Marathon Petroleum CorpMPC

時価総額
$511.7億
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年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents3,0794,8602,2921,4941,1278873,0111,6871,5274155,2918,6255,4433,210
Short-term investments-----------3,1454,781-
Accounts Receivable, after Allowance for Credit Loss, Current5,4594,6105,5594,0582,9273,6174,6955,8537,8725,76011,03413,47711,61911,145
Inventories3,3203,4494,6895,6425,2255,6565,5509,83710,2437,9998,0558,8279,3179,568
Other current assets1411101971451922411456465282,7245681,168971524
Total current assets12,00113,02912,73711,3399,47110,40113,40118,02320,17028,28730,49635,24232,13124,447
Equity method investments3023214638653,6223,8274,7875,8986,8985,4225,4096,4666,2606,857
Property, plant and equipment, net----------37,44035,65735,11235,028
Goodwill8429309381,5664,0193,5873,58620,18420,0408,2568,2568,2448,2448,244
Right of use assets--------2,4591,5211,3721,2141,2331,300
Other noncurrent assets3723003264298398338303,7773,3742,6372,4003,0813,0072,982
Total assets25,74527,22328,38530,46043,11544,41349,04792,94098,55685,15885,37389,90485,98778,858
Accounts payable8,1696,7858,2346,6614,7435,5938,2979,36611,6237,80313,70015,31213,76113,906
Payroll and benefits payable3123644064275035305911,1521,1267329119671,1151,096
Accrued taxes-----------1,1401,2211,204
Debt due within one year--------7112,8545711,0661,9543,049
Operating lease liabilities--------604497438368454417
Other current liabilities1801122753544263782967088978221,0471,1671,6451,155
Total current liabilities9,5918,2039,8248,5796,3457,14610,47813,21616,14715,66317,89820,02020,15020,827
Long-term debt-3,3423,3736,61011,89610,54412,32226,98028,12728,73024,96825,63425,32924,432
Deferred income taxes-----3,8612,6544,8646,3926,2035,6385,9045,8345,771
Liability, Defined Benefit Plan, Noncurrent1,7831,2667711,0991,1791,0551,0991,5091,6432,1211,0151,1141,1021,157
Long-term operating lease liabilities--------1,8751,014927841764860
Deferred credits and other liabilities2642577817687356046661,3181,2651,2071,3461,3041,4091,305
Total liabilities16,24015,11817,05319,07023,44023,21027,21947,88755,44954,93851,79254,81754,58854,352
Redeemable noncontrolling interest-----1,0001,0001,004968968965968895203
Preferred Stock, Value, Issued--------------
Common Stock, Value, Issued444477710101010101010
Held in treasury, at cost – 678 million and 625 million shares-1,2534,1556,2997,2757,4829,86913,17515,14315,15719,90431,84143,50252,623
Additional paid-in capital9,4829,5279,7689,84411,07111,06011,26233,72933,15733,20833,26233,40233,46533,624
Retained earnings8983,8805,5077,5159,75210,20612,86414,75515,9904,65012,90526,14234,56236,848
Accumulated other comprehensive loss-879-464-204-313-318-234-231-144-320-512-672-131-114
Total MPC stockholders’ equity9,50512,10511,33211,39019,67520,20320,82844,04942,13929,25232,61634,11930,50424,303
Noncontrolling interests-4114126396,4386,6466,7958,8748,4457,0536,4106,4046,1006,558
Total equity-12,10511,33211,39019,67520,20320,82844,04942,13929,25232,61634,11930,50424,303
Total liabilities, redeemable noncontrolling interest and equity25,74527,22328,38530,46043,11544,41349,04792,94098,55685,15885,37389,90485,98778,858