Eni SpA

Eni SpA

Eni SpA is an Italian integrated energy company active across oil and gas exploration and production, midstream logistics, refining, marketing and growing renewables and low‑carbon businesses. With a market capitalisation of roughly $54.6 billion, Eni combines upstream cash generation with downstream margins and a strategic pivot into gas and renewables as part of an energy transition plan. Key considerations for investors include sensitivity to oil and gas prices, geographic exposure to Europe and Africa, and capital allocation between dividends, upstream projects and green investments. Eni has historically paid dividends, but distributions depend on cash flow and board policy. The company faces commodity volatility, regulatory and geopolitical risks, and the capital‑intensive nature of energy projects. For those researching Eni, focus on production trends, realised prices, unit costs, project timelines and progress on its decarbonisation targets. This summary is educational only, not personalised advice; values can rise or fall and past performance does not guarantee future returns.

Why It's Moving

Eni SpA

Eni ramps up treasury share buybacks, signaling management confidence amid steady energy sector flows.

Eni aggressively bought back 3.8 million treasury shares last week at an average €16.18 per share, part of its ongoing program that now holds 5.55% of share capital. This move underscores the company's commitment to returning value to shareholders in a stable oil and gas environment.

Sentiment:
⚖️Neutral
  • Acquired 3,794,333 shares between Dec 1-5 for €61.4 million, boosting total buybacks since May to 87.9 million shares worth €1.29 billion.
  • Treasury holdings now at 174.8 million shares (5.55% of capital), reflecting strong balance sheet flexibility post solid Q3 earnings beat.
  • Consensus analyst rating remains 'Hold' with shares trading above targets, as energy majors navigate flat hydrocarbon prices.

Stock Performance Snapshot

Hold

Analyst Rating

Analysts suggest keeping Eni's stock for now, with a target price slightly higher than its current value.

Above Average

Financial Health

Eni SpA is performing well with strong revenue and cash flow, indicating solid financial stability.

Average

Dividend

Eni SpA's projected dividend yield of 3.44% offers a moderate return for dividend-seeking investors. If you invested $1000 you would be paid $34.40 a year in dividends (based on the last 12 months).

Source: Analyst sentiment is provided by Refinitiv Ltd, a global leader in financial market data with over 40k business clients. Refinitiv Ltd is an independent third party to Nemo. This is not advice.

Baskets Featuring E

Nigeria Investment: The Next Chapter Beyond Direct Stocks

Nigeria Investment: The Next Chapter Beyond Direct Stocks

Nigeria's economic landscape is attracting significant international business, creating unique growth narratives for investors to follow. This basket provides exposure to US and EU-listed multinational corporations with substantial operations and strategic interests in the Nigerian market.

Published: September 29, 2025

Explore Basket
Lagos Investment Guide: Volatility Considerations

Lagos Investment Guide: Volatility Considerations

As Lagos continues its rapid economic expansion, opportunities for wealth creation are growing for its residents. This basket offers exposure to global companies in sectors like finance, consumer goods, and infrastructure that are deeply connected to Nigeria's growth story.

Published: September 29, 2025

Explore Basket
European Stock Market EU-Africa Trade Leaders 2025

European Stock Market EU-Africa Trade Leaders 2025

With Europe as Nigeria's primary trade partner, the region's top companies offer a significant opportunity for portfolio diversification. This basket provides exposure to leading European-listed corporations and the market infrastructure that powers them.

Published: September 26, 2025

Explore Basket
Nigeria Investment Theme: Currency & Political Risks

Nigeria Investment Theme: Currency & Political Risks

With the UK acting as Nigeria's single largest source of foreign capital, this theme tracks the companies powering key sectors of the Nigerian economy. This basket provides exposure through large, EU-listed multinational corporations with significant business operations, infrastructure projects, or financial ties to Nigeria.

Published: September 25, 2025

Explore Basket
Natural Gas Investing: What's Next for Nigeria?

Natural Gas Investing: What's Next for Nigeria?

As Nigeria pivots to leverage its vast natural gas reserves for economic growth, this resource is becoming central to its energy transition strategy. This basket offers potential exposure to globally-listed energy companies, infrastructure providers, and technology firms participating in this development.

