US Stock MarketDetailed Quotes

MPC Marathon Petroleum

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  • 175.830
  • +1.680+0.96%
Close Aug 9 16:00 ET
  • 175.990
  • +0.160+0.09%
Post 20:02 ET
58.85BMarket Cap9.22P/E (TTM)

Marathon Petroleum Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-18.62%3.24B
-62.24%1.53B
-13.49%14.12B
-73.86%1.12B
97.02%4.95B
-43.05%3.98B
61.44%4.06B
94.64%16.32B
-11.20%4.3B
44.07%2.51B
Net income from continuing operations
-24.22%1.96B
-57.46%1.31B
-30.39%11.17B
-48.45%1.88B
-27.67%3.63B
-58.50%2.58B
163.14%3.08B
45.90%16.05B
229.50%3.64B
387.38%5.02B
Operating gains losses
-75.96%-366M
-470.37%-154M
36.13%-1.08B
-72.99%-237M
48.99%-608M
-2.97%-208M
83.13%-27M
-75.78%-1.69B
-28.04%-137M
-88.31%-1.19B
Depreciation and amortization
0.48%838M
3.38%827M
2.86%3.31B
3.89%828M
6.42%845M
1.83%834M
-0.62%800M
-4.43%3.22B
-1.97%797M
-5.02%794M
Deferred tax
-322.22%-60M
-600.00%-35M
140.38%107M
-75.78%-283M
1,700.00%368M
268.75%27M
92.31%-5M
-113.80%-265M
-110.32%-161M
-105.91%-23M
Other non cash items
266.67%15M
1.55%-254M
13.88%-490M
-15,300.00%-152M
78.22%-71M
94.89%-9M
-279.41%-258M
93.32%-569M
-98.15%1M
-262.22%-326M
Change In working capital
10.51%568M
-252.14%-426M
113.41%160M
-1,495.89%-1.17B
127.00%531M
188.76%514M
-58.15%280M
-228.14%-1.19B
-105.95%-73M
-4,034.00%-1.97B
-Change in receivables
263.94%882M
-125.18%-964M
185.18%1.97B
1,500.00%896M
-156.61%-2.21B
67.49%-538M
182.73%3.83B
56.31%-2.32B
103.65%56M
2,048.90%3.91B
-Change in inventory
-102.59%-19M
67.94%-462M
37.87%-489M
-18.25%824M
-151.10%-605M
147.11%733M
-1.26%-1.44B
-2,284.85%-787M
-14.07%1.01B
463.19%1.18B
-Change in payables and accrued expense
----
----
-168.94%-1.32B
-153.61%-2.88B
----
----
----
-69.50%1.91B
-171.45%-1.14B
-3,758.55%-7.06B
-Change in other working capital
-192.48%-295M
147.46%1B
---7M
---4M
178,600.00%1.79B
--319M
-105,450.00%-2.11B
----
----
-200.00%-1M
Cash from discontinued investing activities
0
0
101.04%42M
107.39%86M
0
Operating cash flow
-18.62%3.24B
-62.24%1.53B
-13.72%14.12B
-74.37%1.12B
97.02%4.95B
-42.69%3.98B
61.44%4.06B
275.25%16.36B
19.27%4.38B
318.99%2.51B
Investing cash flow
Cash flow from continuing investing activities
101.93%17M
-0.98%-824M
-596.79%-3.1B
-93.57%-964M
-186.83%-435M
19.12%-880M
-147.78%-816M
109.56%623M
-134.39%-498M
123.49%501M
Net PPE purchase and sale
-1.25%-487M
-28.01%-585M
21.90%-1.89B
26.72%-532M
40.09%-420M
3.41%-481M
7.68%-457M
-65.30%-2.42B
-50.94%-726M
-85.94%-701M
Net business purchase and sale
84.80%-45M
---622M
40.44%-246M
27.43%-246M
--296M
---296M
--0
---413M
---339M
--0
Net investment purchase and sale
229.77%497M
155.51%292M
-166.76%-1.7B
-154.61%-243M
-157.25%-545M
54.19%-383M
-126.55%-526M
144.45%2.54B
-74.45%445M
149.22%952M
Net other investing changes
-81.43%52M
-45.51%91M
-19.26%738M
-53.28%57M
-6.40%234M
-12.50%280M
-24.77%167M
37.24%914M
-34.76%122M
40.45%250M
Cash from discontinued investing activities
Investing cash flow
101.93%17M
-0.98%-824M
-596.79%-3.1B
