15.9B
2025$182.3B-7%$13.1B$10.8B
PeriodGross marginOperating marginNet marginROEROA
2020+16.4%0.0%-6.0%-7.0%-2.7%
2021+28.2%+13.0%+8.7%+14.3%+5.5%
2022+30.8%+18.9%+7.8%+18.4%+6.8%
2023+28.5%+14.1%+9.8%+18.3%+7.5%
2024+28.4%+12.3%+8.1%+13.4%+5.5%
2025+28.4%+10.9%+7.2%+11.4%+4.5%
PeriodCashDebtNet debtCurrent ratio
2020$31.3B$77.3B$46B1.23
2021$21.3B$63B$41.7B1.17
2022$33B$60.8B$27.7B1.15
2023$27.3B$47.9B$20.6B1.12
2024$25.8B$53.6B$27.7B1.10
2025$26.2B$61.4B$35.2B0.97
PeriodMarket capEnterprise valueP/SP/E
2020$109.1B$155.1B0.9-15.1
2021$130.2B$171.9B0.78.1
2022$158.6B$186.3B0.67.7
2023$162.9B$183.5B0.77.6
2024$127.4B$155.1B0.77.9
2025$143.4B$178.6B0.811.2
Q3 2024$47.4B
Q4 2024$47.1B
Q1 2025$47.9B
Q2 2025$44.7B
Q3 2025$43.8B
Q4 2025$45.9B
Q1 2026$49.5B
Q2 2026$57.1B
PeriodRevenueGrowthNet incomeFCF
Q3 2024$47.4B-13%$2.3B$3.1B
Q4 2024$47.1B-14%$4B$8.8B
Q1 2025$47.9B-8%$3.9B-$1.7B
Q2 2025$44.7B-9%$2.7B$1.2B
Q3 2025$43.8B-8%$3.7B$4.6B
Q4 2025$45.9B-3%$2.9B$6.5B
Q1 2026$49.5B+3%$5.8B-$1.2B
Q2 2026$57.1B+28%$5.4B$6.5B
PeriodGross marginOperating marginNet marginROEROA
Q3 2024+26.6%+10.1%+4.8%+2.0%+0.8%
Q4 2024+29.0%+12.0%+8.4%+3.4%+1.4%
Q1 2025+29.3%+13.4%+8.0%+3.3%+1.3%
Q2 2025+27.4%+9.7%+6.0%+2.3%+0.9%
Q3 2025+30.5%+13.0%+8.4%+3.2%+1.3%
Q4 2025+26.5%+7.6%+6.3%+2.5%+1.0%
Q1 2026+38.3%+20.5%+11.7%+4.7%+1.8%
Q2 2026+27.5%+13.3%+9.5%+4.2%+1.7%
PeriodCashDebtNet debtCurrent ratio
Q3 2024$25.7B$59.6B$33.9B1.10
Q4 2024$25.8B$53.6B$27.7B1.10
Q1 2025$22.8B$59B$36.2B1.07
Q2 2025$20.4B$62.2B$41.8B1.00
Q3 2025$23.4B$63.4B$40B1.01
Q4 2025$26.2B$61.4B$35.2B0.97
Q1 2026$25.8B$64.2B$38.4B1.08
Q2 2026$27.6B$62.6B$35B1.06
PeriodMarket capEnterprise valueP/SP/E
Q3 2024$147.4B$181.3B3.116.0
Q4 2024$127.4B$155.1B2.77.9
Q1 2025$147.5B$183.7B3.19.6
Q2 2025$135.3B$177.1B3.013.0
Q3 2025$131.3B$171.3B3.09.0
Q4 2025$145.1B$180.3B3.212.5
Q1 2026$197.2B$235.7B4.08.5
Q2 2026$173B$207.9B3.08.1
Historical value series
Revenue
Q3 2023: $54.4BQ4 2023: $54.8BQ1 2024: $51.9BQ2 2024: $49.2BQ3 2024: $47.4BQ4 2024: $47.1BQ1 2025: $47.9BQ2 2025: $44.7BQ3 2025: $43.8BQ4 2025: $45.9BQ1 2026: $49.5BQ2 2026: $57.1BQ3 2023Q2 2026
Net income
Q3 2023: $6.7BQ4 2023: $5.1BQ1 2024: $5.7BQ2 2024: $3.8BQ3 2024: $2.3BQ4 2024: $4BQ1 2025: $3.9BQ2 2025: $2.7BQ3 2025: $3.7BQ4 2025: $2.9BQ1 2026: $5.8BQ2 2026: $5.4BQ3 2023Q2 2026
EBITDA
Q3 2023: $14.4BQ4 2023: $12.9BQ1 2024: $12.5BQ2 2024: $10.4BQ3 2024: $9.4BQ4 2024: $10.1BQ1 2025: $10.5BQ2 2025: $9BQ3 2025: $10.4BQ4 2025: $9BQ1 2026: $14.7BQ2 2026: $12.5BQ3 2023Q2 2026
Free cash flow
Q3 2023: $5.7BQ4 2023: $11.1BQ1 2024: -$1.3BQ2 2024: $5.3BQ3 2024: $3.1BQ4 2024: $8.8BQ1 2025: -$1.7BQ2 2025: $1.2BQ3 2025: $4.6BQ4 2025: $6.5BQ1 2026: -$1.2BQ2 2026: $6.5BQ3 2023Q2 2026
EPS
Q3 2023: $0Q4 2023: $2.09Q1 2024: $2.4Q2 2024: $1.6Q3 2024: $0.97Q4 2024: $1.7Q1 2025: $1.68Q2 2025: $1.17Q3 2025: $1.64Q4 2025: $1.3Q1 2026: $2.64Q2 2026: $2.37Q3 2023Q2 2026
Cash / Debt
Q3 2023 · Cash: $24.7BQ3 2023 · Debt: $58.3BQ4 2023 · Cash: $27.3BQ4 2023 · Debt: $50.1BQ1 2024 · Cash: $25.6BQ1 2024 · Debt: $56BQ2 2024 · Cash: $23.2BQ2 2024 · Debt: $53.8BQ3 2024 · Cash: $25.7BQ3 2024 · Debt: $59.6BQ4 2024 · Cash: $25.8BQ4 2024 · Debt: $53.6BQ1 2025 · Cash: $22.8BQ1 2025 · Debt: $59BQ2 2025 · Cash: $20.4BQ2 2025 · Debt: $62.2BQ3 2025 · Cash: $23.4BQ3 2025 · Debt: $63.4BQ4 2025 · Cash: $26.2BQ4 2025 · Debt: $61.4BQ1 2026 · Cash: $25.8BQ1 2026 · Debt: $64.2BQ2 2026 · Cash: $27.6BQ2 2026 · Debt: $62.6BQ3 2023Q2 2026
CashDebt
Profitability
