Recent Annual Filings for MPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $85,987,000,000 $148,379,000,000 $135,793,000,000 $11,039,000,000 $14,117,000,000 $-14,207,000,000 $-3,185,000,000
2022 $89,904,000,000 $177,453,000,000 $158,483,000,000 $16,119,000,000 $16,361,000,000 $-13,647,000,000 $3,337,000,000
2021 $85,373,000,000 $119,983,000,000 $116,630,000,000 $11,446,000,000 $4,360,000,000 $-14,419,000,000 $4,738,000,000
2020 $85,158,000,000 $69,779,000,000 $81,279,000,000 $-10,169,000,000 $2,419,000,000 $-135,000,000 $-973,000,000
2019 $98,556,000,000 $123,949,000,000 $119,237,000,000 $3,079,000,000 $9,441,000,000 $-3,376,000,000 $-196,000,000
2018 $92,940,000,000 $95,750,000,000 $91,531,000,000 $3,693,000,000 $6,158,000,000 $222,000,000 $-1,290,000,000
2017 $49,047,000,000 $74,104,000,000 $71,400,000,000 $3,807,000,000 $6,609,000,000 $-1,091,000,000 $2,124,000,000
2016 $44,413,000,000 $63,339,000,000 $60,986,000,000 $1,297,000,000 $3,986,000,000 $-1,285,000,000 $-240,000,000