-93.57%-964M
-186.83%-435M
19.12%-880M
-147.78%-816M
-95.79%623M
-134.39%-498M
124.39%501M
Financing cash flow
Cash flow from continuing financing activities
46.42%-1.99B
23.80%-2.98B
-4.10%-14.21B
-20.22%-3.17B
27.66%-3.41B
5.39%-3.72B
-65.27%-3.91B
5.35%-13.65B
53.78%-2.64B
-70.71%-4.72B
Net issuance payments of debt
7,413.64%1.61B
-102.99%-17M
-53.59%510M
22.73%-17M
29.63%-19M
-15.79%-22M
-51.33%568M
117.52%1.1B
98.87%-22M
97.35%-27M
Net common stock issuance
5.56%-2.89B
30.22%-2.21B
1.45%-11.51B
-40.78%-2.5B
28.40%-2.79B
6.20%-3.06B
-15.02%-3.16B
-156.79%-11.68B
34.32%-1.78B
-327.58%-3.89B
Cash dividends paid
8.23%-290M
11.28%-299M
1.41%-1.26B
11.40%-311M
-4.21%-297M
-0.96%-316M
-2.12%-337M
13.81%-1.28B
0.85%-351M
22.97%-285M
Net other financing activities
-30.86%-424M
53.44%-454M
-8.84%-1.95B
30.31%-338M
39.65%-309M
4.71%-324M
-116.19%-975M
15.42%-1.79B
29.81%-485M
-10.34%-512M
Cash from discontinued financing activities
Financing cash flow
46.42%-1.99B
23.80%-2.98B
-4.10%-14.21B
-20.22%-3.17B
27.66%-3.41B
5.39%-3.72B
-65.27%-3.91B
5.35%-13.65B
53.78%-2.64B
-70.71%-4.72B
Net cash flow
Beginning cash position
-60.11%3.18B
-36.90%5.45B
63.03%8.63B
14.53%8.46B
-19.09%7.35B
11.38%7.97B
63.03%8.63B
1,172.60%5.29B
25.67%7.38B
-23.28%9.08B
Current changes in cash
305.52%1.27B
-240.69%-2.27B
-195.45%-3.19B
-341.19%-3.01B
165.12%1.11B
-131.88%-616M
-135.86%-666M
-31.59%3.34B
314.80%1.25B
71.50%-1.7B
End cash Position
-39.54%4.44B
-60.11%3.18B
-36.90%5.45B
-36.90%5.45B
14.53%8.46B
-19.09%7.35B
11.38%7.97B
63.03%8.63B
63.03%8.63B
25.67%7.38B
Free cash flow
-21.35%2.76B
-73.69%947M
-12.29%12.23B
-83.83%591M
150.03%4.53B
-45.72%3.5B
78.39%3.6B
381.39%13.94B
14.50%3.66B
218.89%1.81B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -18.62%3.24B-62.24%1.53B-13.49%14.12B-73.86%1.12B97.02%4.95B-43.05%3.98B61.44%4.06B94.64%16.32B-11.20%4.3B44.07%2.51B
Net income from continuing operations -24.22%1.96B-57.46%1.31B-30.39%11.17B-48.45%1.88B-27.67%3.63B-58.50%2.58B163.14%3.08B45.90%16.05B229.50%3.64B387.38%5.02B
Operating gains losses -75.96%-366M-470.37%-154M36.13%-1.08B-72.99%-237M48.99%-608M-2.97%-208M83.13%-27M-75.78%-1.69B-28.04%-137M-88.31%-1.19B
Depreciation and amortization 0.48%838M3.38%827M2.86%3.31B3.89%828M6.42%845M1.83%834M-0.62%800M-4.43%3.22B-1.97%797M-5.02%794M
Deferred tax -322.22%-60M-600.00%-35M140.38%107M-75.78%-283M1,700.00%368M268.75%27M92.31%-5M-113.80%-265M-110.32%-161M-105.91%-23M
Other non cash items 266.67%15M1.55%-254M13.88%-490M-15,300.00%-152M78.22%-71M94.89%-9M-279.41%-258M93.32%-569M-98.15%1M-262.22%-326M
Change In working capital 10.51%568M-252.14%-426M113.41%160M-1,495.89%-1.17B127.00%531M188.76%514M-58.15%280M-228.14%-1.19B-105.95%-73M-4,034.00%-1.97B
-Change in receivables 263.94%882M-125.18%-964M185.18%1.97B1,500.00%896M-156.61%-2.21B67.49%-538M182.73%3.83B56.31%-2.32B103.65%56M2,048.90%3.91B
-Change in inventory -102.59%-19M67.94%-462M37.87%-489M-18.25%824M-151.10%-605M147.11%733M-1.26%-1.44B-2,284.85%-787M-14.07%1.01B463.19%1.18B
