Marathon Petroleum Financial Ratios for Analysis 2009-2024 | MPC

Fifteen years of historical annual and quarterly financial ratios and margins for Marathon Petroleum (MPC).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.591.761.701.811.801.361.281.461.491.321.301.591.251.17-
0.450.430.430.500.400.380.370.340.380.370.230.220.260.03-
0.890.780.781.080.680.620.620.520.610.580.300.280.350.11-
13.3514.538.315.8010.7210.5010.2310.5222.8614.3612.7416.5116.3317.2118.73
9.7812.103.58-17.554.015.455.383.776.514.143.426.504.761.621.44
9.7812.103.58-17.554.015.455.383.776.514.143.426.504.761.621.44
11.9613.946.45-12.626.958.058.297.028.625.524.647.715.903.122.91
9.4311.532.35-19.512.914.294.472.886.073.923.246.374.731.641.50
6.528.188.12-14.082.373.234.591.853.962.582.104.113.031.000.99
1.731.971.410.821.130.931.521.431.673.223.533.023.052.69-
13.8017.1813.668.2210.127.8312.0910.0210.6414.8518.6419.9119.8216.85-
12.7713.1710.8712.1115.3714.7115.9217.5124.6224.1018.0217.8414.4014.21-
28.5827.7233.5730.1323.7524.8222.9320.8414.8315.1420.2620.4625.3525.69-
36.6246.837.83-38.235.816.6618.266.0014.5822.4318.8228.0325.137.56-
50.1961.7510.48-53.269.2512.2922.067.3018.3226.0120.5230.3627.588.41-
12.9917.772.99-13.132.483.167.762.736.658.407.5112.469.282.68-
20.0126.744.43-19.293.494.1311.483.959.0814.2214.5121.9718.677.32-
82.8975.1556.3344.9364.9364.7842.8638.2637.4020.8219.0818.1813.31--
34.5231.716.833.7314.2211.7112.917.587.515.425.376.574.633.103.43
29.9827.194.78-0.347.055.717.732.313.872.893.494.643.182.46-0.53

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-31
1.311.431.591.671.841.901.761.661.491.451.702.021.981.891.811.841.271.161.801.251.241.201.361.651.601.741.281.521.551.611.461.511.521.451.491.411.311.321.321.241.231.241.301.301.391.431.591.511.411.261.251.361.23-----
0.460.460.450.450.460.450.430.440.440.460.430.440.440.520.500.500.500.490.400.400.390.390.380.490.480.480.370.390.390.390.340.350.360.370.380.310.330.330.370.360.250.250.230.230.220.210.220.230.240.260.260.250.27-----
1.040.930.890.860.860.830.780.810.820.880.780.780.791.141.081.081.041.010.680.680.660.660.620.970.920.910.620.650.640.640.520.530.550.590.610.520.550.560.580.560.330.340.300.300.280.280.280.290.320.360.350.330.36-----
10.479.5210.1314.6412.6015.9815.6715.2117.827.868.928.538.237.164.214.225.688.3911.8011.6411.478.1211.4010.3611.937.937.7413.5011.448.24-23.5922.1123.6823.9423.0624.3220.3124.1218.2113.7713.9611.7913.6710.2913.0714.1316.1518.2817.0114.538.9218.0419.7818.41-18.8319.01-
6.655.456.6111.629.0911.6511.9014.6015.484.515.034.153.260.962.17-6.074.72-54.740.336.106.092.375.186.107.672.335.558.215.401.793.272.627.820.592.178.286.508.555.664.175.101.554.051.153.744.965.759.006.464.72-0.818.536.384.59-2.794.03-
6.655.456.6111.629.0911.6511.9014.6015.484.515.034.153.260.962.17-6.074.72-54.740.336.106.092.375.186.107.672.335.558.215.401.793.272.627.820.592.178.286.508.555.664.175.101.554.051.153.744.965.759.006.464.72-0.818.536.384.59-2.794.03-
----------------------------------------------------------
