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Asset logo for symbol KMI
Kinder Morgan Inc-DE
KMI65
$30.31arrow_drop_up0.86%$0.26
S&P500
Asset logo for symbol KMI
KMI65

$30.31

arrow_drop_up0.86%

Income Statement (KMI)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
EBIT$1.01B$993.00M$1.19B$1.10B$935.00M
EBITDA$1.60B$1.57B$1.77B$1.66B$1.49B
gross Profit$2.08B$1.32B$1.48B$2.12B$1.94B
NET Income$625.00M$575.00M$746.00M$594.00M$532.00M
total Revenue$3.69B$3.59B$3.83B$4.03B$3.90B

Balance Sheet (KMI)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
cash Equivalents----$80.00M
net Debt$31.81B$31.58B$32.00B$32.03B$30.92B
stockholders Equity$30.40B$30.33B$30.37B$30.30B$30.25B
total Assets$70.87B$70.70B$70.73B$71.02B$68.86B
total Debt$31.92B$31.71B$32.14B$32.11B$31.00B
total Liabilities$39.13B$39.00B$38.99B$39.29B$37.28B

Cash Flow (KMI)

itemSep 2024Jun 2024Mar 2024Dec 2023Sep 2023
financing Cash Flow-$554.00M-$1.10B-$570.00M$119.00M-$1.06B
free Cash Flow$592.00M$1.09B$605.00M$1.66B$639.00M
investing Cash Flow-----$1.73B
operating Cash Flow$1.28B$1.73B$1.22B$2.32B$1.28B

Kinder Morgan Inc-DE (KMI) Financials

Kinder Morgan Inc-DE (KMI) is a leading energy infrastructure company that operates pipelines, terminalling and storage facilities, and natural gas processing plants in North America. The company's financials demonstrate its strong performance and stability in the industry. KMI's income statement shows its revenue and expenses for a given period. The company has consistently generated significant total revenue, reflecting its robust business operations. KMI's gross profit, which is the revenue minus the cost of goods sold, highlights its profitability. This indicates that KMI efficiently manages its production and operating costs to generate substantial profits.
Furthermore, KMI's EBIT (earnings before interest and taxes) and EBITDA (earnings before interest, taxes, depreciation, and amortization) provide insights into its operating performance. These metrics allow investors to assess KMI's profitability and operational efficiency, excluding non-operating expenses. KMI's net income from stockholders represents the bottom line profit after deducting all expenses, interest, and taxes. It reveals the company's overall financial performance and its ability to generate returns for its shareholders.
Moving on to KMI's balance sheet, it provides a snapshot of the company's financial position at a specific point in time. The balance sheet includes information about KMI's assets, liabilities, and stockholders' equity. For instance, KMI's total assets encompass its cash equivalents, investments, property, plant, and equipment. These assets reflect the company's financial resources and future growth potential. On the other hand, KMI's total liabilities represent its obligations, such as debt, accounts payable, and other financial commitments.
KMI's cash flow statement outlines the inflows and outflows of cash during a particular period. It offers insights into how the company generates and utilizes its cash resources. The operating cash flow indicates the cash generated from KMI's core business activities, such as revenue from pipeline operations. The investing cash flow pertains to KMI's investments in assets or acquisitions, while the financing cash flow involves activities like raising capital or paying dividends.
In summary, Kinder Morgan Inc-DE (KMI) demonstrates its financial strength through its income statement, balance sheet, and cash flow statement. The company's steady revenue growth, profitability, and efficient management of financial resources position it as a formidable player in the energy infrastructure sector.
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