Marathon Petroleum Corp (MPC)

Industry Oil & Gas Refining & Marketing

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

$162.52

Buy

$165.54

arrow-down$-1.17 (-0.71%)

Marathon Petroleum Corp is engaged in the oil & gas sector. The company is engaged in refining, marketing, retail and transportation of petroleum products in the United States.
Prices updated at 17 May 2025, 00:45 EDT
| Prices minimum 15 mins delay
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Prices in USD

Income statement

20172018201920202021202220232024
74,733m86,086m111,148m69,779m119,983m177,453m148,379m138,864m
5,530m6,869m8,695m671m6,611m22,567m16,506m9,287m
3,382m4,187m4,942m-2,707m3,353m18,970m12,586m5,248m
4.534.864.45-3.882.7910.698.483.78
3,432m2,780m2,637m-9,826m9,738m14,516m9,681m3,445m
6,083m6,812m7,689m-8,904m7,448m24,882m18,561m10,602m
Sales, General and administrative1,694m2,276m3,192m2,710m2,537m2,772m3,039m3,221m
Interest expenses625m945m1,231m1,333m1,267m1,198m1,265m1,308m
Provision for income taxes-460m764m784m-2,430m264m4,491m2,817m890m
Operating expenses2,148m2,682m3,753m3,378m3,258m3,597m3,920m4,039m
Income before taxes3,344m3,697m3,233m-13,612m2,817m20,469m13,989m5,957m
Net income available to common shareholders3,430m2,779m2,636m-9,827m9,736m14,508m9,672m3,442m
6.765.364-15.1315.3428.3123.7310.11
Net interest income-674m-929m-1,229m-1,374m-1,350m-998m-516m-839m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)6.75.283.97-15.1315.2428.3123.6310.08
Free cash flow per share4.17886.45676.8974-1.14350.884424.494335.398115.0028
Book value/share26.604922.302951.984634.4948.842857.938370.277259.9146
Debt equity ratio0.8780730.7670220.8701851.339880.9881320.9552591.069211.425303

Balance sheet

20172018201920202021202220232024
Current assets13,401m18,023m20,170m28,287m30,496m35,242m32,131m24,447m
Current liabilities10,478m13,216m16,147m15,663m17,898m20,020m20,150m20,827m
Total capital26,355m62,155m61,821m50,929m51,174m53,349m49,733m42,177m
Total debt12,946m27,524m31,317m33,095m26,904m27,909m28,501m28,758m
Total equity14,033m35,175m33,694m22,199m26,206m27,715m24,404m17,745m
Total non current liabilities--------
Loans12,322m26,980m28,127m28,730m24,968m25,634m25,329m24,432m
Total assets49,047m92,940m98,556m85,158m85,373m89,904m85,987m78,858m
Total liabilities--------
Cash and cash equivalents3,011m1,687m1,527m415m5,291m8,625m5,443m3,210m
Common stock486m680m649m651m579m454m368m316m

Cash flow

20172018201920202021202220232024
Cash at beginning of period887m3,015m1,725m1,395m416m5,294m8,631m5,446m
Cash dividends paid-773m-954m-1,398m-1,510m-1,484m-1,279m-1,261m-1,154m
3,877m2,580m4,067m-368m2,896m13,941m12,227m6,132m
Investments (gains) losses-3,394m-7,670m-6,261m-3,257m14,797m623m-3,095m1,534m
3,011m1,725m1,529m416m5,294m8,631m5,446m3,211m
Net income--------
6,609m6,158m9,441m2,419m4,360m16,361m14,117m8,665m
-2,732m-3,578m-5,374m-2,787m-1,464m-2,420m-1,890m-2,533m
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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