Q3 2023 · Gross margin: +32.5%Q4 2023 · Gross margin: +25.7%Q1 2024 · Gross margin: +29.2%Q2 2024 · Gross margin: +28.6%Q3 2024 · Gross margin: +26.6%Q4 2024 · Gross margin: +29.0%Q1 2025 · Gross margin: +29.3%Q2 2025 · Gross margin: +27.4%Q3 2025 · Gross margin: +30.5%Q4 2025 · Gross margin: +26.5%Q1 2026 · Gross margin: +38.3%Q2 2026 · Gross margin: +27.5%Q3 2023 · Operating margin: 0.0%Q4 2023 · Operating margin: +12.3%Q1 2024 · Operating margin: +14.3%Q2 2024 · Operating margin: +12.7%Q3 2024 · Operating margin: +10.1%Q4 2024 · Operating margin: +12.0%Q1 2025 · Operating margin: +13.4%Q2 2025 · Operating margin: +9.7%Q3 2025 · Operating margin: +13.0%Q4 2025 · Operating margin: +7.6%Q1 2026 · Operating margin: +20.5%Q2 2026 · Operating margin: +13.3%Q3 2023 · Net margin: +12.3%Q4 2023 · Net margin: +9.2%Q1 2024 · Net margin: +11.0%Q2 2024 · Net margin: +7.7%Q3 2024 · Net margin: +4.8%Q4 2024 · Net margin: +8.4%Q1 2025 · Net margin: +8.0%Q2 2025 · Net margin: +6.0%Q3 2025 · Net margin: +8.4%Q4 2025 · Net margin: +6.3%Q1 2026 · Net margin: +11.7%Q2 2026 · Net margin: +9.5%Q3 2023Q2 2026
Gross marginOperating marginNet margin
Revenue growth
Q2 2024: -4.6%Q3 2024: -12.8%Q4 2024: -14.0%Q1 2025: -7.7%Q2 2025: -9.2%Q3 2025: -7.6%Q4 2025: -2.5%Q1 2026: +3.4%Q2 2026: +27.8%Q3 2023Q2 2026
Shares outstanding
Q3 2023: 2.4BQ4 2023: 2.4BQ1 2024: 2.4BQ2 2024: 2.3BQ3 2024: 2.4BQ4 2024: 2.4BQ1 2025: 2.3BQ2 2025: 2.2BQ3 2025: 2.2BQ4 2025: 2.2BQ1 2026: 2.2BQ2 2026: 2.3BQ3 2023Q2 2026
Valuation
Q3 2023 · P/E: 5.9Q4 2023 · P/E: 8.0Q1 2024 · P/E: 7.2Q2 2024 · P/E: 10.7Q3 2024 · P/E: 16.0Q4 2024 · P/E: 7.9Q1 2025 · P/E: 9.6Q2 2025 · P/E: 13.0Q3 2025 · P/E: 9.0Q4 2025 · P/E: 12.5Q1 2026 · P/E: 8.5Q2 2026 · P/E: 8.1Q3 2023 · P/S: 2.9Q4 2023 · P/S: 2.9Q1 2024 · P/S: 3.2Q2 2024 · P/S: 3.2Q3 2024 · P/S: 3.1Q4 2024 · P/S: 2.7Q1 2025 · P/S: 3.1Q2 2025 · P/S: 3.0Q3 2025 · P/S: 3.0Q4 2025 · P/S: 3.2Q1 2026 · P/S: 4.0Q2 2026 · P/S: 3.0Q3 2023Q2 2026
P/EP/S
Revenue
2018: $184.1B2019: $176.2B2020: $119.7B2021: $184.6B2022: $263.3B2023: $218.9B2024: $195.6B2025: $182.3B20182025
Net income
2018: $11.4B2019: $11.3B2020: -$7.2B2021: $16B2022: $20.5B2023: $21.4B2024: $15.8B2025: $13.1B20182025
EBITDA
2018: $34.8B2019: $36.1B2020: $17.9B2021: $42.1B2022: $59B2023: $50.8B2024: $42.3B2025: $38.9B20182025
Free cash flow
2018: $7.6B2019: $12.9B2020: $4B2021: $18.1B2022: $31.7B2023: $23B2024: $15.9B2025: $10.8B20182025
EPS
2018: $02019: $4.22020: -$2.82021: $5.922022: $7.852023: $8.672024: $6.692025: $5.7820182025
Cash / Debt
2018 · Cash: $27.9B2018 · Debt: $53.4B2019 · Cash: $27.4B2019 · Debt: $62.6B2020 · Cash: $31.3B2020 · Debt: $77.3B2021 · Cash: $21.3B2021 · Debt: $63B2022 · Cash: $33B2022 · Debt: $60.8B2023 · Cash: $27.3B2023 · Debt: $47.9B2024 · Cash: $25.8B2024 · Debt: $53.6B2025 · Cash: $26.2B2025 · Debt: $61.4B20182025
CashDebt
Profitability
2018 · Gross margin: +23.9%2019 · Gross margin: +25.0%2020 · Gross margin: +16.4%2021 · Gross margin: +28.2%2022 · Gross margin: +30.8%2023 · Gross margin: +28.5%2024 · Gross margin: +28.4%2025 · Gross margin: +28.4%2018 · Operating margin: +8.3%2019 · Operating margin: +8.7%2020 · Operating margin: 0.0%2021 · Operating margin: +13.0%2022 · Operating margin: +18.9%2023 · Operating margin: +14.1%2024 · Operating margin: +12.3%2025 · Operating margin: +10.9%2018 · Net margin: +6.2%2019 · Net margin: +6.4%2020 · Net margin: -6.0%2021 · Net margin: +8.7%2022 · Net margin: +7.8%2023 · Net margin: +9.8%2024 · Net margin: +8.1%2025 · Net margin: +7.2%20182025
Gross marginOperating marginNet margin
Revenue growth
2019: -4.3%2020: -32.1%2021: +54.2%2022: +42.6%2023: -16.8%2024: -10.7%2025: -6.8%20182025
Shares outstanding
2018: 2.7B2019: 2.7B2020: 2.6B2021: 2.6B2022: 2.6B2023: 2.4B2024: 2.4B2025: 2.2B20182025
Valuation
2018 · P/E: 11.92019 · P/E: 12.82020 · P/E: -15.12021 · P/E: 8.12022 · P/E: 7.72023 · P/E: 7.62024 · P/E: 7.92025 · P/E: 11.22018 · P/S: 0.72019 · P/S: 0.82020 · P/S: 0.92021 · P/S: 0.72022 · P/S: 0.62023 · P/S: 0.72024 · P/S: 0.72025 · P/S: 0.820182025
P/EP/S