6.144.916.3011.338.7011.2111.4414.0814.903.823.813.132.00-0.600.32-8.131.92-56.24-1.004.975.131.283.475.066.791.364.557.394.530.872.431.777.01-0.531.517.906.198.085.333.984.921.353.890.973.564.755.538.886.374.61-0.938.466.424.61-2.764.05-
4.002.864.008.026.137.818.349.7810.922.222.192.1528.74-1.071.59-5.090.07-41.592.033.973.30-0.024.343.214.730.209.574.702.660.181.320.874.760.011.205.074.025.183.592.643.180.852.500.642.313.113.625.824.022.94-0.405.493.862.96-1.742.56-
0.440.380.420.450.420.400.440.510.560.420.410.360.310.260.210.210.140.260.220.280.350.290.240.430.430.370.430.410.400.360.390.380.380.310.360.620.670.570.730.800.910.800.880.910.860.760.760.790.820.800.750.820.87-----
3.463.033.503.443.332.853.803.954.003.704.003.213.062.512.152.251.422.731.962.513.272.641.973.863.583.403.503.032.902.773.752.342.461.952.302.552.952.403.233.914.113.614.584.124.624.115.034.424.175.175.334.674.53-----
3.082.482.973.283.543.442.953.403.112.433.203.403.033.043.123.542.803.983.023.694.414.103.744.254.544.094.484.935.584.964.745.305.264.905.335.995.305.115.484.834.694.304.484.694.174.234.494.134.303.453.564.204.12-----
29.2136.2430.2527.4325.4426.1830.4726.4528.9537.0428.1026.4829.6929.5928.8425.3932.1822.6329.8424.3720.4121.9624.0421.1719.8422.0120.0718.2716.1318.1518.9816.9817.1318.3616.8815.0216.9917.6116.4118.6519.1920.9520.1019.1721.6021.2520.0621.8120.9326.0625.3121.4521.86-----
7.014.496.1511.418.169.4310.4615.3019.013.863.392.941.65-0.600.85-3.320.27-33.74-0.692.613.170.601.194.946.561.2510.205.072.930.511.431.103.93-0.400.857.416.837.547.076.037.831.925.571.544.915.886.2710.677.886.47-0.7911.278.93-----
9.956.268.4315.4011.0512.6113.7920.4425.425.314.543.852.14-0.841.19-4.600.46-56.90-1.095.216.001.142.196.148.111.5412.326.193.590.621.741.344.81-0.491.078.437.828.678.196.988.552.116.071.685.326.366.7911.628.667.12-0.8712.319.86-----
2.291.532.184.042.983.543.975.606.431.291.291.150.62-0.200.29-1.170.10-12.21-0.291.131.410.270.561.772.390.474.332.151.260.220.650.511.77-0.190.393.182.742.992.652.142.940.712.220.602.022.372.794.603.302.36-0.294.493.35-----
3.772.433.366.234.395.155.978.5910.652.091.921.650.92-0.290.43-1.660.14-17.24-0.411.571.930.370.732.513.420.656.413.081.790.310.940.722.53-0.250.535.094.615.034.483.885.901.444.291.183.844.624.918.275.974.76-0.598.506.55-----
81.7882.2882.8982.4678.0276.0375.1569.9563.7555.6656.3356.2356.0043.7344.9345.3947.4648.0464.9365.6265.2464.2564.7842.2041.2740.3942.8639.7638.6638.1438.2637.8037.7636.7837.4024.2022.8922.0220.8220.0519.3618.5519.0818.5919.2418.9818.1816.9115.1913.5513.3114.0712.61-----
13.644.2334.5232.8119.199.0831.7124.2517.664.426.831.082.800.703.731.68-0.35-1.1914.2210.656.372.4111.717.524.85-0.2912.917.613.792.097.585.664.890.627.516.054.012.175.424.782.841.305.373.302.543.126.573.600.900.504.633.741.331.280.000.410.410.00
10.582.6229.9829.4717.018.0627.1920.9815.943.574.78-0.312.000.35-0.34-1.79-2.87-2.587.055.462.790.605.712.491.72-1.847.733.941.420.942.311.782.34-0.643.873.702.631.482.893.141.890.853.492.141.902.834.642.26-0.020.063.182.760.791.11--0.86-0.46-