Published: September 24, 2025

Explore Basket
Long Term Nigeria Investing: Could Multinationals Win?

Long Term Nigeria Investing: Could Multinationals Win?

As more Nigerians seek to build wealth and protect against inflation, the demand for quality long-term assets is soaring. This basket offers exposure to the global financial infrastructure and multinational corporations capitalizing on Africa's growth.

Published: September 19, 2025

Explore Basket
Small Cap Stocks: High-Risk, High-Growth Analysis

Small Cap Stocks: High-Risk, High-Growth Analysis

Smaller, high-growth companies can offer diversification for Nigerian investors looking beyond established giants. This basket provides exposure through global companies, such as fund sponsors and market infrastructure providers, that are linked to emerging market growth.

Published: September 18, 2025

Explore Basket
Blue Chip Stocks: Could Global Giants Offer Stability?

Blue Chip Stocks: Could Global Giants Offer Stability?

Amid economic uncertainty, many seek stable, long-term growth opportunities for wealth preservation. This basket offers exposure to some of the world's largest and most well-established US/EU-listed companies, often recognised for their market leadership.

Published: September 16, 2025

Explore Basket
Penny Stocks Nigeria: Might Global Exposure Be Safer?

Penny Stocks Nigeria: Might Global Exposure Be Safer?

High inflation and the search for affordable investments are driving interest in accessible assets across Nigeria. This basket offers potential exposure through established US/EU-listed companies providing low-cost goods and services to the African mass market.

Published: September 12, 2025

Explore Basket
Bloom Energy Stock: What's Next for Digital Africa

Bloom Energy Stock: What's Next for Digital Africa

As Africa's digital economy expands, the demand for stable and clean electricity for data centers and industry is growing rapidly. This basket offers exposure to US-listed firms at the forefront of providing next-generation power solutions, from fuel cells to the infrastructure that supports them.

Published: September 11, 2025

Explore Basket
How to Invest Lagos (Multinational Stocks) | Guide

How to Invest Lagos (Multinational Stocks) | Guide

With Lagos's economy expanding due to massive population growth and new infrastructure, opportunities may arise for those looking to participate in its development. This collection offers potential exposure through US and EU-listed multinationals in sectors like construction, logistics, and consumer goods that are integral to Lagos's expansion.

Published: September 10, 2025

Explore Basket
Best REITs Nigeria: Beyond Traditional Property

Best REITs Nigeria: Beyond Traditional Property

Africa's rapid urbanization is creating massive demand for new housing, offices, and infrastructure, offering a significant growth opportunity for investors. This basket provides exposure to this trend through US and EU-listed global real estate giants, asset managers, and technology firms shaping Africa's property markets.

Published: September 10, 2025

Explore Basket
FTSE 100 Nigeria Exposure Explained

FTSE 100 Nigeria Exposure Explained

Many of the UK's largest public companies have significant operations across Africa, creating economic links that investors can explore for global diversification. This basket offers exposure to these globally recognised, UK-listed firms in sectors like energy, finance, and consumer goods that are active in the Nigerian market.

Published: September 10, 2025

Explore Basket
Best Dividend Stocks: Could Africa Exposure Pay Off?

Best Dividend Stocks: Could Africa Exposure Pay Off?

As economic uncertainty and inflation challenge savings in Nigeria, dividend-paying companies offer a potential source of regular income. This basket provides exposure to US/EU-listed multinational corporations with significant operations or consumer markets across Africa.

Published: September 9, 2025

Explore Basket
Russian Market Exposure: Commodity Risks & Alternatives

Russian Market Exposure: Commodity Risks & Alternatives

As global commodity markets shift, Nigerian investors may find new diversification opportunities in sectors historically influenced by Russia. This basket offers thematic exposure through major US and EU-listed multinational corporations operating in the global energy and materials sectors.

Published: September 9, 2025

Explore Basket
Devon Energy Stock: Could Global Peers Offer Better?

Devon Energy Stock: Could Global Peers Offer Better?

As global energy markets shift, Nigerian investors are increasingly looking for ways to diversify their portfolios beyond local assets. This basket offers potential exposure to the international energy sector through a collection of US and EU-listed oil and gas producers with operations or strategic interests relevant to Africa.

