Sign in

Balance Sheet - Phillips 66 (PSX)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09
Total cash and short-term investments + 1.12 1.74 3.32 6.46 3.15 16.14 1.61 3.02 3.12 2.71 3.07 5.21 5.40 3.47 0.00 0.00 0.00
Accounts receivable, net 9.77 11.03 11.73 10.99 7.47 6.52 8.51 6.17 7.51 6.40 5.17 7.26 9.63 10.40 10.03 10.21 6.84
Inventories 5.10 4.00 3.75 3.28 3.39 3.89 3.78 3.54 3.40 3.15 3.48 3.40 3.35 3.43 3.47 4.11 3.84
Other current assets 1.29 1.14 1.14 1.53 0.69 0.35 0.50 0.47 0.37 0.42 0.53 0.83 0.85 0.66 0.46 0.38 0.68
Total current assets 17.27 17.91 19.94 21.92 14.70 13.28 14.40 13.21 14.39 12.68 12.26 16.70 19.24 17.96 13.95 14.70 11.37
Total non-current assets + 56.41 54.67 55.56 54.52 40.90 41.45 44.33 41.09 39.98 38.97 36.32 32.05 30.56 30.11 29.26 30.25 31.51
Total assets 73.68 72.58 75.50 76.44 55.59 54.72 58.72 54.30 54.37 51.65 48.58 48.74 49.80 48.07 43.21 44.96 42.88
Total current liabilities + 13.33 15.09 15.86 15.89 12.80 9.52 11.65 8.94 10.11 9.46 7.53 11.09 12.93 12.48 12.38 12.50 9.34
Total non-current liabilities + 30.11 29.03 28.00 26.45 21.16 23.68 19.91 18.21 16.84 18.47 17.11 15.61 14.48 14.79 7.53 6.43 6.61
Total liabilities 43.44 44.12 43.85 42.34 33.96 33.20 31.55 27.15 26.94 27.93 24.64 26.70 27.41 27.27 19.92 18.93 15.94
Total stockholders' equity + 29.09 27.41 30.58 29.49 19.17 18.98 24.91 24.65 25.09 22.39 23.10 21.59 21.95 20.78 23.26 26.00 26.92
Common shares outstanding 408 422 453 474 440 440 454 474 519 530 547 572 619 637 640 640 640
Show Quarterly Balance Sheet

Balance Sheet - Phillips 66 (PSX)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10
Total cash and short-term investments + 5.15 1.12 1.85 1.05 1.49 1.74 1.64 2.44 1.57 3.32 3.54 3.03 6.97 6.46 3.74 2.81 3.34 3.15 16.96 15.73 14.73 16.14 15.23 1.89 1.22 1.61 2.27 1.82 1.25 3.02 0.92 1.88 0.84 3.12 1.55 2.16 1.51 2.71 2.34 2.23 1.72 3.07 4.82 5.09 5.39 5.21 3.11 4.96 5.33 5.40 5.94 4.22 4.75 3.47 4.43 3.10 12.10 0.00 0.00 0.00 0.00 0.00
Accounts receivable, net 11.91 9.77 10.54 11.34 10.22 11.03 10.44 10.89 11.53 11.73 11.98 9.46 9.33 10.99 13.65 13.39 10.46 7.47 8.01 8.06 8.17 6.52 5.96 4.85 4.56 8.51 7.09 6.73 7.30 6.17 7.97 7.17 6.12 7.51 6.36 5.59 5.69 6.40 5.00 5.60 4.74 5.17 5.20 6.57 5.74 7.26 8.77 10.11 9.12 9.63 9.74 9.79 9.91 10.40 10.79 9.21 11.32 10.03 10.89 10.21
Inventories 6.72 5.10 6.42 5.58 5.24 4.00 6.04 6.52 6.29 3.75 5.73 6.38 5.45 3.28 4.29 4.58 4.53 3.39 4.40 4.75 4.27 3.89 4.90 5.14 5.33 3.78 5.52 5.09 5.34 3.54 5.54 4.90 4.74 3.40 4.46 4.25 4.39 3.15 3.91 3.99 4.11 3.48 4.39 4.13 4.17 3.40 5.67 4.93 5.91 3.35 4.74 5.03 5.81 3.43 5.74 5.50 5.04 3.47 6.15 4.11
Other current assets 3.61 1.29 3.21 3.10 1.33 1.14 1.19 1.06 1.32 1.14 1.25 1.03 0.93 1.53 1.58 1.71 1.53 0.69 0.72 0.76 0.63 0.35 0.50 0.62 0.59 0.50 0.74 0.66 0.92 0.47 0.88 0.62 0.42 0.37 0.58 0.46 0.58 0.42 0.72 0.82 0.65 0.53 0.64 0.75 0.85 0.83 0.65 0.61 0.71 0.85 0.66 1.48 0.70 0.66 0.91 0.71 6.77 0.46 0.81 0.38
