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KMI Kinder Morgan

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  • 24.775
  • -0.175-0.70%
Trading Oct 21 15:29 ET
55.04BMarket Cap21.92P/E (TTM)

Kinder Morgan Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-2.88%1.25B
8.84%1.69B
-10.80%1.19B
30.68%6.49B
65.38%2.32B
40.55%1.29B
-0.90%1.55B
22.97%1.33B
-12.98%4.97B
10.73%1.4B
Net income from continuing operations
17.30%651M
-1.31%602M
9.96%773M
-5.30%2.49B
-10.82%618M
-6.72%555M
-6.58%610M
2.78%703M
41.89%2.63B
5.96%693M
Operating gains losses
-14.43%-230M
11.62%-251M
2.60%-225M
-25.67%-979M
-14.35%-263M
4.29%-201M
-29.68%-284M
-92.50%-231M
-191.97%-779M
-5.99%-230M
Depreciation and amortization
4.63%587M
4.85%584M
3.89%587M
2.93%2.25B
2.35%567M
1.81%561M
2.58%557M
5.02%565M
2.39%2.19B
2.59%554M
Deferred tax
-31.21%97M
-3.05%159M
4.21%198M
2.60%710M
11.40%215M
8.46%141M
-8.38%164M
0.00%190M
94.93%692M
62.18%193M
Other non cash items
-136.84%-14M
-91.67%2M
108.57%3M
133.48%74M
422.22%47M
123.17%38M
204.35%24M
18.60%-35M
-70.00%-221M
-68.97%9M
Change In working capital
-100.00%-26M
19.33%358M
-602.13%-330M
557.85%1.2B
11,837.50%955M
93.05%-13M
20.97%300M
85.76%-47M
-278.26%-261M
119.05%8M
-Change in receivables
114.86%33M
191.89%108M
-70.34%159M
236.82%301M
-225.00%-50M
-244.16%-222M
110.19%37M
1,150.98%536M
16.98%-220M
127.40%40M
-Change in inventory
-68.97%9M
-23.08%10M
-119.32%-17M
202.73%188M
422.22%58M
150.88%29M
117.57%13M
358.82%88M
9.41%-183M
84.07%-18M
-Change in payables and accrued expense
-142.36%-86M
44.00%252M
34.33%-396M
-201.42%-214M
-54.17%11M
178.38%203M
-69.78%175M
-353.38%-603M
-42.97%211M
-85.88%24M
-Change in other current assets
--8M
-775.00%-35M
-73.12%25M
311.76%108M
111.11%19M
--0
84.00%-4M
764.29%93M
53.21%-51M
147.37%9M
-Change in other current liabilities
143.48%10M
-70.89%23M
37.27%-101M
-1,066.67%-58M
304.35%47M
-475.00%-23M
-39.69%79M
-64.29%-161M
-96.36%6M
-124.47%-23M
-Change in other working capital
----
----
----
3,725.00%870M
----
----
----
----
14.29%-24M
----
Cash from discontinued investing activities
Operating cash flow
-2.88%1.25B
8.84%1.69B
-10.80%1.19B
30.68%6.49B
65.38%2.32B
40.55%1.29B
-0.90%1.55B
22.97%1.33B
-12.98%4.97B
10.73%1.4B
Investing cash flow
Cash flow from continuing investing activities
-6.03%-686M
-3.81%-600M
-12.60%-572M
-91.95%-4.18B
-287.62%-2.44B
25.89%-647M
-92.03%-578M
-36.93%-508M
5.64%-2.18B
-59.90%-630M
Capital expenditure reported
-1.55%-657M
-8.60%-581M
-22.09%-619M
-42.94%-2.32B
-31.66%-628M
-77.26%-647M
-43.82%-535M
-24.57%-507M
-26.54%-1.62B
-23.26%-477M
Net PPE purchase and sale
----
----
----
-566.67%-28M
----
----
----
----
-98.52%6M
----
Net business purchase and sale
----
----
----
-278.23%-1.84B
----
----
----
----
68.52%-487M
100.22%1M
Net investment purchase and sale
-13.95%-49M
71.43%-26M
60.00%-18M
7.42%-212M
80.47%-33M
-7.50%-43M
-911.11%-91M
-309.09%-45M
-502.63%-229M
-8,350.00%-169M
Net other investing changes
-220.00%-16M
-333.33%-39M
276.47%30M
---4M
--27M
-150.00%-5M
-134.62%-9M
-466.67%-17M
----
----
Cash from discontinued investing activities
