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MRO Marathon Oil

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  • 27.270
  • -0.430-1.55%
Close Nov 1 16:00 ET
  • 27.270
  • 0.0000.00%
Post 20:02 ET
15.25BMarket Cap10.65P/E (TTM)

Marathon Oil 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
Assets
Current assets
Cash, cash equivalents and short term investments
-64.19%77M
-72.47%49M
-53.59%155M
-53.59%155M
-84.31%174M
-81.50%215M
-73.86%178M
-42.41%334M
-42.41%334M
128.66%1.11B
-Cash and cash equivalents
-64.19%77M
-72.47%49M
-53.59%155M
-53.59%155M
-84.31%174M
-81.50%215M
-73.86%178M
-42.41%334M
-42.41%334M
128.66%1.11B
Receivables
3.55%1.34B
5.02%1.28B
0.52%1.15B
0.52%1.15B
5.60%1.43B
-14.42%1.29B
-15.80%1.22B
0.35%1.15B
0.35%1.15B
27.15%1.36B
-Accounts receivable
3.55%1.34B
5.02%1.28B
0.52%1.15B
0.52%1.15B
5.60%1.43B
-14.42%1.29B
-15.80%1.22B
0.35%1.15B
0.35%1.15B
27.15%1.36B
Inventory
18.38%161M
31.62%179M
48.80%186M
48.80%186M
68.93%174M
46.24%136M
74.36%136M
62.34%125M
62.34%125M
33.77%103M
Other current assets
-29.31%41M
-31.17%53M
15.15%76M
15.15%76M
0.00%66M
41.46%58M
175.00%77M
200.00%66M
200.00%66M
164.00%66M
Total current assets
-4.93%1.62B
-3.05%1.56B
-6.10%1.57B
-6.10%1.57B
-29.89%1.85B
-39.35%1.7B
-27.98%1.61B
-8.24%1.67B
-8.24%1.67B
59.27%2.64B
Non current assets
Net PPE
-0.78%17.39B
-0.92%17.3B
-0.94%17.21B
-0.94%17.21B
22.23%17.41B
22.06%17.52B
21.09%17.46B
19.85%17.38B
19.85%17.38B
-3.32%14.25B
-Gross PPE
4.61%44.37B
4.58%43.72B
4.54%43.13B
4.54%43.13B
13.49%42.79B
13.18%42.41B
12.47%41.81B
11.76%41.25B
11.76%41.25B
2.88%37.7B
-Accumulated depreciation
-8.41%-26.98B
-8.52%-26.42B
-8.54%-25.91B
-8.54%-25.91B
-8.18%-25.38B
-7.67%-24.89B
-7.00%-24.35B
-6.53%-23.88B
-6.53%-23.88B
-7.05%-23.46B
Investments and advances
-2.09%421M
-28.16%472M
-24.96%433M
-24.96%433M
-25.88%421M
-18.56%430M
25.86%657M
28.22%577M
28.22%577M
16.16%568M
Non current deferred assets
----
----
----
----
----
----
----
----
----
--155M
Other non current assets
19.47%313M
17.48%336M
14.29%360M
14.29%360M
-5.91%239M
-2.24%262M
13.04%286M
40.63%315M
40.63%315M
-10.25%254M
Total non current assets
-0.52%18.12B
-1.60%18.11B
-1.44%18.01B
-1.44%18.01B
18.72%18.07B
17.69%18.22B
16.86%18.41B
20.40%18.27B
20.40%18.27B
-1.83%15.22B
Total assets
-0.90%19.74B
-1.72%19.67B
-1.83%19.58B
-1.83%19.58B
11.54%19.92B
8.93%19.92B
11.30%20.01B
17.34%19.94B
17.34%19.94B
4.06%17.86B
Liabilities
Current liabilities
Payables
5.74%1.79B
-0.47%1.69B
1.30%1.56B
1.30%1.56B
3.07%1.78B
-1.57%1.69B
12.38%1.7B
14.84%1.54B
14.84%1.54B
40.96%1.72B
-accounts payable
1.76%1.56B
2.30%1.51B
6.65%1.36B
6.65%1.36B
6.89%1.58B
0.92%1.54B
13.93%1.48B
15.23%1.28B
15.23%1.28B
43.97%1.48B
-Total tax payable
