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ET Energy Transfer

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  • 19.990
  • +0.170+0.86%
Close Feb 14 16:00 ET
  • 20.040
  • +0.050+0.25%
Post 20:01 ET
68.59BMarket Cap15.62P/E (TTM)

Energy Transfer Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
93.79%312M
93.79%312M
-41.83%299M
96.97%650M
489.70%1.95B
-37.35%161M
-37.35%161M
57.67%514M
-6.52%330M
-70.30%330M
-Cash and cash equivalents
93.79%312M
93.79%312M
-41.83%299M
96.97%650M
489.70%1.95B
-37.35%161M
-37.35%161M
57.67%514M
-6.52%330M
-70.30%330M
Receivables
12.14%10.33B
12.14%10.33B
2.42%10.03B
29.67%9.68B
16.34%9.82B
6.82%9.22B
6.82%9.22B
12.04%9.8B
-28.02%7.47B
-16.45%8.44B
-Accounts receivable
12.65%10.19B
12.65%10.19B
2.28%9.83B
30.79%9.54B
16.62%9.64B
6.86%9.05B
6.86%9.05B
11.94%9.61B
-28.23%7.29B
-17.02%8.27B
-Taxes receivable
-16.42%56M
-16.42%56M
-30.95%58M
-59.76%33M
-9.38%58M
-1.47%67M
-1.47%67M
29.23%84M
-4.65%82M
-5.88%64M
-Related party accounts receivable
-13.86%87M
-13.86%87M
43.56%145M
20.22%107M
10.19%119M
8.60%101M
8.60%101M
9.78%101M
-27.05%89M
54.29%108M
Inventory
23.89%3.07B
23.89%3.07B
-3.40%2.5B
15.54%2.62B
10.75%2.27B
0.69%2.48B
0.69%2.48B
4.02%2.59B
2.48%2.27B
3.33%2.05B
Prepaid assets
-26.83%150M
-26.83%150M
----
----
----
-38.62%205M
-38.62%205M
----
----
----
Other current assets
6.17%327M
6.17%327M
-6.50%475M
-17.99%424M
-18.13%447M
-21.43%308M
-21.43%308M
-12.41%508M
-28.79%517M
-30.27%546M
Total current assets
14.23%14.2B
14.23%14.2B
-0.65%13.34B
26.50%13.41B
32.08%15.02B
2.91%12.43B
2.91%12.43B
10.40%13.42B
-31.33%10.6B
-27.58%11.37B
Non current assets
Net PPE
11.42%96.02B
11.42%96.02B
17.33%95.85B
13.13%92.74B
6.30%85.91B
6.22%86.18B
6.22%86.18B
0.76%81.69B
1.59%81.98B
-0.06%80.82B
-Gross PPE
12.35%130.05B
12.35%130.05B
16.70%128.64B
13.50%124.34B
8.29%116.37B
8.37%115.76B
8.37%115.76B
4.13%110.23B
4.78%109.54B
3.53%107.46B
-Accumulated depreciation
-15.04%-34.03B
-15.04%-34.03B
-14.91%-32.79B
-14.60%-31.59B
-14.34%-30.46B
-15.17%-29.58B
-15.17%-29.58B
-15.17%-28.54B
-15.56%-27.57B
-16.17%-26.64B
Goodwill and other intangible assets
-3.74%9.87B
-3.74%9.87B
28.89%10.01B
28.57%10.11B
26.75%10B
28.53%10.26B
28.53%10.26B
-3.60%7.77B
-3.62%7.87B
-3.11%7.89B
-Goodwill
-2.89%3.9B
-2.89%3.9B
52.50%3.91B
52.50%3.91B
51.48%3.89B
56.63%4.02B
56.63%4.02B
0.43%2.56B
0.43%2.56B
1.30%2.57B
-Other intangible assets
-4.30%5.97B
-4.30%5.97B
17.26%6.1B
17.00%6.2B
14.83%6.11B
15.22%6.24B
15.22%6.24B
-5.47%5.2B
-5.46%5.3B
-5.10%5.32B
Investments and advances
5.46%3.27B
5.46%3.27B
9.19%3.27B
7.62%3.24B
8.11%3.09B
