SLB LIMITED/NV (SLB) Risk Factors
EnergyLatest 10-K filed Jan 23, 2026Source: SEC EDGAR
WealthWire extracted and classified 15 risk factors from SLB LIMITED/NV’s latest SEC filing, mapping each to a standardized risk taxonomy so they can be compared across every company and sector. The breakdown below shows how those disclosures distribute across risk categories.
ESG & reputation
5 factorsTechnology
3 factorsLegal & regulatory
3 factorsMarket & business
2 factorsOperations & people
1 factorsFinancial
1 factorsRecent key developments
Concrete developments — dated events, named agreements and instruments, legal proceedings — that SLB LIMITED/NV surfaced in its latest filing.
- In March 2022, we suspended new investment and technology deployment to Russia operations.March 2022
- In July 2023, we halted shipments of products into Russia from all facilities worldwide due to international sanctions.July 2023
- Non-US operations accounted for approximately 82% of consolidated revenue in 2025.2025
- Russia represented approximately 4% of worldwide revenue during 2025.2025
- Net assets in Russia were approximately $0.7 billion as of December 31, 2025.December 31, 2025
- The acquisition of ChampionX may not realize anticipated synergies due to challenges in combining the businesses.
Go deeper on SLB
This page shows the category breakdown of the latest filing. The WealthWire API and dashboard add the full risk-factor text, multi-year trends, sector comparisons, and CSV export — for SLB and every other S&P 500 company.