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MP Materials MP Balance Sheet Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$887.09M+344%$1.17B+312%$1.15B+302%$262.99M-11.5%$199.7M-32.9%
$852.06M+51.9%$664.28M+16.9%$793.22M+36.3%$492.12M-23.3%$560.81M-13.8%
$98.55M-11.5%$120.97M+91.3%$124.98M+129%$124.73M+134%$111.37M+99.2%
$285M+274%$208.88M+196%$147.37M+127%$104.42M+81.4%$76.3M+59.3%
$59.95M+2.8%$56.49M+16.7%$50.48M+9.4%$51.47M+15.5%$58.33M+33.1%
$51.87M+130%$51.65M+258%$35.52M+43.9%$34.57M+22.0%$22.53M-17.0%
$33.39M+59.1%$39.62M+185%$35.56M+128%$19.75M+66.8%$20.98M+167%
$66.33M+33.8%$64.13M+53.9%$56.49M+41.1%$52.93M+40.8%$49.55M+24.0%
$2.05B+100%$2.17B+110%$2.17B+114%$960.4M-11.9%$1.02B-7.5%
$1.43B+12.2%$1.37B+9.5%$1.31B+6.1%$1.29B+6.0%$1.28B+6.9%
$297.77M+42.3%$272.7M+42.4%$250.46M+46.4%$226.78M+49.5%$209.19M+57.3%
$9.14M-2.3%$9.63M-0.8%
$209.96M-43.6%$255.43M-38.2%$289.18M-37.0%$331.85M-33.1%$372.25M-28.9%
$64.11M+118%$38.34M+20.9%$33.92M+397%$24.57M+96.0%$29.38M+231%
$1.79B+33.3%$1.7B+30.4%$1.62B+26.6%$1.38B+8.0%$1.35B+7.8%
$3.84B+62.2%$3.86B+65.6%$3.8B+65.1%$2.34B-1.2%$2.37B+0.6%
$32.99M+58.1%$36.66M+55.6%$25.38M+16.9%$21.73M+10.0%$20.87M-20.2%
$15.09M+34.3%$21.9M+16.2%$20.86M+27.3%$13.77M+27.8%$11.24M+29.1%
$62.06M-17.6%$74.3M$82.24M$79.89M$75.34M
$67.5M+0.2%$67.41M$67.52M+11,830%$67.43M+35,579%$67.35M+34,794%
$3.67M+159%$3.22M+202%$3.2M+203%$1.41M+41.4%$1.42M+45.5%
$77.85M$83.89M$62.5M
$285.25M+14.9%$299.05M+82.3%$270.18M+84.1%$266.87M+68.8%$248.21M+131%
$932.94M+10.7%$931.33M+2.5%$929.75M-0.8%$843.37M-10.0%$842.42M-10.0%
$13.52M+112%$8.43M+45.4%$9.25M+53.7%$6.02M-4.7%$6.39M-2.8%
$17.18M+120%$11.65M+69.7%$12.45M+76.0%$7.43M+1.6%$7.81M+3.4%
$7.8M+3,800%$7.7M+3,750%$7.6M+3,700%$7.5M+3,650%$200K0.0%
$67.39M+79.1%$57.01M+78.6%$58.16M+1,173%$48.57M+782%$37.63M+786%
$1.17B+8.3%$1.17B+5.2%$1.15B+5.6%$1.06B-3.5%$1.08B-2.2%
$1.46B+9.6%$1.47B+15.1%$1.42B+14.9%$1.33B+5.6%$1.33B+9.5%
$0$0$0$0$0
450M0.0%450M+2,499,900%450M0.0%450M0.0%450M0.0%
$1.97B+104%$1.97B+105%$1.97B+107%$970.82M+2.9%$965.49M+2.9%
$226.46M-23.9%$234.43M-26.8%$225M-34.3%$266.78M-27.5%$297.65M-26.0%
-$42K-4,100%$387K+124%$298K+0.7%-$26K+71.1%-$1K+99.2%
$227.05M0.0%$227.05M0.0%$227.05M0.0%$227.05M$227.05M
$1.97B+89.9%$1.98B+87.6%$1.96B+84.6%$1.01B-8.9%$1.04B-8.9%
$3.84B+62.2%$3.86B+65.6%$3.8B+65.1%$2.34B-1.2%$2.37B+0.6%
$852.11M+51.9%$663.9M+16.8%$792.85M+36.3%$492.16M-23.3%$560.8M-13.8%
$0$0$0$0$0
$0$0$0$0$0
$852.06M+51.9%$664.28M+16.9%$793.22M+36.3%$492.12M-23.3%$560.81M-13.8%
$1.74B+129%$1.83B+115%$1.94B+124%$753.66M-19.6%$759.16M-19.8%
$33.39M+59.1%$39.62M+185%$35.56M+128%$19.75M+66.8%$20.98M+167%
$59.95M+2.8%$56.49M+16.7%$50.48M+9.4%$51.47M+15.5%$58.33M+33.1%
$64.11M+118%$38.34M+20.9%$33.92M+397%$24.57M+96.0%$29.38M+231%
$852.11M+51.9%$663.9M+16.8%$792.85M+36.3%$492.16M-23.3%$560.8M-13.8%
$18.55M+92.7%$13.21M+52.2%$14.15M+57.1%$9.14M-2.3%$9.63M-0.8%
$18.55M+92.7%$13.21M+52.2%$14.15M+57.1%$9.14M-2.3%$9.63M-0.8%
$64.11M+118%$38.34M+20.9%$33.92M+397%$24.57M+96.0%$29.38M+231%
$1.73B+16.4%$1.64B+13.8%$1.56B+11.1%$1.52B+10.8%$1.49B+11.9%
$18.55M+92.7%$13.21M+52.2%$14.15M+57.1%$9.14M-2.3%$9.63M-0.8%
$64.11M+118%$38.34M+20.9%$33.92M+397%$24.57M+96.0%$29.38M+231%
$40.1M+2.3%$40.3M+2.0%$38.8M+47.5%$39M+47.7%$39.2M+47.9%
