OII: Oceaneering International, Inc.

Stock

About

Oceaneering International, Inc. engages in the provision of engineered services and products, and robotic solutions to the offshore energy, defense, aerospace, manufacturing, and entertainment industries. It operates through the following business segments: Subsea Robotics, Manufactured Products, Offshore Projects Group (OPG), Integrity Management & Digital Solutions (IMDS), and Aerospace and Defense Technologies (ADTech). The Subsea Robotics segment includes remotely operated vehicles, survey services, and ROV tooling businesses. The Manufactured Products segment provides distribution systems, such as production control umbilicals and connection systems made up of specialty subsea hardware, and provides turnkey solutions that include project management, engineering design, fabrication/assembly, and installation of autonomous mobile robotic technology to industrial, manufacturing, healthcare, warehousing, and commercial theme park markets. The OPG segment focuses on subsea project capabilities and solutions. The IMDS segment covers asset integrity management, corrosion management, inspection, and nondestructive testing services. The ADTech segment provides government services and products, including engineering related manufacturing in defense and space exploration activities. The company was founded in 1969 and is headquartered in Houston, TX.

Year Founded
1969
Employees
10,100
Sector
Energy
HQ Location
Houston, TX

Current Value

$27.45

1 Year Return

$6.73
32.48%

Key Details

Market Cap

$2.78B

P/E Ratio

20.71

1Y Stock Return

32.07%

1Y Revenue Growth

12.84%

Dividend Yield

0.00%

Price to Book

4.0

Strategies that include
OII

High risk

$3,200

Energy Sector

speculation
maximum growth

This Strategy concentrate on the energy sector, including oil, gas, and renewable energy firms. Offering exposure to the global energy market, it can be influenced by factors such as oil prices, geopolitical events, and environmental policies.

Top Sector

Energy

Top Holdings

Return

+16.22%

Expense Ratio

0.00%

Holdings

101

High risk

$13,000

U.S. Small Cap Value

speculation
maximum growth

This strategy concentrates primarily US small-cap value companies selected based on fundamental criteria

Top Sector

Financials

Top Holdings

Return

+16.66%

Expense Ratio

0.00%

Holdings

551

High risk

$9,000

US Small Cap

speculation
maximum growth

This strategy tracks a market-cap-weighted index of primarily small-cap US stocks, representing a small portion of the total market. This strategy focuses on the growth potential of smaller companies, offering investors targeted exposure to this dynamic segment of the US equity market. With a diversified portfolio of holdings it provides a broad approach to small-cap investing.

Top Sector

Financials

Top Holdings

Return

+10.03%

Expense Ratio

0.00%

Holdings

591

Create your own
strategy with

OII
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Stock's related to
OII

Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
FTI76.12%$12.24B+36.61%0.87%
HAL74.29%$26.77B-20.26%2.20%
NOG72.44%$4.10B+9.43%3.97%
CLB72.15%$929.61M+8.55%0.20%
MGY72.05%$5.36B+26.87%1.90%
NOV71.53%$6.22B-15.93%1.56%
VAL70.80%$3.30B-30.96%0.00%
HLX70.59%$1.60B+13.04%0.00%
MTDR70.53%$7.21B-1.21%1.47%
PTEN70.15%$3.16B-31.96%3.93%
RIG69.73%$3.68B-33.12%0.00%
NBR69.54%$694.91M-21.77%0.00%
LBRT68.96%$2.84B-12.59%1.61%
WHD68.86%$4.35B+56.25%0.75%
SDRL68.62%$2.74B-4.48%0.00%
PUMP68.59%$799.77M-15.27%0.00%
MUR68.33%$4.74B-23.99%3.70%
SM67.33%$5.02B+16.26%1.68%
CHX67.20%$5.82B+4.16%1.21%
BKR66.91%$42.42B+26.42%1.96%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
SRDX<0.01%$559.12M+15.64%0.00%
PM-0.01%$201.41B+39.59%4.05%
AMLX-0.01%$357.82M-58.70%0.00%
JNJ-0.04%$368.37B+1.24%3.18%
PRAX0.05%$1.36B+353.27%0.00%
OMER0.07%$349.44M+258.93%0.00%
TEM0.07%$8.50B0.00%0.00%
GRVY0.09%$466.13M-4.24%0.00%
URGN0.11%$470.95M-11.92%0.00%
BNED0.12%$277.22M-91.94%0.00%
ITOS0.19%$288.62M-19.06%0.00%
CYD0.19%$364.46M-2.94%4.26%
CCI0.20%$45.40B+0.84%6.02%
ORLY0.23%$69.31B+22.06%0.00%
PRPO0.35%$9.10M-13.65%0.00%
CRI-0.36%$1.87B-23.02%6.09%
FAT0.36%$89.30M-11.53%10.73%
VSTM-0.37%$176.25M-36.94%0.00%
PGR0.38%$149.10B+57.29%0.45%
HSY0.40%$34.45B-10.68%3.21%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
EW-26.16%$41.40B+4.84%0.00%
PG-23.86%$402.15B+14.14%2.33%
CPB-20.30%$12.96B+7.08%3.40%
CHD-19.72%$27.18B+19.50%1.03%
CL-19.04%$76.48B+22.25%2.12%
HUM-16.72%$33.45B-45.22%1.25%
ROL-14.98%$23.98B+23.53%1.25%
CLX-14.92%$20.81B+20.66%2.88%
MDLZ-14.50%$85.41B-10.00%2.73%
KMB-14.27%$45.22B+11.57%3.58%
CBOE-13.00%$21.46B+15.84%1.11%
SJM-11.55%$11.91B-0.25%3.82%
MCK-10.60%$78.15B+35.51%0.42%
CHE-10.30%$8.20B-5.60%0.33%
AMT-10.24%$94.00B+1.83%3.29%
EDR-10.23%$9.01B+19.26%0.82%
SYK-10.00%$148.17B+32.36%0.82%
UNH-9.94%$531.00B+6.93%1.37%
MNST-9.78%$52.25B-1.95%0.00%
MCD-9.64%$208.34B+3.66%2.30%

