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MP Materials MP Cash Flow Statement

FY'25FY'24FY'23FY'22
-$65.42M$289M+114%
$89.27M+14.4%$78.06M+40.1%$55.71M+203%$18.36M-24.7%
$30.16M+30.1%$23.18M-8.1%$25.24M-20.6%$31.78M+38.6%
$30.39M+9.4%$27.78M
$5.41M+38.7%$3.9M+10.3%$3.54M-12.3%$4.03M-45.4%
-$4.08M-146%$8.93M+135%-$25.21M
$115.02M+168%$42.85M-9.0%$47.1M+93.7%$24.31M
$9.39M$11.31M
$6.02M
-$294K
-$4.84M-$1.87M
$100M$0
$36K-99.8%$18.03M$0
-$155.76M-1,267%$13.35M$343.51M+237%
$172.38M-7.5%$186.42M-28.8%$261.9M-19.8%$326.6M+164%
$1.82B+16.0%$1.57B+32.3%$1.19B-57.4%$2.78B
$176.07M+5.8%$166.37M-67.2%$507.74M-65.3%$1.46B
$0-100%$18K$0
$0$0-100%$9.67M$0
-$1.36B-1,037%
$0$0$0-100%
$10.92M+8.0%$10.11M+40.7%$7.19M-60.9%$18.36M+451%
$1.25B-$9.92M+59.0%-$24.19M
$883.76M-$1.04B
$24.09M-20.4%$30.26M+15.0%$26.32M+164%$9.96M
$3.54M-12.3%$4.03M-45.4%
$4.83M-1.7%$4.91M-74.3%$19.12M$0
$30.39M+9.4%$27.78M
$36K-99.8%$18.03M$0
$6.02M
$2.3M$0
-$4.84M-$1.87M
$0$0-100%$9.67M$0
$1.57B-1.7%$1.6B+57.4%$1.02B+261%$281M
$176.07M+5.8%$166.37M-67.2%$507.74M-65.3%$1.46B
$0-100%$18K$0
-$328.13M-89.6%-$173.07M+13.1%-$199.2M
-$328.13M-89.6%-$173.07M+13.1%-$199.2M

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Questions, answered.

How much cash does MP Materials generate?
MP Materials (MP) generated -$94.5M in operating cash flow over the trailing twelve months.
What is MP Materials's free cash flow?
After $219.3M of capital expenditures, MP Materials's free cash flow was -$313.8M over the trailing twelve months, down 80.5% year over year.
Where does MP Materials's cash flow 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.