MRC Global Inc (MRC)

Industry Oil & Gas Equipment & Services

This stock can be held in an Investment ISA and an Investment Account
Sell

$13.01

Buy

$13.07

arrow-down$-0.09 (-0.69%)

MRC Global Inc along with its subsidiaries is an industrial distributor of pipe, valves and fittings and related products and services to energy industries. Its other products are pipe, steel fitting, and tubular goods.
Prices updated at 14 May 2025, 14:41 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
3,646m4,172m3,662m2,560m2,666m3,197m3,266m3,011m
582m689m653m431m417m584m670m620m
46m127m103m-18m7m135m188m135m
1.263.042.81-0.700.264.225.764.48
50m74m39m-274m-14m75m114m55m
105m201m169m-209m52m168m226m171m
Sales, General and administrative536m562m550m449m410m449m482m485m
Interest expenses31m38m40m28m23m24m32m26m
Provision for income taxes-43m21m27m-9m-35m39m27m
Operating expenses536m562m550m449m410m449m482m485m
Income before taxes7m95m66m-283m-14m105m154m105m
Net income available to common shareholders26m50m15m-298m-38m51m90m26m
0.280.550.18-3.63-0.460.611.070.31
Net interest income-31m-38m-40m-28m-23m-24m-32m-26m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.270.540.18-3.63-0.460.61.050.3
Free cash flow per share-0.4859-1.90532.94223.311.0916-0.02370.88433.0425
Book value/share8.4959.02988.24244.22663.98474.33965.49136.5342
Debt equity ratio0.6877470.9826591.112151.6171431.46131.344560.3852461.040698

Balance sheet

20172018201920202021202220232024
Current assets1,318m1,465m1,218m966m899m1,142m1,155m921m
Current liabilities562m569m486m399m436m564m783m508m
Total capital1,636m1,727m1,544m1,084m973m1,078m852m900m
Total debt526m684m752m607m507m558m521m571m
Total equity1,114m1,047m997m705m678m741m843m516m
Total non current liabilities--------
Loans522m680m547m379m295m337m9m384m
Total assets2,340m2,434m2,325m1,781m1,671m1,895m1,886m1,624m
Total liabilities--------
Cash and cash equivalents48m43m32m119m48m32m131m63m
Common stock91m86m81m82m83m84m84m85m

Cash flow

20172018201920202021202220232024
Cash at beginning of period109m48m43m32m119m48m32m131m
Cash dividends paid-24m-24m-24m-24m-24m-24m-24m-23m
-78m-31m224m250m46m-31m166m248m
Investments (gains) losses-27m-14m-16m19m-7m-11m-14m-27m
48m43m32m119m48m32m131m63m
Net income--------
-48m-11m242m261m56m-20m181m276m
-30m-20m-18m-11m-10m-11m-15m-28m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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