Investing cash flow
-6.03%-686M
-3.81%-600M
-12.60%-572M
-91.95%-4.18B
-287.62%-2.44B
25.89%-647M
-92.03%-578M
-36.93%-508M
5.64%-2.18B
-59.90%-630M
Financing cash flow
Cash flow from continuing financing activities
47.83%-554M
-24.27%-1.11B
51.74%-570M
4.17%-3.01B
116.93%119M
-502.27%-1.06B
25.46%-890M
21.89%-1.18B
9.24%-3.15B
-11,616.67%-703M
Net issuance payments of debt
156.64%162M
-6,916.67%-421M
132.38%125M
134.56%234M
15,300.00%912M
-151.53%-286M
98.34%-6M
55.38%-386M
22.36%-677M
-100.94%-6M
Net common stock issuance
--0
--0
93.81%-7M
-41.85%-522M
-277.14%-132M
54.38%-73M
-18.60%-204M
-11,200.00%-113M
---368M
---35M
Cash dividends paid
-1.42%-643M
-0.63%-641M
-0.64%-631M
-1.00%-2.53B
-0.48%-631M
-0.79%-634M
-0.95%-637M
-1.79%-627M
0.83%-2.5B
0.32%-628M
Net other financing activities
-5.80%-73M
-2.33%-44M
-3.64%-57M
-148.76%-197M
11.76%-30M
-113.86%-69M
-43.33%-43M
-83.33%-55M
694.12%404M
-161.54%-34M
Cash from discontinued financing activities
Financing cash flow
47.83%-554M
-24.27%-1.11B
51.74%-570M
4.17%-3.01B
116.93%119M
-502.27%-1.06B
25.46%-890M
21.89%-1.18B
9.24%-3.15B
-11,616.67%-703M
Net cash flow
Beginning cash position
-76.15%124M
-67.35%143M
-87.91%96M
-30.78%794M
-86.58%97M
24.70%520M
25.86%438M
-30.78%794M
-5.13%1.15B
159.14%723M
Current changes in cash
102.13%9M
-123.17%-19M
113.20%47M
-97.73%-698M
-101.41%-1M
-238.24%-423M
18.84%82M
55.44%-356M
-469.35%-353M
-91.82%71M
End cash Position
37.11%133M
-76.15%124M
-67.35%143M
-87.91%96M
-87.91%96M
-86.58%97M
24.70%520M
25.86%438M
-30.78%794M
-30.78%794M
Free cash flow
-7.36%592M
8.97%1.11B
-30.99%570M
23.91%4.15B
79.72%1.67B
16.18%639M
-14.85%1.02B
22.01%826M
-24.42%3.35B
5.22%927M
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
--
--
--
--
Unqualified Opinion
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -2.88%1.25B8.84%1.69B-10.80%1.19B30.68%6.49B65.38%2.32B40.55%1.29B-0.90%1.55B22.97%1.33B-12.98%4.97B10.73%1.4B
Net income from continuing operations 17.30%651M-1.31%602M9.96%773M-5.30%2.49B-10.82%618M-6.72%555M-6.58%610M2.78%703M41.89%2.63B5.96%693M
Operating gains losses -14.43%-230M11.62%-251M2.60%-225M-25.67%-979M-14.35%-263M4.29%-201M-29.68%-284M-92.50%-231M-191.97%-779M-5.99%-230M
Depreciation and amortization 4.63%587M4.85%584M3.89%587M2.93%2.25B2.35%567M1.81%561M2.58%557M5.02%565M2.39%2.19B2.59%554M
Deferred tax -31.21%97M-3.05%159M4.21%198M2.60%710M11.40%215M8.46%141M-8.38%164M0.00%190M94.93%692M62.18%193M
Other non cash items -136.84%-14M-91.67%2M108.57%3M133.48%74M422.22%47M123.17%38M204.35%24M18.60%-35M-70.00%-221M-68.97%9M
Change In working capital -100.00%-26M19.33%358M-602.13%-330M557.85%1.2B11,837.50%955M93.05%-13M20.97%300M85.76%-47M-278.26%-261M119.05%8M
-Change in receivables 114.86%33M191.89%108M-70.34%159M236.82%301M-225.00%-50M-244.16%-222M110.19%37M1,150.98%536M16.98%-220M127.40%40M
-Change in inventory -68.97%9M-23.08%10M-119.32%-17M202.73%188M422.22%58M150.88%29M117.57%13M358.82%88M9.41%-183M84.07%-18M
-Change in payables and accrued expense -142.36%-86M44.00%252M34.33%-396M-201.42%-214M-54.17%11M178.38%203M-69.78%175M-353.38%-603M-42.97%211M-85.88%24M