Total current assets 27.40 17.27 22.02 21.08 18.28 17.91 19.31 20.92 20.70 19.94 22.50 19.90 22.67 21.92 23.27 22.49 19.85 14.70 16.02 15.78 14.42 13.28 12.82 12.50 11.71 14.40 15.62 14.30 14.82 13.21 15.31 14.58 12.13 14.39 12.94 12.46 12.17 12.68 11.96 12.64 11.22 12.26 15.05 16.53 16.14 16.70 18.19 20.61 21.06 19.24 21.09 20.53 21.17 17.96 21.87 18.53 23.13 13.95 17.84 14.70
Total non-current assets + 56.69 56.41 54.10 54.87 53.56 54.67 55.77 55.03 55.70 55.56 55.29 54.99 54.59 54.52 54.07 40.32 40.78 40.90 40.39 41.20 41.08 41.45 41.46 42.02 41.76 44.33 43.12 43.49 43.04 41.09 40.57 40.25 40.01 39.98 39.78 39.37 39.24 38.97 38.29 37.72 37.03 36.32 34.37 33.34 32.93 32.05 31.46 30.22 29.79 30.56 29.90 29.40 29.98 30.11 30.36 30.05 29.87 29.26 30.08 30.25
Total assets 84.08 73.68 76.12 75.94 71.84 72.58 75.08 75.95 76.40 75.50 77.79 74.89 77.26 76.44 77.34 62.81 60.64 55.59 56.41 56.98 55.50 54.72 54.28 54.52 53.46 58.72 58.74 57.78 57.86 54.30 55.88 54.83 52.13 54.37 52.71 51.83 51.41 51.65 50.25 50.36 48.25 48.58 49.42 49.87 49.08 48.74 49.65 50.82 50.85 49.80 50.98 49.93 51.15 48.07 52.23 48.58 53.00 43.21 47.92 44.96
Total current liabilities + 24.19 13.33 17.95 19.69 14.88 15.09 15.92 18.27 17.67 15.86 17.42 14.97 14.71 15.89 17.88 17.61 17.60 12.80 13.92 14.55 11.43 9.52 10.51 10.02 10.53 11.65 12.08 11.17 11.33 8.94 11.97 11.73 9.24 10.11 9.91 8.87 8.73 9.46 10.10 10.40 7.42 7.53 8.88 10.08 9.86 11.09 13.77 15.12 15.16 12.93 14.68 14.01 14.95 12.48 16.39 14.37 14.71 12.38 14.33 12.50
Total non-current liabilities + 30.21 30.11 30.09 27.63 28.60 29.03 29.37 27.17 27.94 28.00 28.38 28.86 27.64 26.45 26.15 20.63 20.91 21.16 21.89 21.82 23.61 23.68 21.46 21.20 19.29 19.91 19.57 19.30 19.78 18.21 18.12 18.13 18.60 16.84 18.85 19.15 18.95 18.47 15.84 15.90 17.18 17.11 16.51 16.58 16.62 15.61 13.69 13.75 13.85 14.48 14.31 14.23 14.82 14.79 15.24 15.23 13.34 7.53 7.22 6.43
Total liabilities 54.40 43.44 48.04 47.32 43.49 44.12 45.30 45.44 45.61 43.85 45.80 43.83 42.35 42.34 44.03 38.24 38.52 33.96 35.81 36.38 35.04 33.20 31.98 31.22 29.82 31.55 31.65 30.48 31.11 27.15 30.09 29.87 27.83 26.94 28.75 28.02 27.68 27.93 25.94 26.30 24.60 24.64 25.38 26.65 26.48 26.70 27.46 28.87 29.02 27.41 28.99 28.24 29.77 27.27 31.62 29.60 28.06 19.92 21.55 18.93
Total stockholders' equity + 28.53 29.09 26.92 27.49 27.27 27.41 28.72 29.46 29.73 30.58 30.82 29.90 30.25 29.49 28.23 24.28 21.82 19.17 18.14 18.15 17.98 18.98 19.72 20.72 21.37 24.91 24.86 24.75 24.22 24.65 23.32 22.54 21.92 25.09 22.52 22.37 22.36 22.39 22.91 22.84 22.79 23.10 23.19 22.39 21.76 21.59 21.75 21.51 21.39 21.95 21.55 21.66 21.34 20.78 20.57 18.95 24.91 23.26 26.34 26.00
Common shares outstanding 403 405 406 408 411 419 419 426 432 441 447 456 467 474 483 485 450 442 440 440 440 439 439 439 441 448 451 456 459 464 469 472 490 511 516 520 525 526 529 531 535 540 545 549 552 559 565 571 590 604 615 625 631 636 638 635 640 640 640 640 640 640
about 6 hours ago