KINDER MORGAN, INC. (EP-PC)

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CIK 0001506307 · NYSE · Natural Gas Transmission

  • Sector Transportation & Utilities
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, KINDER MORGAN, INC. reported revenue of $16.94B, up 12.2% from the prior year. The company was profitable, with a net margin of 18.0%. It held $72.75B in total assets against $40.30B in total liabilities.

Key ratios (FY2025)

27.9%
Operating margin
18.0%
Net margin
9.8%
Return on equity
+12.2%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$16.94B$15.10B$15.33B$19.20B$16.61B$11.70B$13.21B$14.14B$13.71B$13.06B
Cost of Revenue$9.26B$6.49B$2.54B$3.26B$4.42B$4.34B$3.43B
Operating Income$4.72B$4.38B$4.26B$4.07B$2.92B$1.56B$4.87B$3.79B$3.53B$3.54B
Net Income$3.06B$2.61B$2.39B$2.55B$1.78B$119.00M$2.19B$1.61B$183.00M$708.00M
EPS (Diluted)$1.37$1.17$1.06$1.12$0.78$0.05$0.96$0.01$0.25
Total Assets$72.75B$71.41B$71.02B$70.08B$70.42B$71.97B$74.16B$78.87B$79.06B$80.31B
Total Liabilities$40.30B$39.54B$39.29B$37.96B$38.49B$39.41B$39.27B$43.67B$43.93B$45.50B
Shareholders' Equity$31.16B$30.53B$30.31B$30.74B$30.82B$31.44B$33.74B$33.68B$33.64B$34.43B
Cash & Equivalents$63.00M$88.00M$83.00M$745.00M$1.14B$1.18B$185.00M$3.28B$264.00M$684.00M
Operating Cash Flow$5.92B$5.63B$6.49B$4.97B$5.71B$4.55B$4.75B$5.04B$4.60B$4.76B
Capital Expenditures$3.03B$2.63B$2.32B$1.62B$1.28B$1.71B$2.27B$2.90B$3.19B$2.88B
Shares Outstanding2.22B2.22B2.23B2.26B2.27B2.26B2.26B2.23B2.23B
Dividends Per Share$1.17$1.15$1.13$1.11$1.08$1.05$1.00$0.80$0.50$0.50