$15.09M+34.3%$21.9M+26.1%$20.86M+27.3%$13.77M$11.24M
$77.85M$83.89M$62.5M
$99.41M+43.8%$95.09M+46.9%$77.98M+17.7%$74.45M$69.14M
$99.41M+43.8%$95.09M+46.9%$77.98M+17.7%$74.45M$69.14M
$15.09M+34.3%$21.9M+26.1%$20.86M+27.3%$13.77M$11.24M
$23.29M+50.1%$25.6M+35.8%$17.06M+92.6%$23.37M+74.6%$15.52M+109%
$18.4M
$77.85M$83.89M$62.5M
$79.85M+285%$81.55M+275%$83.23M+319%$19.69M-5.7%$20.73M-5.4%
$77.85M$83.89M$62.5M
$1.02B+10.8%$1.01B+10.3%$1.01B+6.7%$918.57M-2.8%$918.11M-2.7%
$1.08B+16.1%$1.08B+16.1%$1.08B+12.8%$930.49M$930.49M
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
192.9M+8.0%192.6M+7.9%192.5M+7.9%178.7M+0.2%178.7M+0.2%
49.6M-0.8%49.6M-0.8%49.6M-0.8%50M0.0%50M0.0%
00000
00000
$19K+5.6%$19K+5.6%$19K+5.6%$18K0.0%$18K0.0%
$0$0$0$0$0
$227.05M0.0%$227.05M0.0%$227.05M0.0%$227.05M$227.05M
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
$55K+71.9%$371K+61.3%$374K-13.6%$5K-84.8%$32K+39.1%
$111K+484%$0-100%$6K-33.3%$40K-52.4%$19K-79.6%
$852.11M+51.9%$663.9M+16.8%$792.85M+36.3%$492.16M-23.3%$560.8M-13.8%
$62.18M+51.4%$60.29M+67.4%$40.4M+14.6%$40.31M$41.06M
$36.26M$26.86M$21.38M
$0$0$0$0$0
$46.2M+1.8%$46.2M+1.5%$45.4M-0.2%$45.4M-0.2%$45.4M-0.2%
$51.4M-0.2%$51.4M-0.4%$51.4M-2.1%$51.5M-2.1%$51.5M+2.6%
$111K+484%$0-100%$6K-33.3%$40K-52.4%$19K-79.6%
$55K+71.9%$371K+61.3%$374K-13.6%$5K-84.8%$32K+39.1%
$852.11M+51.9%$663.9M+16.8%$792.85M+36.3%$492.16M-23.3%$560.8M-13.8%
$886.28M+347%$1.17B+313%$1.15B+303%$261.54M-11.5%$198.34M-33.1%
$1.74B+129%$1.83B+115%$1.94B+124%$753.69M-19.6%$759.14M-19.8%
$4K+300%$67K+168%$28K-24.3%$2K+100%$1K-50.0%
$3K+200%$0$0$2K-50.0%$1K-92.9%
$59K+78.8%$438K+71.8%$402K-14.5%$7K-79.4%$33K+32.0%
$114K+470%$0-100%$6K-33.3%$42K-52.3%$20K-81.3%
$00.0%$00.0%$00.0%$00.0%$00.0%
$450M0.0%$450M0.0%$450M0.0%$450M0.0%$450M0.0%
$192.92M+8.0%$192.61M+7.9%$192.46M+7.9%$178.72M+0.2%$178.7M+0.2%
$177.67M+8.7%$177.36M+8.7%$177.21M+8.6%$163.47M-1.1%$163.45M-1.1%
$139.91M-3.4%$158.19M$144.74M$124.95M$144.81M
$1.08B+16.1%$1.08B+16.1%$1.08B+12.8%$930.49M$930.49M
$24.52M+11.3%$22.1M+10.0%$22.07M+11.3%$22.03M$22.03M
$35.23M-56.3%$51.56M-39.6%$55.86M-43.3%$67.31M-37.5%$80.7M-33.8%
$22.98M+19.6%$41.98M+112%$35.86M+357%$19.27M$19.21M
$39.5M
$23.99M-23.2%$23.8M-23.6%$22.8M-24.8%$22.26M$31.25M
$24.4M+92.1%$24.1M+95.9%$23.8M+98.3%$22.5M$12.7M
$20.43M+55.1%$10.8M+47.8%$12.58M+30.5%$18.21M$13.17M
$00.0%$00.0%$00.0%$00.0%$00.0%
$49.6M-0.8%$49.6M-0.8%$49.6M-0.8%$50M0.0%$50M0.0%
$0$0$0$0$0
$0$0$0$0$0
$265.65M+73.1%$252.1M+98.6%$207.15M+51.7%$173.27M+30.8%$153.42M+24.7%
$15.25M0.0%$15.25M0.0%$15.25M0.0%$15.25M$15.25M

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Questions, answered.

What are MP Materials's total assets?
MP Materials (MP) holds $3.8B in total assets, up 62.2% year over year.
How much debt does MP Materials have?
MP Materials carries $1.0B in total debt against $2.0B of shareholders' equity, a debt-to-equity ratio of 0.52.
How much cash does MP Materials have?
MP Materials holds $887.1M in cash and equivalents.
Can MP Materials cover its short-term obligations?
Its current ratio is 7.18 — current assets exceed current liabilities.
Where does MP Materials's balance sheet data come from?
Every line is extracted from MP Materials's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.