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Variable Interest Entities (Consolidated VIE) (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Assets    
Cash and cash equivalents $ 1,673 $ 3,210
Receivables, less allowance for expected credit loss 11,128 11,145
Inventories 10,106 9,568
Other current assets 821 524
Equity method investments 7,294 6,857
Property, plant and equipment, net 34,805 35,028
Goodwill 8,244 8,244
Right of use assets 1,399 1,300
Other noncurrent assets 3,014 2,982
Liabilities    
Accounts payable 13,345 13,906
Accrued taxes 1,414 1,204
Debt due within one year 1,819 3,049
Operating lease liabilities 446 417
Other current liabilities 1,475 1,155
Long-term debt 26,835 24,432
Deferred income taxes 5,718 5,771
Long-term operating lease liabilities 935 860
Deferred credits and other liabilities 1,246 1,305
Variable Interest Entity, Primary Beneficiary | MPLX    
Assets    
Cash and cash equivalents 1,386 1,519
Receivables, less allowance for expected credit loss 754 731
Inventories 192 180
Other current assets 33 29
Equity method investments 5,024 4,531
Property, plant and equipment, net 19,191 19,154
Goodwill 7,645 7,645
Right of use assets 275 273
Other noncurrent assets 1,512 1,513
Liabilities    
Accounts payable 745 719
Accrued taxes 92 82
Debt due within one year 1,500 1,693
Operating lease liabilities 47 45
Other current liabilities 368 370
Long-term debt 19,725 19,255
Deferred income taxes 18 18
Long-term operating lease liabilities 218 217
Deferred credits and other liabilities $ 434 $ 445