Published: September 9, 2025

Explore Basket
Energy Markets On Edge: The Tariff Threat

Energy Markets On Edge: The Tariff Threat

President Trump's ultimatum to Russia, threatening tariffs on buyers of its oil, has sent shockwaves through energy markets. This creates a potential investment opportunity in non-Russian oil and gas companies poised to benefit from supply disruptions and higher prices.

Published: July 30, 2025

Explore Basket
Unlocking Transatlantic Trade

Unlocking Transatlantic Trade

A recent trade agreement between the U.S. and E.U. aims to lower tariffs and boost transatlantic commerce. This deal creates a favorable environment for American exporters, particularly in the energy and agricultural sectors.

Published: July 29, 2025

Explore Basket
Energy Consolidation Wave: The Supermajor Acquisition Catalyst

Energy Consolidation Wave: The Supermajor Acquisition Catalyst

This carefully selected group of stocks represents companies positioned to benefit from the energy sector consolidation triggered by Chevron's $53 billion Hess acquisition. Our expert analysts have identified these opportunities across the energy value chain as potential targets or beneficiaries of this industry-transforming trend.

Published: July 21, 2025

Explore Basket
Energy Supermajor Consolidation

Energy Supermajor Consolidation

This carefully selected group of stocks captures the ripple effects of Chevron's game-changing $53 billion Hess acquisition. Our professional analysts have identified companies positioned to benefit from this new wave of energy sector consolidation, from competing supermajors to specialized service providers crucial for developing offshore mega-projects.

Published: July 20, 2025

Explore Basket
European Energy Pivot

European Energy Pivot

This carefully selected group of stocks represents companies at the forefront of Europe's urgent shift toward energy independence. Handpicked by our analysts, these firms are positioned to benefit from the massive investment in LNG infrastructure and renewable energy as Europe reduces its reliance on Russian gas.

Published: July 14, 2025

Explore Basket
UK Refinery Disruption

UK Refinery Disruption

The shutdown of a major UK refinery has created an urgent need for fuel imports. Our analysts have carefully selected companies positioned to benefit from this supply gap, including European refiners and tanker operators ready to meet the increased demand.

Published: July 3, 2025

Explore Basket
Economic Diversification Champions

Economic Diversification Champions

Invest in the ambitious transformation of Gulf nations moving beyond oil dependency. These carefully selected companies are at the forefront of building new economic pillars in technology, finance, and infrastructure, backed by massive government investment programs.

Published: June 17, 2025

Explore Basket

Why You’ll Want to Watch This Stock

📈

Commodity sensitivity

Eni’s earnings and cash flow are tied to oil and gas prices, so commodity cycles can cause swings in profitability; investors should note price volatility can affect returns.

🌍

Global footprint

The company operates across Europe, Africa and beyond, offering diversification but exposing it to geopolitical and regulatory risks in multiple jurisdictions.

Transition strategy

Eni is investing in gas and renewables as part of decarbonisation plans, though execution is capital‑intensive and progress will influence long‑term positioning.

Compare Eni with other stocks

EquinorEni

Equinor vs Eni

Equinor vs Eni: stock comparison

Marathon PetroleumEni

Marathon Petroleum vs Eni

Marathon Petroleum vs Eni

Kinder MorganEni

Kinder Morgan vs Eni

Kinder Morgan vs Eni

Why invest with Nemo?

Nemo Logo Fade
🆓

Zero Commission

Trade stocks, ETFs, and more with zero commission. Keep more of your returns.

🔒

Trusted & Regulated

Part of Exinity Group 2015, serving over a million customers globally.

💰

6% Interest on Cash

Earn 6% AER on uninvested cash with daily interest payments.

Discover More Opportunities

BP

BP p.l.c.

BP p.l.c. is a global energy company that provides energy products and services.

CNQ

Canadian Natural Resources Limited

Explores, produces, markets, and distributes oil and natural gas.

AR

Antero Resources Corporation

Antero Resources Corporation is an independent oil and natural gas company engaged in the acquisition, exploration, and development of natural gas, natural gas liquids, and oil properties in the United States.

Frequently asked questions