Marathon Petroleum
NYSE:MPC
$ 232,53
$0,00 (0,00%)
232,53 $
$0,00 (0,00%)
End-of-day quote: 03/23/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$10,70
Earnings Per Share
$458,78
Revenue Per Share
10,48%
Gross Margin %
$68,48 B
Market Cap
$23,80 B
Long-Term Debt
Earnings Per Share
$10,70
Revenue Per Share
$458,78
Gross Margin %
10,48%
Market Cap
$68,48 B
Long-Term Debt
$23,80 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
EPS Earnings Per Share $10,70 $9,51 $23,63 $26,16 $2,45 $-3,44 $4,94 $6,46 $3,89 $2,37 $5,89 $4,12 $3,42 $4,90 $3,36
Earnings Earnings $3,15B $2,97B $8,54B $11,66B $1,38B $-2,24B $3,21B $4,35B $1,85B $1,25B $3,12B $2,25B $2,01B $3,25B $2,34B
RPS Revenue Per Share $458,78 $449,20 $415,95 $403,89 $213,96 $106,00 $192,27 $144,15 $158,32 $120,06 $136,53 $179,63 $170,17 $124,45 $113,28
Revenue Revenue $135,22B $140,41B $150,31B $179,95B $120,93B $69,03B $124,88B $97,10B $75,37B $63,36B $72,26B $98,10B $100,25B $82,49B $78,76B
OCF Operating Cash Flow $7,55B $8,70B $14,12B $16,36B $4,36B $2,42B $9,43B $6,16B $6,61B $3,99B $4,06B $3,11B $3,41B $4,49B $3,31B
FCF Free Cash Flow $3,63B $5,59B $11,87B $13,94B $2,90B $-368,00M $3,31B $2,58B $3,88B $1,09B $2,06B $1,63B $616,00M $3,03B $2,12B
OM Operating Margin 4,87% 4,13% 9,14% 11,08% 3,12% -3,72% 4,55% 5,30% 4,87% 4,19% 7,40% 4,28% 3,61% 6,70% 5,01%
GM % Gross Margin % 10,48% 9,40% 13,92% 14,90% 8,67% 5,96% 10,83% 10,71% 10,61% 10,55% 12,73% 7,65% 6,59% 9,95% 7,98%
FCFS Free Cash Flow Per Share $0,00 $18,04 $30,04 $27,23 $4,57 $-0,57 $7,03 $5,75 $7,65 $2,13 $3,86 $2,86 $3,49 $4,59 $2,98
LT Debt Long-Term Debt N/A $23,80B $24,93B $25,18B $24,44B $28,15B $27,48B $26,40B $11,96B $10,54B $11,90B $6,58B $3,37B $3,34B $3,29B
Sha. Stocks 294,74M 312,58M 361,36M 445,55M 565,21M 651,27M 649,5M 673,62M 476,06M 527,78M 529,23M 546,13M 589,13M 662,87M 695,23M
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