48.04%151M
-23.30%135M
-26.32%126M
-26.32%126M
-23.81%128M
-28.67%102M
4.14%176M
8.92%171M
8.92%171M
28.24%168M
-Other payable
42.00%71M
-2.44%40M
-22.22%70M
-22.22%70M
-11.84%67M
0.00%50M
-2.38%41M
21.62%90M
21.62%90M
18.75%76M
Current debt and capital lease obligation
453.44%725M
548.85%850M
409.95%2.05B
409.95%2.05B
111.44%850M
-52.01%131M
23.58%131M
1,016.67%402M
1,016.67%402M
1,016.67%402M
-Current debt
453.44%725M
548.85%850M
409.95%2.05B
409.95%2.05B
111.44%850M
-52.01%131M
23.58%131M
1,016.67%402M
1,016.67%402M
1,016.67%402M
Other current liabilities
4.59%319M
-2.52%310M
-14.29%312M
-14.29%312M
-8.52%279M
-21.39%305M
-21.48%318M
40.00%364M
40.00%364M
-26.86%305M
Current liabilities
33.18%2.83B
32.76%2.85B
70.08%3.92B
70.08%3.92B
19.54%2.91B
-10.60%2.13B
6.19%2.15B
40.87%2.31B
40.87%2.31B
45.05%2.43B
Non current liabilities
Long term provisions
12.37%336M
11.15%329M
10.51%326M
10.51%326M
8.83%308M
7.55%299M
0.00%296M
2.43%295M
2.43%295M
-1.05%283M
Long term debt and capital lease obligation
-20.13%4.57B
-20.01%4.58B
-38.82%3.38B
-38.82%3.38B
36.24%4.88B
54.33%5.72B
46.44%5.72B
38.79%5.52B
38.79%5.52B
-10.01%3.58B
-Long term debt
-20.13%4.57B
-20.01%4.58B
-38.82%3.38B
-38.82%3.38B
36.24%4.88B
54.33%5.72B
46.44%5.72B
38.79%5.52B
38.79%5.52B
-10.01%3.58B
Non current deferred liabilities
66.35%702M
87.50%675M
102.80%651M
102.80%651M
95.02%509M
58.65%422M
39.53%360M
19.78%321M
19.78%321M
-9.69%261M
Employee benefits
-10.48%94M
-6.06%93M
-7.00%93M
-7.00%93M
-19.66%94M
-15.32%105M
-25.00%99M
-27.01%100M
-27.01%100M
-14.60%117M
Total non current liabilities
-12.92%5.7B
-12.40%5.68B
-28.68%4.45B
-28.68%4.45B
36.49%5.79B
49.65%6.55B
41.01%6.48B
33.53%6.24B
33.53%6.24B
-9.58%4.24B
Total liabilities
-1.63%8.53B
-1.16%8.52B
-2.03%8.37B
-2.03%8.37B
30.31%8.69B
28.44%8.68B
30.37%8.62B
35.43%8.54B
35.43%8.54B
4.81%6.67B
Shareholders'equity
Share capital
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
-common stock
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
0.00%937M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
11.06%12.49B
10.73%12.2B
12.22%11.97B
12.22%11.97B
14.10%11.63B
19.18%11.24B
29.26%11.02B
46.65%10.66B
46.65%10.66B
52.89%10.2B
Paid-in capital
-0.25%7.14B
-0.28%7.13B
-0.43%7.17B
-0.43%7.17B
-0.46%7.16B
-0.38%7.16B
-0.40%7.15B
-0.25%7.2B
-0.25%7.2B
-0.24%7.2B
Less: Treasury stock
15.22%9.43B
17.75%9.2B
19.17%8.95B
19.17%8.95B
18.76%8.6B
33.83%8.19B
45.73%7.81B
55.69%7.51B
55.69%7.51B
76.37%7.24B
Gains losses not affecting retained earnings
-18.09%77M
-19.19%80M
-22.64%82M
-22.64%82M
-8.16%90M
0.00%94M
10.00%99M
29.27%106M
29.27%106M
19.51%98M
Total stockholders'equity
-0.34%11.21B
-2.14%11.14B
-1.68%11.21B
-1.68%11.21B
0.35%11.23B