7.05%3.1B
7.05%3.1B
4.32%2.99B
2.84%3.01B
-2.05%2.86B
Related parties assets
-13.86%87M
-13.86%87M
43.56%145M
20.22%107M
10.19%119M
8.60%101M
8.60%101M
9.78%101M
-27.05%89M
54.29%108M
Financial assets
----
----
----
-66.67%1M
----
----
----
--4M
--3M
----
Non current deferred assets
2.03%151M
2.03%151M
----
----
----
5.71%148M
5.71%148M
----
----
----
Defined pension benefit
29.66%188M
29.66%188M
----
----
----
12.40%145M
12.40%145M
----
----
----
Other non current assets
16.53%1.68B
16.53%1.68B
16.27%1.97B
9.38%1.84B
11.92%1.77B
11.71%1.44B
11.71%1.44B
7.44%1.69B
7.88%1.68B
1.21%1.59B
Total non current assets
9.79%111.18B
9.79%111.18B
18.00%111.09B
14.17%107.93B
8.18%100.77B
8.23%101.27B
8.23%101.27B
0.61%94.15B
1.28%94.53B
-0.37%93.15B
Total assets
10.27%125.38B
10.27%125.38B
15.67%124.43B
15.42%121.34B
10.78%115.79B
7.62%113.7B
7.62%113.7B
1.74%107.57B
-3.34%105.13B
-4.28%104.52B
Liabilities
Current liabilities
Payables
22.14%9.15B
22.14%9.15B
-7.77%7.38B
21.02%7.48B
8.94%7.56B
-2.84%7.49B
-2.84%7.49B
6.39%8B
-30.68%6.18B
-19.77%6.94B
-accounts payable
24.66%8.31B
24.66%8.31B
-8.38%7.33B
21.04%7.47B
8.67%7.54B
-4.16%6.66B
-4.16%6.66B
6.43%8B
-30.66%6.17B
-19.87%6.93B
-Total tax payable
14.09%737M
14.09%737M
----
----
----
24.47%646M
24.47%646M
----
----
----
-Due to related parties current
-9.52%19M
-9.52%19M
685.71%55M
10.00%11M
222.22%29M
23.53%21M
23.53%21M
-22.22%7M
-41.18%10M
800.00%9M
-Other payable
-44.79%90M
-44.79%90M
----
----
----
-27.23%163M
-27.23%163M
----
----
----
Current accrued expenses
20.88%1.8B
20.88%1.8B
25.92%4.65B
17.15%3.89B
19.03%3.77B
-1.66%1.49B
-1.66%1.49B
2.24%3.7B
-2.64%3.32B
-1.12%3.17B
Current debt and capital lease obligation
-92.95%75M
-92.95%75M
-68.79%328M
-90.78%323M
2,529.79%1.24B
2,163.83%1.06B
2,163.83%1.06B
2,235.56%1.05B
7,517.39%3.5B
-93.24%47M
-Current debt
-99.21%8M
-99.21%8M
-73.86%263M
-92.57%257M
58,950.00%1.18B
50,300.00%1.01B
50,300.00%1.01B
50,200.00%1.01B
172,850.00%3.46B
-99.69%2M
-Current capital lease obligation
19.64%67M
19.64%67M
44.44%65M
46.67%66M
22.22%55M
24.44%56M
24.44%56M
4.65%45M
2.27%45M
4.65%45M
Current deferred liabilities
23.55%682M
23.55%682M
----
----
----
12.65%552M
12.65%552M
----
----
----
Other current liabilities
39.39%952M
39.39%952M
75.00%7M
114.29%15M
3,600.00%148M
12.15%683M
12.15%683M
-93.33%4M
-99.36%7M
-99.66%4M
Current liabilities
12.23%12.66B
12.23%12.66B
-3.01%12.37B
-10.02%11.71B
25.16%12.72B
8.77%11.28B
8.77%11.28B
13.45%12.76B
-3.43%13.01B
-25.93%10.16B
Non current liabilities
Long term debt and capital lease obligation
15.96%60.48B
15.96%60.48B
24.84%59.74B
