Inside the research

Texas Pacific Land Corporation

TPL Research profile · latest available data

Price overview

$341.07

▲ +2.82 (+0.8%)

52w hi$538.10
52w lo$272.40
Vol287.80K
As of25 Sep 2026

The Verdict

Hold

Our score +0.03

Short-0.41
Medium+0.16
Long+0.64

computed 2026-09-27

Key fundamentals

Texas Pacific Land Corporation

Energy · Oil & Gas E&P

Market cap$23.53B
Enterprise value$23.29B
Trailing P/E43.50x
Forward P/E4.66x
EV / EBITDA31.41x
P / S (ttm)26.21x
Profit margin60.3%
Return on equity36.6%
Revenue growth+31.2%
Earnings growth+32.7%
Debt / equity1.08

Layer Breakdown

LayerRawContribution
Fundamental+0.42
Sector+0.09
Technical-0.23
Earnings+0.00
Sentiment+0.00

macro × 1.00 · 2026-09-27

Business overview

Texas Pacific Land Corporation engages in the land and resource management, and water services and operations businesses. The Land and Resource Management segment manages surface acres of land, and oil and gas royalty interest in Permian Basin. This segment also engages in easements, such as transporting oil, gas and related hydrocarbons, power line and utility, and subsurface wellbore easements. In addition, this segment leases its land for processing, storage, and compression facilities and roads; and is involved in sale of materials, such as caliche, sand, and other material, as well as sells land. The Water Services and Operations segment provides full-service water offerings, including water sourcing, produced-water treatment, infrastructure development, and disposal solutions to operators in the Permian Basin. This segment also holds produced water royalties. The company owns a 1/128th nonparticipating perpetual oil and gas royalty interest (NPRI) under approximately 85,000 acres of land; a 1/16th NPRI under approximately 371,000 acres of land; and approximately 33,000 additional net royalty acres, total of approximately 224,000 NRA located in the Permian Basin. The company was founded in 1888 and is headquartered in Dallas, Texas.

United States · www.texaspacific.com

Risk Metrics

Beta vs SPX1.09
Corr SPX0.35
Annual vol50.4%
Annual ret+17.2%
Sharpe0.34
Max DD-52.6%

Window: 504 trading days (504 obs)

Analyst Coverage

Mean PT$445.00
High / Low$639.00 / $251.00
Median$445.00
Analysts2
Strong Buy0
Buy1
Hold0
Sell1
Strong Sell0

Recent rating actions

2026-02-23Keybanc→ Overweight
2025-12-02Keybanc→ Overweight
2024-08-12BWS Financial→ Buy
2024-05-10BWS Financial→ Buy
2024-04-02BWS Financial→ Buy
2024-01-23Stifel→ Hold

Material Events

DateEvent8-K
2026-08-05Earnings Release, Reg FD Disclosure…read
2026-06-23Reg FD Disclosure, Exhibitsread
2026-05-18Reg FD Disclosure, Exhibitsread
2026-05-06Material Agreement, Earnings Release…read
2026-04-09Reg FD Disclosure, Exhibitsread
2026-02-18Earnings Release, Reg FD Disclosure…read
2025-12-17Reg FD Disclosure, Exhibitsread
2025-12-02Bylaws Amendment, Reg FD Disclosure…read
2025-11-12Shareholder Voteread
2025-11-05Earnings Release, Reg FD Disclosure…read
2025-10-27Material Agreement, Material Obligation…read
2025-08-27Officer / Director Changeread

Dividends

Yield (TTM)0.33%
$ / share (TTM)$1.13
5y CAGR-5.9%

Annual dividend per share

2021$1.22
2022$3.56
2023$1.44
2024$5.04
2025$2.13
2026$0.60

SEC Filings

DateFormDoc
2026-08-144view
2026-08-134view
2026-08-124view
2026-08-114view
2026-08-104view
2026-08-074view
2026-08-064view
2026-08-058-Kview
2026-08-0510-Qview
2026-08-054view
2026-08-044view
2026-08-034view
2026-07-314view
2026-07-304view
2026-07-294view

The Long Run

FY 2020–2025 · 6 years

LineLatestCAGRTrend
Revenue$631.60M+61.6%
Operating income$592.16M+17.8%
Net income$481.38M+8.6%
Cash from ops$545.91M+21.4%

Indices

S&P 500

Recent Sessions

DateOpenHighLowCloseVol
Sep 25$333.88$343.38$332.21$341.07287.80K
Sep 24$338.16$342.67$334.13$338.25345.50K
Sep 23$357.98$358.95$335.00$335.74432.90K
Sep 22$366.38$366.38$354.64$355.24448.40K
Sep 21$349.74$369.46$343.40$366.80606.80K

Understand the score. Research layers are inputs to a model, and the available data has limits.

Read the methodology →