-2.50%11.24B
0.19%11.39B
6.65%11.4B
6.65%11.4B
3.62%11.19B
Total equity
-0.34%11.21B
-2.14%11.14B
-1.68%11.21B
-1.68%11.21B
0.35%11.23B
-2.50%11.24B
0.19%11.39B
6.65%11.4B
6.65%11.4B
3.62%11.19B
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
--
--
--
--
--
--
--
(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
Assets
Current assets
Cash, cash equivalents and short term investments -64.19%77M-72.47%49M-53.59%155M-53.59%155M-84.31%174M-81.50%215M-73.86%178M-42.41%334M-42.41%334M128.66%1.11B
-Cash and cash equivalents -64.19%77M-72.47%49M-53.59%155M-53.59%155M-84.31%174M-81.50%215M-73.86%178M-42.41%334M-42.41%334M128.66%1.11B
Receivables 3.55%1.34B5.02%1.28B0.52%1.15B0.52%1.15B5.60%1.43B-14.42%1.29B-15.80%1.22B0.35%1.15B0.35%1.15B27.15%1.36B
-Accounts receivable 3.55%1.34B5.02%1.28B0.52%1.15B0.52%1.15B5.60%1.43B-14.42%1.29B-15.80%1.22B0.35%1.15B0.35%1.15B27.15%1.36B
Inventory 18.38%161M31.62%179M48.80%186M48.80%186M68.93%174M46.24%136M74.36%136M62.34%125M62.34%125M33.77%103M
Other current assets -29.31%41M-31.17%53M15.15%76M15.15%76M0.00%66M41.46%58M175.00%77M200.00%66M200.00%66M164.00%66M
Total current assets -4.93%1.62B-3.05%1.56B-6.10%1.57B-6.10%1.57B-29.89%1.85B-39.35%1.7B-27.98%1.61B-8.24%1.67B-8.24%1.67B59.27%2.64B
Non current assets
Net PPE -0.78%17.39B-0.92%17.3B-0.94%17.21B-0.94%17.21B22.23%17.41B22.06%17.52B21.09%17.46B19.85%17.38B19.85%17.38B-3.32%14.25B
-Gross PPE 4.61%44.37B4.58%43.72B4.54%43.13B4.54%43.13B13.49%42.79B13.18%42.41B12.47%41.81B11.76%41.25B11.76%41.25B2.88%37.7B
-Accumulated depreciation -8.41%-26.98B-8.52%-26.42B-8.54%-25.91B-8.54%-25.91B-8.18%-25.38B-7.67%-24.89B-7.00%-24.35B-6.53%-23.88B-6.53%-23.88B-7.05%-23.46B
Investments and advances -2.09%421M-28.16%472M-24.96%433M-24.96%433M-25.88%421M-18.56%430M25.86%657M28.22%577M28.22%577M16.16%568M
Non current deferred assets --------------------------------------155M
Other non current assets 19.47%313M17.48%336M14.29%360M14.29%360M-5.91%239M-2.24%262M13.04%286M40.63%315M40.63%315M-10.25%254M
Total non current assets -0.52%18.12B-1.60%18.11B-1.44%18.01B-1.44%18.01B18.72%18.07B17.69%18.22B16.86%18.41B20.40%18.27B20.40%18.27B-1.83%15.22B
Total assets -0.90%19.74B-1.72%19.67B-1.83%19.58B-1.83%19.58B11.54%19.92B8.93%19.92B11.30%20.01B17.34%19.94B17.34%19.94B4.06%17.86B
Liabilities
Current liabilities
Payables 5.74%1.79B-0.47%1.69B1.30%1.56B1.30%1.56B3.07%1.78B-1.57%1.69B12.38%1.7B14.84%1.54B14.84%1.54B40.96%1.72B
-accounts payable 1.76%1.56B2.30%1.51B6.65%1.36B6.65%1.36B6.89%1.58B0.92%1.54B13.93%1.48B15.23%1.28B15.23%1.28B43.97%1.48B
-Total tax payable 48.04%151M-23.30%135M-26.32%126M-26.32%126M-23.81%128M-28.67%102M4.14%176M8.92%171M8.92%171M28.24%168M