27.83%58.11B
10.35%52.99B
6.32%52.16B
6.32%52.16B
-0.74%47.85B
-7.05%45.46B
-3.25%48.02B
-Long term debt
16.29%59.75B
16.29%59.75B
25.32%59B
28.40%57.36B
10.73%52.3B
6.46%51.38B
6.46%51.38B
-0.71%47.08B
-7.13%44.67B
-3.27%47.23B
-Long term capital lease obligation
-6.17%730M
-6.17%730M
-4.26%742M
-4.58%750M
-12.01%696M
-2.51%778M
-2.51%778M
-2.39%775M
-1.87%786M
-2.22%791M
Non current deferred liabilities
6.59%4.19B
6.59%4.19B
5.63%4.11B
4.22%4B
6.65%4.01B
6.21%3.93B
6.21%3.93B
6.28%3.89B
6.31%3.84B
6.19%3.76B
Derivative product liabilities
--0
--0
--0
--0
--0
-82.61%4M
-82.61%4M
--0
-84.03%23M
-69.06%43M
Other non current liabilities
0.43%1.62B
0.43%1.62B
-19.99%1.61B
21.54%1.63B
16.74%1.6B
20.13%1.61B
20.13%1.61B
31.76%2.02B
-2.47%1.34B
2.77%1.37B
Total non current liabilities
14.88%66.29B
14.88%66.29B
21.77%65.46B
25.82%63.74B
10.17%58.6B
6.62%57.7B
6.62%57.7B
0.61%53.76B
-6.24%50.66B
-2.66%53.2B
Total liabilities
14.45%78.95B
14.45%78.95B
17.02%77.83B
18.49%75.45B
12.57%71.32B
6.96%68.98B
6.96%68.98B
2.84%66.51B
-5.68%63.68B
-7.33%63.36B
Shareholders'equity
Gains losses not affecting retained earnings
160.71%73M
160.71%73M
44.83%42M
100.00%48M
215.38%41M
75.00%28M
75.00%28M
-9.38%29M
-17.24%24M
-69.77%13M
Total stockholders'equity
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Noncontrolling interests
40.83%11.32B
40.83%11.32B
43.14%11.36B
46.43%11.58B
6.46%8.53B
-1.13%8.04B
-1.13%8.04B
-3.58%7.94B
-8.85%7.91B
-9.17%8.02B
Total equity
3.84%46.43B
3.84%46.43B
13.49%46.6B
10.69%45.89B
8.02%44.47B
8.66%44.72B
8.66%44.72B
-0.00%41.06B
0.48%41.46B
0.84%41.16B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 93.79%312M93.79%312M-41.83%299M96.97%650M489.70%1.95B-37.35%161M-37.35%161M57.67%514M-6.52%330M-70.30%330M
-Cash and cash equivalents 93.79%312M93.79%312M-41.83%299M96.97%650M489.70%1.95B-37.35%161M-37.35%161M57.67%514M-6.52%330M-70.30%330M
Receivables 12.14%10.33B12.14%10.33B2.42%10.03B29.67%9.68B16.34%9.82B6.82%9.22B6.82%9.22B12.04%9.8B-28.02%7.47B-16.45%8.44B
-Accounts receivable 12.65%10.19B12.65%10.19B2.28%9.83B30.79%9.54B16.62%9.64B6.86%9.05B6.86%9.05B11.94%9.61B-28.23%7.29B-17.02%8.27B
-Taxes receivable -16.42%56M-16.42%56M-30.95%58M-59.76%33M-9.38%58M-1.47%67M-1.47%67M29.23%84M-4.65%82M-5.88%64M
-Related party accounts receivable -13.86%87M-13.86%87M43.56%145M20.22%107M10.19%119M8.60%101M8.60%101M9.78%101M-27.05%89M54.29%108M
Inventory 23.89%3.07B23.89%3.07B-3.40%2.5B15.54%2.62B10.75%2.27B0.69%2.48B0.69%2.48B4.02%2.59B2.48%2.27B3.33%2.05B
Prepaid assets -26.83%150M-26.83%150M-------------38.62%205M-38.62%205M------------