ETF's related to
OII

Correlated ETFs

NameCorrelationAUMExpense Ratio
XES87.67%$208.58M0.35%
OIH85.65%$1.69B0.35%
IEZ84.98%$153.88M0.4%
PXJ84.55%$42.76M0.66%
PSCE84.47%$91.62M0.29%
FXN74.93%$416.11M0.62%
XOP74.46%$2.58B0.35%
FCG73.85%$395.85M0.6%
RSPG73.82%$544.63M0.4%
PXE73.13%$117.58M0.63%
VDE73.08%$8.33B0.1%
FENY73.06%$1.64B0.084%
FTXN72.75%$179.41M0.6%
IEO71.79%$658.25M0.4%
IGE71.13%$634.87M0.41%
IYE71.10%$1.35B0.39%
XLE70.11%$37.90B0.09%
DRLL69.28%$336.91M0.41%
IXC69.26%$2.20B0.41%
SPGP63.51%$4.26B0.36%

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
FMHI0.04%$747.15M0.7%
GBIL0.05%$5.60B0.12%
BSV0.08%$33.43B0.04%
ULST0.26%$535.47M0.2%
UCON-0.26%$3.19B0.85%
MINT0.31%$11.62B0.35%
FLMI0.33%$356.19M0.3%
SEIX0.34%$268.81M0.62%
CCOR0.35%$109.04M1.18%
BBAG0.37%$1.66B0.03%
JBBB0.41%$1.26B0.49%
CGCB0.44%$1.49B0.27%
YEAR-0.48%$1.13B0.25%
UITB0.55%$2.36B0.38%
UBND0.56%$497.10M0.4%
IBTK-0.60%$282.33M0.07%
LGOV-0.61%$607.48M0.67%
IBTF0.69%$2.05B0.07%
SHY-0.77%$22.43B0.15%
GCOR-0.78%$393.53M0.14%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
BTAL-36.23%$388.04M1.43%
TAIL-35.83%$67.98M0.59%
VIXY-31.58%$195.31M0.85%
DFNM-16.34%$1.40B0.17%
CGSM-16.26%$514.53M0.25%
MUNI-14.66%$1.73B0.35%
CGMU-13.82%$2.53B0.27%
SHYD-12.65%$311.50M0.35%
GOVZ-12.63%$313.00M0.1%
CTA-12.60%$350.27M0.78%
EDV-12.51%$3.88B0.06%
FMB-12.44%$2.03B0.65%
USDU-12.35%$201.97M0.5%
CLOI-11.77%$715.40M0.4%
JUCY-11.58%$324.29M0.6%
ZROZ-11.32%$1.63B0.15%
UUP-10.19%$309.25M0.77%
CORN-7.91%$61.12M0.2%
SHV-6.51%$18.13B0.15%
BOXX-6.38%$4.43B0.1949%

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