Refreshed 1h ago

Next catalyst

Catalysts

Earnings
2026-10-29
Revenue est. $53.7B · Updated 1h ago
Dividend
$1.046
2026-12-31

No unusual perp activity right now.

Research data

Analysts, filings and peer context

Estimates

6
DateEPS estimateRevenue estimateGrowthAnalysts
FY 202610.95$205.2B+13%7
FY 20279.60$192.6B+6%7
FY 20289.25$188.4B+3%7
FY 202910.92$205.5B+13%2
FY 203010.93$214B+17%4
Q1 20292.63$60.4B+22%1

Company events

6
2026-12-31Dividend$1.046-
2026-10-29EarningsActual - / Estimate 3.04-
2026-09-30Dividend$1.046-
2026-07-23EarningsActual 2.68 / Estimate 2.66Beat
2026-06-30Dividend$0.97-
2026-04-29EarningsActual 2.45 / Estimate 2.22Beat

Peer comparison

Similar listed perps

FMP company data

Company intelligence

Updated: Sep 4, 2026, 07:48 PM UTC

Company profile

Sector
Energy
Industry
Oil & Gas Integrated
Chief executive
Patrick Pouyanne
Employees
94,847
IPO date
Oct 25, 1991
Country
FR
Exchange
New York Stock Exchange
Website
Altman Z-scorei2.27
Piotroski scorei6/9
FMP ratingiA-
Owner earningsi$14.01B$6.21 per share
ESG risk ratingiBIndustry rank: 15 out of 23

Rating factors

Return on equityi
4
Return on assetsi
4
Debt to equityi
2
Price to earningsi
3
Price to booki
3
Market cap history
2026-06-042026-09-04Latest: $197.02BHigh: $200.96BLow: $162.16B
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VWRA.S0.12%996.1K
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