Other current assets 6.17%327M6.17%327M-6.50%475M-17.99%424M-18.13%447M-21.43%308M-21.43%308M-12.41%508M-28.79%517M-30.27%546M
Total current assets 14.23%14.2B14.23%14.2B-0.65%13.34B26.50%13.41B32.08%15.02B2.91%12.43B2.91%12.43B10.40%13.42B-31.33%10.6B-27.58%11.37B
Non current assets
Net PPE 11.42%96.02B11.42%96.02B17.33%95.85B13.13%92.74B6.30%85.91B6.22%86.18B6.22%86.18B0.76%81.69B1.59%81.98B-0.06%80.82B
-Gross PPE 12.35%130.05B12.35%130.05B16.70%128.64B13.50%124.34B8.29%116.37B8.37%115.76B8.37%115.76B4.13%110.23B4.78%109.54B3.53%107.46B
-Accumulated depreciation -15.04%-34.03B-15.04%-34.03B-14.91%-32.79B-14.60%-31.59B-14.34%-30.46B-15.17%-29.58B-15.17%-29.58B-15.17%-28.54B-15.56%-27.57B-16.17%-26.64B
Goodwill and other intangible assets -3.74%9.87B-3.74%9.87B28.89%10.01B28.57%10.11B26.75%10B28.53%10.26B28.53%10.26B-3.60%7.77B-3.62%7.87B-3.11%7.89B
-Goodwill -2.89%3.9B-2.89%3.9B52.50%3.91B52.50%3.91B51.48%3.89B56.63%4.02B56.63%4.02B0.43%2.56B0.43%2.56B1.30%2.57B
-Other intangible assets -4.30%5.97B-4.30%5.97B17.26%6.1B17.00%6.2B14.83%6.11B15.22%6.24B15.22%6.24B-5.47%5.2B-5.46%5.3B-5.10%5.32B
Investments and advances 5.46%3.27B5.46%3.27B9.19%3.27B7.62%3.24B8.11%3.09B7.05%3.1B7.05%3.1B4.32%2.99B2.84%3.01B-2.05%2.86B
Related parties assets -13.86%87M-13.86%87M43.56%145M20.22%107M10.19%119M8.60%101M8.60%101M9.78%101M-27.05%89M54.29%108M
Financial assets -------------66.67%1M--------------4M--3M----
Non current deferred assets 2.03%151M2.03%151M------------5.71%148M5.71%148M------------
Defined pension benefit 29.66%188M29.66%188M------------12.40%145M12.40%145M------------
Other non current assets 16.53%1.68B16.53%1.68B16.27%1.97B9.38%1.84B11.92%1.77B11.71%1.44B11.71%1.44B7.44%1.69B7.88%1.68B1.21%1.59B
Total non current assets 9.79%111.18B9.79%111.18B18.00%111.09B14.17%107.93B8.18%100.77B8.23%101.27B8.23%101.27B0.61%94.15B1.28%94.53B-0.37%93.15B
Total assets 10.27%125.38B10.27%125.38B15.67%124.43B15.42%121.34B10.78%115.79B7.62%113.7B7.62%113.7B1.74%107.57B-3.34%105.13B-4.28%104.52B
Liabilities
Current liabilities
Payables 22.14%9.15B22.14%9.15B-7.77%7.38B21.02%7.48B8.94%7.56B-2.84%7.49B-2.84%7.49B6.39%8B-30.68%6.18B-19.77%6.94B
-accounts payable 24.66%8.31B24.66%8.31B-8.38%7.33B21.04%7.47B8.67%7.54B-4.16%6.66B-4.16%6.66B6.43%8B-30.66%6.17B-19.87%6.93B
-Total tax payable 14.09%737M14.09%737M------------24.47%646M24.47%646M------------
-Due to related parties current -9.52%19M-9.52%19M685.71%55M10.00%11M222.22%29M23.53%21M23.53%21M-22.22%7M-41.18%10M800.00%9M
-Other payable -44.79%90M-44.79%90M-------------27.23%163M-27.23%163M------------
