MPLX Balance Sheet Statement


* In Millions (except for per share items) of USD
Developer Mode:
Period Ending: 2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
Report Filing: 2024-02-28 2023-02-23 2022-02-24 2021-02-26 2020-02-28 2019-02-28 2018-02-28 2017-02-24 2016-02-26 2015-02-27 2014-02-28 2013-03-25 2011-12-31
Total Current Assets 2808000000 1905000000 1507000000 1515000000 1484000000 897000000 559000000 740000000 474000000 97200000 135100000 283800000 298700000
Cash and Short Term Investments 1048000000 238000000 13000000 15000000 15000000 68000000 5000000 234000000 43000000 27300000 54100000 216700000 100000
Cash & Equivalents 1048000000 238000000 13000000 15000000 15000000 68000000 5000000 234000000 43000000 27300000 54100000 216700000 100000
Short Term Investments 0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 1562000000 1461000000 1294000000 1125000000 1240000000 706000000 452000000 419000000 332000000 51200000 60500000 55600000 289400000
Inventory 159000000 148000000 142000000 118000000 110000000 77000000 65000000 54000000 49000000 11700000 11600000 8900000 9000000
Other Current Assets 39000000 58000000 58000000 257000000 119000000 46000000 37000000 33000000 50000000 7000000 8900000 2600000 200000
Total Assets 36529000000 35665000000 35507000000 36414000000 40430000000 22779000000 19500000000 16646000000 15675000000 1214500000 1208500000 1301300000 1303100000
Total Non-Current Assets 33721000000 33760000000 34000000000 34899000000 38946000000 21882000000 18941000000 15906000000 15203000000 1117300000 1073400000 1017500000 1004400000
Property, Plant and Equipment 19755000000 19359000000 20539000000 21758000000 22742000000 14639000000 12187000000 10730000000 9683000000 1008600000 966600000 910000000 866800000
Goodwill and Intangible Assets 8299000000 8350000000 8488000000 8616000000 10806000000 3010000000 2698000000 2691000000 3025000000 104700000 104700000 104700000 134200000
Goodwill 7645000000 7645000000 7657000000 7657000000 9536000000 2586000000 2245000000 2199000000 2559000000 104700000 104700000 104700000 134200000
Intangible Assets 654000000 705000000 831000000 959000000 1270000000 424000000 453000000 492000000 466000000 0 0 0 0
Long Term Investments 4551000000 4095000000 3981000000 4036000000 5275000000 4174000000 4010000000 2467000000 2458000000 0 0 0 0
Other Long Term Assets 1116000000 1956000000 992000000 489000000 123000000 59000000 46000000 18000000 37000000 4000000 2100000 2800000 3400000
Total Current Liabilities 2624000000 2401000000 3348000000 2086000000 2132000000 1186000000 1304000000 704000000 612000000 100600000 83400000 63300000 51100000
Accounts Payable 153000000 224000000 172000000 152000000 242000000 162000000 151000000 123000000 89000000 42200000 30500000 39000000 34700000
Notes Payable/Short Term Debt 1181000000 1035000000 559000000 828000000 67000000 890000000 1067000000 521000000 479000000 800000 700000 700000 700000
Tax Payables 0 0 0 0 0 0 38000000 33000000 26000000 5200000 4000000 3000000 5700000
Deferred Revenue 81000000 80000000 77000000 97000000 59000000 51000000 48000000 36000000 32000000 30500000 34000000 20600000 14000000
Other Current Liabilities 1209000000 1062000000 2540000000 1009000000 1764000000 83000000 0 -9000000 -14000000 21900000 14200000 0 -4000000
Total Liabilities 22945000000 23119000000 23455000000 23397000000 23817000000 15915000000 9527000000 6327000000 6406000000 750800000 94400000 74500000 63900000
Total Non-Current Liabilities 20321000000 19750000000 19142000000 21311000000 21685000000 14729000000 8223000000 5623000000 5811000000 650200000 11000000 11200000 12800000
Total Long Term Debt 19291000000 19266000000 18505000000 19848000000 20236000000 13392000000 6945000000 4422000000 5255000000 644000000 9800000 10600000 11200000
Deferred Tax Liabilities Non-Current 16000000 13000000 10000000 12000000 12000000 13000000 5000000 5000000 377000000 0 0 0 0
Other Long Term Liabilities 1014000000 471000000 627000000 1451000000 1437000000 1324000000 1273000000 1196000000 179000000 6200000 1200000 600000 1600000
Total Equity 13584000000 12783000000 12293000000 13262000000 16862000000 7020000000 9973000000 10319000000 9256000000 463700000 1114100000 1226800000 1239200000
Non-Controlling Interest 235000000 237000000 241000000 245000000 249000000 156000000 146000000 18000000 13000000 5500000 467900000 535700000 0
Total Stockholders' Equity 13349000000 12546000000 12052000000 13017000000 16613000000 6864000000 9973000000 10319000000 9256000000 463700000 1114100000 1226800000 1239200000
Retained Earnings (Accumulated Deficit) -12458000000 -13285000000 -12793000000 -13755000000 -17347000000 0 0 0 0 0 0 0 0
Accumulated Other Comprehensive Income/(Loss) -4000000 -8000000 -17000000 -15000000 -15000000 -16000000 -14000000 -1115000000 -435000000 -353100000 -309800000 -276300000 -374000000
Common Stock 12458000000 11706000000 11217000000 12176000000 15768000000 0 0 0 0 0 0 0 0
Additional Paid in Capital 12458000000 12554000000 12069000000 13032000000 16628000000 16000000 9987000000 11434000000 9691000000 816800000 1423900000 1503100000 1613200000
Total Liabilities & Shareholders' Equity 36529000000 35665000000 35507000000 36414000000 40430000000 22779000000 19500000000 16646000000 15675000000 1214500000 1208500000 1301300000 1303100000
Total Investments 4551000000 4095000000 3981000000 4036000000 5275000000 4174000000 4010000000 2467000000 2458000000 0 0 0 0
Total Debt 20914000000 20301000000 19064000000 20676000000 20303000000 13392000000 6945000000 4422000000 5255000000 644800000 10500000 11300000 11900000
Net Debt 19866000000 20063000000 19051000000 20661000000 20288000000 13324000000 6940000000 4188000000 5212000000 617500000 -43600000 -205400000 11800000

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