-Change in payables and accrued expense ---------168.94%-1.32B-153.61%-2.88B-------------69.50%1.91B-171.45%-1.14B-3,758.55%-7.06B
-Change in other working capital -192.48%-295M147.46%1B---7M---4M178,600.00%1.79B--319M-105,450.00%-2.11B---------200.00%-1M
Cash from discontinued investing activities 00101.04%42M107.39%86M0
Operating cash flow -18.62%3.24B-62.24%1.53B-13.72%14.12B-74.37%1.12B97.02%4.95B-42.69%3.98B61.44%4.06B275.25%16.36B19.27%4.38B318.99%2.51B
Investing cash flow
Cash flow from continuing investing activities 101.93%17M-0.98%-824M-596.79%-3.1B-93.57%-964M-186.83%-435M19.12%-880M-147.78%-816M109.56%623M-134.39%-498M123.49%501M
Net PPE purchase and sale -1.25%-487M-28.01%-585M21.90%-1.89B26.72%-532M40.09%-420M3.41%-481M7.68%-457M-65.30%-2.42B-50.94%-726M-85.94%-701M
Net business purchase and sale 84.80%-45M---622M40.44%-246M27.43%-246M--296M---296M--0---413M---339M--0
Net investment purchase and sale 229.77%497M155.51%292M-166.76%-1.7B-154.61%-243M-157.25%-545M54.19%-383M-126.55%-526M144.45%2.54B-74.45%445M149.22%952M
Net other investing changes -81.43%52M-45.51%91M-19.26%738M-53.28%57M-6.40%234M-12.50%280M-24.77%167M37.24%914M-34.76%122M40.45%250M
Cash from discontinued investing activities
Investing cash flow 101.93%17M-0.98%-824M-596.79%-3.1B-93.57%-964M-186.83%-435M19.12%-880M-147.78%-816M-95.79%623M-134.39%-498M124.39%501M
Financing cash flow
Cash flow from continuing financing activities 46.42%-1.99B23.80%-2.98B-4.10%-14.21B-20.22%-3.17B27.66%-3.41B5.39%-3.72B-65.27%-3.91B5.35%-13.65B53.78%-2.64B-70.71%-4.72B
Net issuance payments of debt 7,413.64%1.61B-102.99%-17M-53.59%510M22.73%-17M29.63%-19M-15.79%-22M-51.33%568M117.52%1.1B98.87%-22M97.35%-27M
Net common stock issuance 5.56%-2.89B30.22%-2.21B1.45%-11.51B-40.78%-2.5B28.40%-2.79B6.20%-3.06B-15.02%-3.16B-156.79%-11.68B34.32%-1.78B-327.58%-3.89B
Cash dividends paid 8.23%-290M11.28%-299M1.41%-1.26B11.40%-311M-4.21%-297M-0.96%-316M-2.12%-337M13.81%-1.28B0.85%-351M22.97%-285M
Net other financing activities -30.86%-424M53.44%-454M-8.84%-1.95B30.31%-338M39.65%-309M4.71%-324M-116.19%-975M15.42%-1.79B29.81%-485M-10.34%-512M
Cash from discontinued financing activities
Financing cash flow 46.42%-1.99B23.80%-2.98B-4.10%-14.21B-20.22%-3.17B27.66%-3.41B5.39%-3.72B-65.27%-3.91B5.35%-13.65B53.78%-2.64B-70.71%-4.72B
Net cash flow
Beginning cash position -60.11%3.18B-36.90%5.45B63.03%8.63B14.53%8.46B-19.09%7.35B11.38%7.97B63.03%8.63B1,172.60%5.29B25.67%7.38B-23.28%9.08B
Current changes in cash 305.52%1.27B-240.69%-2.27B-195.45%-3.19B-341.19%-3.01B165.12%1.11B-131.88%-616M-135.86%-666M-31.59%3.34B314.80%1.25B71.50%-1.7B
End cash Position -39.54%4.44B-60.11%3.18B-36.90%5.45B-36.90%5.45B14.53%8.46B-19.09%7.35B11.38%7.97B63.03%8.63B63.03%8.63B25.67%7.38B
Free cash flow -21.35%2.76B-73.69%947M-12.29%12.23B-83.83%591M150.03%4.53B-45.72%3.5B78.39%3.6B381.39%13.94B14.50%3.66B218.89%1.81B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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