Current accrued expenses 20.88%1.8B20.88%1.8B25.92%4.65B17.15%3.89B19.03%3.77B-1.66%1.49B-1.66%1.49B2.24%3.7B-2.64%3.32B-1.12%3.17B
Current debt and capital lease obligation -92.95%75M-92.95%75M-68.79%328M-90.78%323M2,529.79%1.24B2,163.83%1.06B2,163.83%1.06B2,235.56%1.05B7,517.39%3.5B-93.24%47M
-Current debt -99.21%8M-99.21%8M-73.86%263M-92.57%257M58,950.00%1.18B50,300.00%1.01B50,300.00%1.01B50,200.00%1.01B172,850.00%3.46B-99.69%2M
-Current capital lease obligation 19.64%67M19.64%67M44.44%65M46.67%66M22.22%55M24.44%56M24.44%56M4.65%45M2.27%45M4.65%45M
Current deferred liabilities 23.55%682M23.55%682M------------12.65%552M12.65%552M------------
Other current liabilities 39.39%952M39.39%952M75.00%7M114.29%15M3,600.00%148M12.15%683M12.15%683M-93.33%4M-99.36%7M-99.66%4M
Current liabilities 12.23%12.66B12.23%12.66B-3.01%12.37B-10.02%11.71B25.16%12.72B8.77%11.28B8.77%11.28B13.45%12.76B-3.43%13.01B-25.93%10.16B
Non current liabilities
Long term debt and capital lease obligation 15.96%60.48B15.96%60.48B24.84%59.74B27.83%58.11B10.35%52.99B6.32%52.16B6.32%52.16B-0.74%47.85B-7.05%45.46B-3.25%48.02B
-Long term debt 16.29%59.75B16.29%59.75B25.32%59B28.40%57.36B10.73%52.3B6.46%51.38B6.46%51.38B-0.71%47.08B-7.13%44.67B-3.27%47.23B
-Long term capital lease obligation -6.17%730M-6.17%730M-4.26%742M-4.58%750M-12.01%696M-2.51%778M-2.51%778M-2.39%775M-1.87%786M-2.22%791M
Non current deferred liabilities 6.59%4.19B6.59%4.19B5.63%4.11B4.22%4B6.65%4.01B6.21%3.93B6.21%3.93B6.28%3.89B6.31%3.84B6.19%3.76B
Derivative product liabilities --0--0--0--0--0-82.61%4M-82.61%4M--0-84.03%23M-69.06%43M
Other non current liabilities 0.43%1.62B0.43%1.62B-19.99%1.61B21.54%1.63B16.74%1.6B20.13%1.61B20.13%1.61B31.76%2.02B-2.47%1.34B2.77%1.37B
Total non current liabilities 14.88%66.29B14.88%66.29B21.77%65.46B25.82%63.74B10.17%58.6B6.62%57.7B6.62%57.7B0.61%53.76B-6.24%50.66B-2.66%53.2B
Total liabilities 14.45%78.95B14.45%78.95B17.02%77.83B18.49%75.45B12.57%71.32B6.96%68.98B6.96%68.98B2.84%66.51B-5.68%63.68B-7.33%63.36B
Shareholders'equity
Gains losses not affecting retained earnings 160.71%73M160.71%73M44.83%42M100.00%48M215.38%41M75.00%28M75.00%28M-9.38%29M-17.24%24M-69.77%13M
Total stockholders'equity --0--0--0--0--0--0--0--0--0--0
Noncontrolling interests 40.83%11.32B40.83%11.32B43.14%11.36B46.43%11.58B6.46%8.53B-1.13%8.04B-1.13%8.04B-3.58%7.94B-8.85%7.91B-9.17%8.02B
Total equity 3.84%46.43B3.84%46.43B13.49%46.6B10.69%45.89B8.02%44.47B8.66%44.72B8.66%44.72B-0.00%41.06B0.48%41.46B0.84%41.16B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------
Trending Stocks
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.