-Change in other current assets --8M-775.00%-35M-73.12%25M311.76%108M111.11%19M--084.00%-4M764.29%93M53.21%-51M147.37%9M
-Change in other current liabilities 143.48%10M-70.89%23M37.27%-101M-1,066.67%-58M304.35%47M-475.00%-23M-39.69%79M-64.29%-161M-96.36%6M-124.47%-23M
-Change in other working capital ------------3,725.00%870M----------------14.29%-24M----
Cash from discontinued investing activities
Operating cash flow -2.88%1.25B8.84%1.69B-10.80%1.19B30.68%6.49B65.38%2.32B40.55%1.29B-0.90%1.55B22.97%1.33B-12.98%4.97B10.73%1.4B
Investing cash flow
Cash flow from continuing investing activities -6.03%-686M-3.81%-600M-12.60%-572M-91.95%-4.18B-287.62%-2.44B25.89%-647M-92.03%-578M-36.93%-508M5.64%-2.18B-59.90%-630M
Capital expenditure reported -1.55%-657M-8.60%-581M-22.09%-619M-42.94%-2.32B-31.66%-628M-77.26%-647M-43.82%-535M-24.57%-507M-26.54%-1.62B-23.26%-477M
Net PPE purchase and sale -------------566.67%-28M-----------------98.52%6M----
Net business purchase and sale -------------278.23%-1.84B----------------68.52%-487M100.22%1M
Net investment purchase and sale -13.95%-49M71.43%-26M60.00%-18M7.42%-212M80.47%-33M-7.50%-43M-911.11%-91M-309.09%-45M-502.63%-229M-8,350.00%-169M
Net other investing changes -220.00%-16M-333.33%-39M276.47%30M---4M--27M-150.00%-5M-134.62%-9M-466.67%-17M--------
Cash from discontinued investing activities
Investing cash flow -6.03%-686M-3.81%-600M-12.60%-572M-91.95%-4.18B-287.62%-2.44B25.89%-647M-92.03%-578M-36.93%-508M5.64%-2.18B-59.90%-630M
Financing cash flow
Cash flow from continuing financing activities 47.83%-554M-24.27%-1.11B51.74%-570M4.17%-3.01B116.93%119M-502.27%-1.06B25.46%-890M21.89%-1.18B9.24%-3.15B-11,616.67%-703M
Net issuance payments of debt 156.64%162M-6,916.67%-421M132.38%125M134.56%234M15,300.00%912M-151.53%-286M98.34%-6M55.38%-386M22.36%-677M-100.94%-6M
Net common stock issuance --0--093.81%-7M-41.85%-522M-277.14%-132M54.38%-73M-18.60%-204M-11,200.00%-113M---368M---35M
Cash dividends paid -1.42%-643M-0.63%-641M-0.64%-631M-1.00%-2.53B-0.48%-631M-0.79%-634M-0.95%-637M-1.79%-627M0.83%-2.5B0.32%-628M
Net other financing activities -5.80%-73M-2.33%-44M-3.64%-57M-148.76%-197M11.76%-30M-113.86%-69M-43.33%-43M-83.33%-55M694.12%404M-161.54%-34M
Cash from discontinued financing activities
Financing cash flow 47.83%-554M-24.27%-1.11B51.74%-570M4.17%-3.01B116.93%119M-502.27%-1.06B25.46%-890M21.89%-1.18B9.24%-3.15B-11,616.67%-703M
Net cash flow
Beginning cash position -76.15%124M-67.35%143M-87.91%96M-30.78%794M-86.58%97M24.70%520M25.86%438M-30.78%794M-5.13%1.15B159.14%723M
Current changes in cash 102.13%9M-123.17%-19M113.20%47M-97.73%-698M-101.41%-1M-238.24%-423M18.84%82M55.44%-356M-469.35%-353M-91.82%71M
End cash Position 37.11%133M-76.15%124M-67.35%143M-87.91%96M-87.91%96M-86.58%97M24.70%520M25.86%438M-30.78%794M-30.78%794M
Free cash flow -7.36%592M8.97%1.11B-30.99%570M23.91%4.15B79.72%1.67B16.18%639M-14.85%1.02B22.01%826M-24.42%3.35B5.22%927M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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