MUSA
Murphy USA Inc
NYSE: MUSA · CONSUMER CYCLICAL · SPECIALTY RETAIL
$514.45
-1.11% today
Updated 2026-04-29
Market cap
$9.52B
P/E ratio
21.36
P/S ratio
0.56x
EPS (TTM)
$24.09
Dividend yield
0.41%
52W range
$344 – $540
Volume
0.4M
Murphy USA Inc (MUSA) Financial statements
SEC filings — annual and quarterly data.
Cash flow — annual
| Item | 2010 | 2011 | 2012 | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Operating cash flow | $355.88M | $188.37M | $237.43M | $356.70M | $305.58M | $215.84M | $337.40M | $283.63M | $398.70M | $313.30M | $563.70M | $737.40M | $994.70M | $784.00M | $847.60M | $813.90M |
| Capital expenditures | $222.00M | $99.82M | $111.59M | $164.54M | $135.34M | $205.22M | $262.10M | $258.26M | $204.30M | $204.80M | $230.70M | $274.70M | $305.30M | $335.60M | $458.10M | $439.60M |
| Depreciation | $61.47M | $64.88M | $71.74M | $74.05M | $79.09M | $86.57M | $100.26M | $118.75M | $134.00M | $152.20M | $161.00M | $212.60M | $220.40M | $231.70M | $251.20M | $276.80M |
| Stock-based comp | $105.47M | $180.19M | $8.42M | $9.39M | $10.44M | $9.02M | $-4.16M | $7.50M | $-9.40M | $10.50M | $-1.30M | $-1.50M | $-19.80M | $21.80M | $-30.40M | $-23.50M |
| Free cash flow | $133.89M | $88.55M | $125.83M | $192.16M | $170.24M | $10.61M | $75.30M | $25.37M | $194.40M | $108.50M | $333.00M | $462.70M | $689.40M | $448.40M | $389.50M | $374.30M |
| Investing cash flow | $-376.66M | $812.88M | $-112.09M | $12.89M | $-149.41M | $-189.63M | $-134.85M | $-262.11M | $-209.10M | $-203.10M | $-224.30M | $-914.20M | $-319.30M | $-323.60M | $-445.80M | $-436.00M |
| Financing cash flow | $27.34M | $-1.02B | $-104.85M | $-132.22M | $-122.80M | $-251.97M | $-151.11M | $-5.30M | $-175.10M | $-14.40M | $-456.10M | $269.60M | $-871.30M | $-403.10M | $-472.60M | $-396.00M |
| Dividends paid | — | $1.02B | $104.81M | $685.61M | $0.00 | $0.00 | $0.00 | $6.90M | $6.90M | $6.90M | $6.90M | $27.30M | $29.90M | $33.40M | $36.80M | $41.50M |
| Share repurchases | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — |
| Debt repayment | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — |
| Net change in cash | — | — | — | $237.37M | $33.36M | $-225.77M | $51.48M | $16.21M | $14.50M | $95.80M | $-116.70M | $92.80M | $-195.90M | — | — | — |