-Other payable 42.00%71M-2.44%40M-22.22%70M-22.22%70M-11.84%67M0.00%50M-2.38%41M21.62%90M21.62%90M18.75%76M
Current debt and capital lease obligation 453.44%725M548.85%850M409.95%2.05B409.95%2.05B111.44%850M-52.01%131M23.58%131M1,016.67%402M1,016.67%402M1,016.67%402M
-Current debt 453.44%725M548.85%850M409.95%2.05B409.95%2.05B111.44%850M-52.01%131M23.58%131M1,016.67%402M1,016.67%402M1,016.67%402M
Other current liabilities 4.59%319M-2.52%310M-14.29%312M-14.29%312M-8.52%279M-21.39%305M-21.48%318M40.00%364M40.00%364M-26.86%305M
Current liabilities 33.18%2.83B32.76%2.85B70.08%3.92B70.08%3.92B19.54%2.91B-10.60%2.13B6.19%2.15B40.87%2.31B40.87%2.31B45.05%2.43B
Non current liabilities
Long term provisions 12.37%336M11.15%329M10.51%326M10.51%326M8.83%308M7.55%299M0.00%296M2.43%295M2.43%295M-1.05%283M
Long term debt and capital lease obligation -20.13%4.57B-20.01%4.58B-38.82%3.38B-38.82%3.38B36.24%4.88B54.33%5.72B46.44%5.72B38.79%5.52B38.79%5.52B-10.01%3.58B
-Long term debt -20.13%4.57B-20.01%4.58B-38.82%3.38B-38.82%3.38B36.24%4.88B54.33%5.72B46.44%5.72B38.79%5.52B38.79%5.52B-10.01%3.58B
Non current deferred liabilities 66.35%702M87.50%675M102.80%651M102.80%651M95.02%509M58.65%422M39.53%360M19.78%321M19.78%321M-9.69%261M
Employee benefits -10.48%94M-6.06%93M-7.00%93M-7.00%93M-19.66%94M-15.32%105M-25.00%99M-27.01%100M-27.01%100M-14.60%117M
Total non current liabilities -12.92%5.7B-12.40%5.68B-28.68%4.45B-28.68%4.45B36.49%5.79B49.65%6.55B41.01%6.48B33.53%6.24B33.53%6.24B-9.58%4.24B
Total liabilities -1.63%8.53B-1.16%8.52B-2.03%8.37B-2.03%8.37B30.31%8.69B28.44%8.68B30.37%8.62B35.43%8.54B35.43%8.54B4.81%6.67B
Shareholders'equity
Share capital 0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M
-common stock 0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M0.00%937M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 11.06%12.49B10.73%12.2B12.22%11.97B12.22%11.97B14.10%11.63B19.18%11.24B29.26%11.02B46.65%10.66B46.65%10.66B52.89%10.2B
Paid-in capital -0.25%7.14B-0.28%7.13B-0.43%7.17B-0.43%7.17B-0.46%7.16B-0.38%7.16B-0.40%7.15B-0.25%7.2B-0.25%7.2B-0.24%7.2B
Less: Treasury stock 15.22%9.43B17.75%9.2B19.17%8.95B19.17%8.95B18.76%8.6B33.83%8.19B45.73%7.81B55.69%7.51B55.69%7.51B76.37%7.24B
Gains losses not affecting retained earnings -18.09%77M-19.19%80M-22.64%82M-22.64%82M-8.16%90M0.00%94M10.00%99M29.27%106M29.27%106M19.51%98M
Total stockholders'equity -0.34%11.21B-2.14%11.14B-1.68%11.21B-1.68%11.21B0.35%11.23B-2.50%11.24B0.19%11.39B6.65%11.4B6.65%11.4B3.62%11.19B
Total equity -0.34%11.21B-2.14%11.14B-1.68%11.21B-1.68%11.21B0.35%11.23B-2.50%11.24B0.19%11.39B6.65%11.4B6.65%11.4B3.62%11.19B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

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