Texas Pacific Land Corporation (TPL)

TPL · Energy · United States United States

Texas Pacific Land Corporation (TPL) is a company in the Energy sector, based in United States. The stock is held in 18 ETFs we track – with its largest weight of 0.54 % in XDW0 (msci-world-energy). Anyone holding one of these ETFs also owns a small indirect stake in Texas Pacific Land Corporation.

Above-average ETF coverage: 18 of the 95 ETFs we cover hold Texas Pacific Land Corporation, spread across 8 indices. That puts the stock in more ETFs than 79.6 % of the 4,334 stocks we cover.

Held in18 ETFs
Highest weight0.54 %
Indices8
SectorEnergy
CountryUnited States
ISINUS88262P1021

Data note 1

Price chart

Data note 2

Performance

Performance
Year to date+21.4 %1 year+11.8 %
1 month-3.4 %3 months-1.7 %
Calendar year 2025-22.1 %
52W

Data note 3

Measured in euros, Texas Pacific Land Corporation returned +23.6 % year to date and +14.4 % over one year. The gap to the dollar figures above comes from the exchange rate alone: each daily price is converted at the ECB euro reference rate for the same day.

Data note 4

Risk metrics

Max drawdown-52.6 %
Volatility p.a.49.7 %

Data note 5

Below peak-39.6 %
Beta to S&P 5000.33
Correlation to S&P 5000.09

The close on Sep 16, 2026 was 39.6 % below the highest close since Aug 12, 2024, reached on Nov 22, 2024. Over the last 252 trading days, on days when the S&P 500 rose or fell 1 %, Texas Pacific Land Corporation moved on average 0.33 % in the same direction. The correlation of 0.09 shows how reliable that average is: the broad market explained only a small share of the daily moves.

Data note 6

Correlated with

The strongest co-movers on top, the most inverse below. Low or negative values improve portfolio diversification.

Data note 7

Key financials

Latest reported fiscal year (FY2025, period end 2025-12-31) as filed with the SEC.

Revenue0.8 bn $
Net income0.5 bn $
Diluted EPS6.97 $
Net margin60.3 %
Return on equity33.0 %
Equity ratio89.9 %
Revenue growth+13.1 %
Revenue and profit by fiscal year
Fiscal yearRevenueNet incomeMargin
FY20230.60.464.2 %
FY20240.70.564.3 %
FY20250.80.560.3 %

Data note 8

Held in these ETFs

Held in these ETFs
ETFIndexWeightper €1,000 in the ETF
XDW0msci-world-energy0.54 %€5.40
WNRGmsci-world-energy0.54 %€5.40
XDEQmsci-world-quality0.20 %€2.00
SWWDmsci-world0.03 %€0.30
SPYL / SPY5sp5000.03 %€0.30
SXR8sp5000.03 %€0.30
SPPWmsci-world0.03 %€0.30
XD9U / XD9Dmsci-usa0.03 %€0.30
WIMImsci-world-imi0.02 %€0.20
SPYYmsci-acwi0.02 %€0.20
EUNLmsci-world0.02 %€0.20
IUSQmsci-acwi0.02 %€0.20
XDWD / XDWLmsci-world0.02 %€0.20
SPYI / SPSAmsci-acwi-imi0.01 %€0.10

Data note 9

The last column turns the weight into euros: this much of €1,000 invested in one of these funds is allocated to Texas Pacific Land Corporation as of the fund's latest holdings list.

Weight in EUNL since 2022

Sep 30, 2022Sep 16, 2026

In EUNL, a fund tracking the MSCI World, Texas Pacific Land Corporation had a weight of 0.02 % on Sep 30, 2022 and 0.02 % on Sep 16, 2026. Its share peaked at 0.04 % on Mar 31, 2025. The weight rises and falls with the stock's price relative to the other index members, and it also shifts when the index provider changes the composition.

Data note 10

How much Texas Pacific Land Corporation overlaps with other holdings in a portfolio is shown by the Portfolio X-Ray and the ETF overlap check.

Stocks with similar ETF exposure

Names that reach a portfolio through largely the same funds as Texas Pacific Land Corporation — the figure counts the ETFs holding both.

Data note 11

Key figures side by side

Key figures compared with stocks of similar ETF exposure
Stock1 yearVolatility p.a.Net marginRevenue growth
Texas Pacific Land Corporation+11.8 %49.7 %60.3 %+13.1 %
SLB Limited+48.4 %36.1 %9.4 %-1.6 %
Kinder Morgan Inc+12.9 %23.2 %20.1 %+12.7 %
ONEOK+27.7 %29.3 %10.1 %+55.0 %
EOG Resources+19.9 %28.9 %22.0 %-4.5 %
Williams Companies+22.3 %25.2 %17.6 %+17.9 %
Occidental Petroleum Corporation+24.3 %35.0 %21.8 %-5.0 %
Targa Resources+74.8 %32.3 %11.3 %+20.5 %
Valero Energy Corporation+148.0 %36.8 %

Return and volatility from our daily closing prices in US dollars; margin and growth from the latest SEC annual filing. Fiscal years do not all end on the same date.

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