Marathon Petroleum CorpMPC

時価総額
$503.9億
PER
下流統合エネルギー事業の最大手。大規模製油所網と再生可能ディーゼル、MPLX経由のミッドストリームを展開。2021年5月14日にSpeedwayを7‑Elevenへ売却、2024年にBANGL追加取得で210百万ドル支払。米国中心に国際展開。
2011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
現金同等物3,0794,8602,2921,4941,1278873,0111,7251,5294165,2948,6315,4463,211
有価証券-----------3,1454,781-
現金 + 有価証券3,0794,8602,2921,4941,1278873,0111,7251,5294165,29411,77610,2273,211
売掛金5,4594,6105,5594,0582,9273,6174,6955,8537,8725,76011,03413,47711,61911,145
商品及び製品3,3203,4494,6895,6425,2255,6565,5509,83710,2437,9998,0558,8279,3179,568
流動資産合計12,00113,02912,73711,3399,47110,40113,40118,02320,17028,28730,49635,24232,13124,447
有形固定資産12,22812,64313,92116,26125,16425,76526,44345,05845,61539,035----
固定資産合計13,74414,19415,64819,12133,64434,01235,64674,91778,38656,87154,87754,66253,85654,411
総資産25,74527,22328,38530,46043,11544,41349,04792,94098,55685,15885,37389,90485,98778,858
買掛金8,1696,7858,2346,6614,7435,5938,2979,36611,6237,80313,70015,31213,76113,906
一年内返済予定の長期借入金15-------------
流動負債合計9,5918,2039,8248,5796,3457,14610,47813,21616,14715,66317,89820,02020,15020,827
長期借入金3,292-------------
固定負債合計6,6496,9157,22910,49117,09516,06416,74134,67139,30239,27533,89434,79734,43833,525
総負債16,24015,11817,05319,07023,44023,21027,21947,88755,44954,93851,79254,81754,58854,352
資本金及び資本剰余金444777710101010101010
利益剰余金8983,8805,5077,5159,75210,20612,86414,75515,9904,65012,90526,14234,56236,848
株主資本9,50512,10511,33211,39019,67520,20320,82844,04942,13929,25232,61634,11930,50424,303
有利子負債合計3,307-------------
純有利子負債228-------------
DEレシオ(%)34.8-------------
運転資本