Recent Annual Filings for MPLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $36,529,000,000 $11,281,000,000 $6,381,000,000 $3,970,000,000 $5,397,000,000 $-3,335,000,000 $810,000,000
2022 $35,665,000,000 $11,613,000,000 $6,702,000,000 $3,987,000,000 $5,019,000,000 $-3,838,000,000 $225,000,000
2021 $35,507,000,000 $10,027,000,000 $6,035,000,000 $3,110,000,000 $4,911,000,000 $-4,395,000,000 $-2,000,000
2020 $36,414,000,000 $7,569,000,000 $7,358,000,000 $-687,000,000 $4,521,000,000 $-3,259,000,000
2019 $40,430,000,000 $9,041,000,000 $6,664,000,000 $1,463,000,000 $4,082,000,000 $-1,089,000,000 $-70,000,000
2018 $22,779,000,000 $6,425,000,000 $3,922,000,000 $1,832,000,000 $2,826,000,000 $-73,000,000 $67,000,000
2017 $19,500,000,000 $3,867,000,000 $2,676,000,000 $836,000,000 $1,907,000,000 $171,000,000 $-229,000,000
2016 $16,646,000,000 $2,590,000,000 $2,083,000,000 $258,000,000 $1,288,000,000 $115,000,000 $191,000,000