MPLX LPMPLXCash flow

Market cap
$59.6B
P/E ratio
2013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Cash from operations 2122472391,2881,9072,8264,0824,5214,9115,0195,3975,946
Capital expenditures-106-79-264-1,206-1,411-1,919-2,408-1,183-529-806-937-1,056
Cash from investing -114-75-1,498-1,212-2,307-2,686-3,063-1,262-518-956-1,252-1,995
Repurchases of common stock-------33630491-326
Proceeds from issuance of term debt, net-1,1601,4904342,91113,1869,174--3,3791,5891,630
Repayments of term debt-5261,4411,3124166,7807,924--2,2021,0011,151
Cash from financing -261-1981,275115171-73-1,089-3,259-4,395-3,838-3,335-3,480
Free cash flow
FCF margin (%)-