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COM:MPLX

MPLX

  • Stock

USD

Last Close

48.27

22/11 21:00

Market Cap

42.51B

Beta: -

Volume Today

2.46M

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
146.10M
-
178.10M
21.90%
157M
11.85%
258M
64.33%
836M
224.03%
1.83B
119.38%
1.46B
20.28%
-687M
146.99%
3.11B
552.98%
3.98B
27.83%
3.93B
1.26%
depreciation and amortization
48.90M
-
50.20M
2.66%
89M
77.29%
546M
513.48%
683M
25.09%
766M
12.15%
1.25B
63.71%
1.38B
9.81%
1.29B
6.54%
1.23B
4.43%
1.21B
1.38%
deferred income tax
100K
-
2M
-
-17M
950%
-1M
94.12%
8M
900%
-2M
125%
-1M
50%
-2M
100%
3M
250%
3M
0%
stock based compensation
13M
-
351M
2,600%
163M
53.56%
162M
0.61%
1.43B
780.25%
3.56B
149.93%
216M
93.94%
-2.47B
-
change in working capital
23M
-
18.60M
19.13%
-38M
304.30%
89M
334.21%
147M
65.17%
-41M
127.89%
-108M
163.41%
204M
288.89%
202M
0.98%
121M
40.10%
130M
7.44%
accounts receivables
17M
-
62M
264.71%
-199M
420.97%
14M
107.04%
14M
0%
inventory
1.30M
-
900K
30.77%
1M
11.11%
-8M
900%
-3M
62.50%
-5M
66.67%
-9M
80%
-12M
33.33%
-24M
100%
-5M
79.17%
-19M
280%
accounts payables
-59M
-
36M
161.02%
193M
436.11%
-33M
117.10%
-40M
21.21%
other working capital
21.70M
-
17.70M
18.43%
-39M
320.34%
97M
348.72%
150M
54.64%
-36M
124%
-57M
58.33%
118M
307.02%
232M
96.61%
145M
37.50%
175M
20.69%
other non cash items
-5.90M
-
-100K
98.31%
16M
16,100%
61M
281.25%
79M
29.51%
97M
22.78%
50M
48.45%
64M
28.00%
96M
50%
-313M
426.04%
2.60B
929.71%
net cash provided by operating activities
212.20M
-
246.80M
16.31%
239M
3.16%
1.29B
438.91%
1.91B
48.06%
2.83B
48.19%
4.08B
44.44%
4.52B
10.75%
4.91B
8.63%
5.02B
2.20%
5.40B
7.59%
investments in property plant and equipment
-106.50M
-
-78.60M
26.20%
-264M
235.88%
-1.21B
356.82%
-1.41B
17.00%
-1.92B
36.00%
-2.41B
25.48%
-1.18B
50.87%
-529M
55.28%
-806M
52.36%
-937M
16.25%
acquisitions net
-1.23B
-
-87M
92.94%
-1.01B
1,060.92%
-792M
21.58%
-707M
10.73%
-266M
62.38%
-151M
43.23%
-245M
62.25%
-220M
10.20%
purchases of investments
26M
-
-713M
-
-266M
62.69%
-151M
43.23%
-217M
43.71%
-98M
54.84%
sales maturities of investments
77M
-
80M
3.90%
713M
-
266M
62.69%
151M
43.23%
217M
43.71%
-26M
111.98%
other investing activites
-7.10M
-
3.50M
149.30%
-2M
157.14%
4M
300%
8M
100%
25M
212.50%
52M
108%
187M
259.62%
162M
13.37%
95M
41.36%
26M
72.63%
net cash used for investing activites
-113.60M
-
-75.10M
33.89%
-1.50B
1,894.67%
-1.21B
19.09%
-2.31B
90.35%
-2.69B
16.43%
-3.06B
14.04%
-1.26B
58.80%
-518M
58.95%
-956M
84.56%
-1.25B
31.28%
debt repayment
-700K
-
-525.90M
75,028.57%
-1.73B
229.72%
-3.85B
122.15%
-2.40B
37.72%
-11.13B
363.82%
-16.64B
49.57%
-13.27B
20.25%
-12.86B
3.07%
-6.64B
48.38%
-573M
91.37%
common stock issued
230.10M
-
170M
26.12%
1.78B
944.71%
483M
72.80%
13.07B
-
12.67B
3.11%
600M
-
common stock repurchased
250M
-
1.78B
611.60%
-25M
101.41%
-25M
0%
-33M
-
-630M
1,809.09%
-491M
22.06%
-600M
22.20%
dividends paid
-77.80M
-
-103.10M
32.52%
-158M
53.25%
-974M
516.46%
-3.23B
231.52%
-6.00B
85.85%
-3.04B
49.36%
-3.01B
1.09%
-3.57B
18.86%
-3.05B
14.72%
-3.30B
8.17%
other financing activites
-182.70M
-
-49.60M
72.85%
1.22B
2,555.65%
3.19B
161.90%
5.34B
67.43%
17.05B
219.32%
18.59B
9.02%
-22M
100.12%
4M
118.18%
6.34B
158,425%
534M
91.58%
net cash used provided by financing activities
-261.20M
-
-198.50M
24.00%
1.27B
742.32%
115M
90.98%
171M
48.70%
-73M
142.69%
-1.09B
1,391.78%
-3.26B
199.27%
-4.39B
34.86%
-3.84B
12.67%
-3.33B
13.11%
effect of forex changes on cash
net change in cash
-162.60M
-
-26.80M
83.52%
16M
159.70%
191M
1,093.75%
-229M
219.90%
67M
129.26%
-70M
204.48%
-2M
-
225M
11,350%
810M
260%
cash at beginning of period
216.70M
-
54.10M
75.03%
27M
50.09%
43M
59.26%
234M
444.19%
9M
96.15%
85M
844.44%
15M
82.35%
15M
0%
13M
13.33%
238M
1,730.77%
cash at end of period
54.10M
-
27.30M
49.54%
43M
57.51%
234M
444.19%
5M
97.86%
76M
1,420%
15M
80.26%
15M
0%
13M
13.33%
238M
1,730.77%
1.05B
340.34%
operating cash flow
212.20M
-
246.80M
16.31%
239M
3.16%
1.29B
438.91%
1.91B
48.06%
2.83B
48.19%
4.08B
44.44%
4.52B
10.75%
4.91B
8.63%
5.02B
2.20%
5.40B
7.59%
capital expenditure
-106.50M
-
-78.60M
26.20%
-264M
235.88%
-1.21B
356.82%
-1.41B
17.00%
-1.92B
36.00%
-2.41B
25.48%
-1.18B
50.87%
-529M
55.28%
-806M
52.36%
-937M
16.25%
free cash flow
105.70M
-
168.20M
59.13%
-25M
114.86%
82M
428%
496M
504.88%
907M
82.86%
1.67B
84.56%
3.34B
99.40%
4.38B
31.28%
4.21B
3.86%
4.46B
5.93%

All numbers in USD (except ratios and percentages)