MP Materials Corp. / DE

Annual Trend FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Net Income (Loss) ($6.8m) ($21.8m) $135.0m $289.0m $24.3m ($65.4m) ($85.9m)
Depreciation, depletion and amortization $4.7m $6.9m $24.4m $18.4m $55.7m $78.1m $89.3m
Amortization of debt discount and debt issuance costs $3.1m $7.4m $4.0m $3.5m $3.9m $5.4m
Deferred income taxes $1k ($17.8m) $17.4m $17.8m $8.5m ($27.8m) ($30.4m)
Gain on early extinguishment of debt $0 $0 ($3.4m) $0 $0 ($52.9m) $0
Investment in equity method investee $0 $0 ($9.7m) $0 $0
Proceeds from return of investment in equity method investee $0 $0 $9.7m
Accretion of discount on short-term investments $0 $0 ($10.0m) ($26.3m) ($30.3m) ($24.1m)
Stock-based compensation expense $0 $5.0m $22.9m $31.8m $25.2m $23.2m $30.2m
Write-downs of inventories $0 $0 $1.8m $0 $2.3m $21.5m $3.0m
Other $0 ($1.1m) ($377k) $0 $0 $4.8m ($7.1m)
Trade accounts receivable (including related party) ($145k) ($3.2m) ($47.4m) $18.2m $22.8m ($8.8m) $4.0m
Income taxes receivable $0 $0 ($2.2m) $1.4m ($22.8m) $22.7m
Other receivables $0 $0 ($19.3m) ($497k) ($110.4m)
Inventories ($9.6m) ($9.2m) ($8.2m) ($24.3m) ($47.1m) ($41.5m) ($115.0m)
Prepaid expenses, other current and non-current assets ($82k) $1.8m ($4.2m) ($6.0m) $2.4m ($1.3m) ($9.0m)
Accounts payable and accrued liabilities $6.2m ($3.8m) $5.5m $2.0m $11.3m $1.3m $9.4m
Income taxes payable $0 $0 $3.5m $17.7m ($21.2m) $0 $360k
Deferred revenue $0 $0 $100.0m $58.2m
Deferred government grant $0 $0 $19.1m $4.9m $4.8m
Other current and non-current liabilities ($3.5m) ($3.0m) ($902k) ($1.1m) ($294k) $27.0m ($1.2m)
Proceeds from government awards used for construction $0 $0 $4.4m $5.1m $2.8m $96k $24.2m
Proceeds from issuance of Series A preferred stock $0 $0 $299.4m
Proceeds from issuance of warrant $0 $0 $189.1m
Payment of equity issuance costs $0 ($40.3m) $0 $0 $0 $0 ($31.1m)
Purchase of capped call options $0 $0 ($65.3m) $0
Tax withholding on stock-based awards $0 ($996k) ($3.3m) ($18.4m) ($7.2m) ($10.1m) ($10.9m)
Net cash provided by (used in) operating activities ($437k) $3.3m $102.0m $343.5m $62.7m $13.3m ($155.8m)
Additions to property, plant and equipment ($2.3m) ($22.4m) ($123.9m) ($326.6m) ($261.9m) ($186.4m) ($172.4m)
Proceeds from sale of property, plant and equipment $7.9m $0 $125k $0 $18k $0 $4.1m
Purchases of short-term investments $0 $0 ($2.8b) ($1.2b) ($1.6b) ($1.8b)
Proceeds from sales of short-term investments $0 $0 $1.5b $507.7m $166.4m $176.1m
Proceeds from maturities of short-term investments $0 $0 $281.0m $1.0b $1.6b $1.6b
Net cash provided by (used in) investing activities $5.6m ($22.4m) ($119.4m) ($1.4b) $68.7m $10.1m ($206.0m)
Proceeds from issuance of long-term debt $7.2m $3.4m $690.0m $0 $0 $747.5m $61.5m
Payment of debt issuance costs $0 $0 ($17.7m) $0 $0 ($20.6m) ($3.8m)
Payments to retire long-term debt $0 $0 ($428.6m) $0
Principal payments on debt obligations ($5.8m) ($2.7m) ($2.5m) ($6.1m)
Proceeds from issuance of common stock $0 $0 $747.5m
Repurchases of common stock $0 $0 ($225.1m) $0
Net cash provided by (used in) financing activities ($4.1m) $522.0m $666.1m ($24.2m) ($9.9m) ($4.8m) $1.2b
Net change in cash, cash equivalents and restricted cash $1.1m $502.9m $648.7m ($1.0b) $121.5m $18.6m $883.8m
Cash, cash equivalents and restricted cash beginning balance $29.6m $532.4m $1.2b $143.5m $265.0m $283.6m $1.2b
Cash and cash equivalents $2.8m $519.7m $1.2b $136.6m $263.4m $282.4m $1.2b
Restricted cash, current $24k $3.7m $1.3m $6.3m $1.3m $812k $810k
Restricted cash, non-current $26.8m $9.1m $516k $595k $347k $349k $538k

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.