close
close
migores1

Murphy USA Stock: Potential Share Appreciation Via Share Buybacks (NYSE:MUSA)

A Murphy Express gas station sign is shown.

JHVEPhoto

Business & Competitive Advantage

Murphy USA Inc. (NYSE:MUSA) was founded in Delaware in March 2013, and holds via its subsidiaries the convenience store business of its former parent company Murphy Oil Corporation. Murphy USA primarily sells motor fuels and convenience store

All figures in millions USD unless noted otherwise FY 2013 FY 2023 Change
Operating Revenues
Petroluem Product Sales 15,560.3 17,104.4 +9.92%
Merchandise Sales 2,159.5 4,089.3 +89.36%
Other Operating Revenues 363.6 335.7 -7.67%
Total Operating Revenues 18,083.3 21,529.4 +19.06%
Operating Expenses
Petroleum Product COGS 15,010.0 15,929.7 +6.13%
Merchandise COGS 1,877.6 3,285.9 +75.01%
Ethanol COGS 228.9
Store & Other Operating Expenses 493.7 1,014.8 105.6%
Depreciation & Amortization 74.1 228.7 +208.6%
Selling, General & Administrative 133.0 240.5 80.8%
Accretion Of Asset Retirement Obligations 1.1 3.0
Acquisition Related Costs
Total Operating Expenses 17,818.4 20,702.6 +16.2%
Gain (Loss) On Sale Of Assets 6.0 (0.8)
Income (Loss) From Operations 264.9 826.0 +211.8%
Other Income (Expense)
Investment Income 1.1 6.9
Interest Expense (14.5) (98.5) +579.3%
Other Nonoperating Income (Expense) 0.2
Total Other Income (7.2) (91.6)
Income Before Income Taxes 257.7 734.4 185.0%
Income Tax Expense 101.4 177.6 75.2%
Net Income 156.3 556.8 256.2%
Diluted Earnings Per Share 5.02 25.49 407.8%
Weighted Average Diluted Shares Outstanding (thousands) 46,858 21,843 -53.4%

Amounts in millions USD FY 2013 FY 2023
Operating Activities
Net Income 235.0 556.8
Adjustments To Reconcile Net Income To Operating Cash Flow
(Income) Loss From Discontinued Operations, net of Taxes (78.7)
Depreciation & Amortization 74.1 228.7
Deferred & Noncurrent Income Tax Charges (Benefits) 2.0
Amortization Of Deferred Major Repair Costs 0.6 3.0
Deferred & Noncurrent Income Tax Charges (Credits) (7.3)
Impairment Of Properties
Amortization of Discount On Marketable Securities (0.4)
Accretion On Discounted Liabilities 1.1
Pretax (Gains) Losses From Sale Of Assets (6.0) 0.8
Net Decrease (Increase) In Noncash Operating Working Capital 74.9 (42.1)
Other Operating Activities, net 13.2 35.2
Net Cash Provided By Continuing Operations 307.0 784.0
Net Cash Provided By Discontinued Operations 49.7
Operating Cash Flow 356.7 784.0
Investing Activites
Property Additions (164.5) (335.6)
Proceeds From Sale Of Assets 6.1 2.4
Expenditures For Major Repairs (0.7)
Investment In Marketable Securities (12.8)
Redemptions Of Marketable Securities 24.0
Other Investing Activities, net 0.1 (1.6)
Investing Activities Of Discontinued Operations
Sales Proceeds 173.1
Other (1.1)
Investing Cash Flow 12.9 (323.6)
Financing Activities
Purchase Of Treasury Stock (333.2)
Dividends Paid (33.4)
Repayments Of Long Term Debt (81.2) (23.4)
Additions To Long Term Debt 641.3 8.0
Cash Dividend To Former Parent (650.0)
Debt Issuance Costs (6.7)
Net Distributions To Former Parent (35.6)
Amounts Related To Share-Based Compensation (21.1)
Financing Cash Flow (132.2) (403.1)

All Figures in Millions USD FY 2013 FY 2023
Assets
Current Assets
Cash & Equivalents 294.7 117.8
Marketable Securities, current 7.1
Accounts Receivable 193.2 336.7
Inventories, At Lower Of Cost Or Market 179.1 341.2
Prepaid Expenses & Other Current Assets 15.4 23.7
Total Current Assets 682.4 826.5
Marketable Securities, non-Current 4.4
Property, Plant & Equipment, net of Depreciation 1,190.7 2,572.8
Operating Lease Right Of Use Assets 452.1
Intangible Assets, net of Amortization 139.8
Goodwill 328.0
Deferred Charges & Other Assets 8.1
Other Assets 17.5
Total Assets 1,881.2 4,340.1
Liabilities & Stockholder’s Equity
Current Liabilities
Current Maturities Of Long-Term Debt 14.0 15.0
Trade Accounts Payable & Accrued Liabilities 433.2 834.7
Income Taxes Payable 72.1 23.1
Total Current Liabilities 519.4 872.8
Long Term Debt, Including Capitalized Lease Obligations 547.6 1,784.7
Deferred Income Taxes 7.1 329.5
Asset Retirement Obligations 114.9 46.1
Non-current Operating Lease Liabilities 450.3
Deferred Credits & Other Liabilities 18.7 27.8
Total Liabilities 1,224.9 3,511.2
Stockholders’ Equity
Preferred Stock, par $0.01
Common Stock, par $0.01 467 0.5
Treasury Stock (2,957.8)
Additional Paid-in Capital 548.3 508.1
Retained Earnings 107.6 3,278.1
Total Stockholders’ Equity 626.3 828.9

Related Articles

Back to top button