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Kinder Morgan

(NYSE: KMI)
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38.06 Down -0.51 -1.32%
Find financial results for:
 Annual  Interim
2012 2011 2010 2009
Period End Date 12/31/2012 12/31/2011 12/31/2010 12/31/2009
Stmt Source N/A N/A N/A N/A
Stmt Source Date 12/31/2012 03/01/2013 02/23/2012 03/02/2011
Stmt Update Type Original Updated Updated Updated
Currency Code USD USD USD USD
 
Net Income
427.0 660.0 299.6 773.1
Net Income from Continuing Operations 427.0 660.0 299.6 772.8
Net Income from Discontinued Operations 0.0 0.0 0.0 -0.3
Operating Gains/Losses
1,152.0 214.0 558.9 163.0
Gain/Loss on Sale of Property,Plant and Equipment 0.0 0.0 0.0 -30.4
Gain/Loss on Investment Securities 0.0 0.0 0.0 55.1
Earnings/Losses from Equity Investments 381.0 287.0 406.0 0.0
Pension and Employee Benefit Expense 0.0 0.0 -4.7 -7.7
Depreciation,Amortization and Depletion 1,426.0 1,092.0 1,078.8 1,070.2
Deferred Taxes 47.0 84.0 -8.0 60.6
Other Non-Cash Items
58.0 341.0 -20.1 -25.7
Amortization of Securities 23.0 7.0 5.8 5.8
Stock-Based Compensation 87.0 0.0 0.0 0.0
Change in Receivables -231.0 8.0 18.2 47.6
Change in Inventories -92.0 -36.0 -20.8 -20.0
Change in Pay/Accrued Exp
-50.0 25.0 -35.9 -386.9
Change in Payables
44.0 41.0 -9.0 -312.1
Change In Tax Payable 0.0 0.0 -4.8 -131.6
Change In Account Payable 44.0 41.0 -4.2 -180.5
Change in Accrued Expenses
-94.0 -16.0 -26.9 -74.8
Change in Interest Payable -26.0 19.0 18.4 50.2
Change in Other Current Assets 32.0 -10.0 40.3 -93.6
Change in Other Current Liabilities 26.0 -12.0 -2.2 0.0
Cash from Discontinued Operating 0.0 0.0 0.0 -0.5
Cash Flow from Operating Activities 2,795.0 2,366.0 1,908.8 1,587.5
           
Purchase/Sale of Prop,Plant,Equip: Net
154.0 23.0 49.3 47.9
Sale of Property,Plant,and Equipment 154.0 23.0 49.3 47.9
Purchase/Sale of Business,Net
-4,970.0 0.0 0.0 0.0
Purchase/Acquisition of Business -4,970.0 0.0 0.0 0.0
Purchase/Sale of Investments,Net
8.0 -1,106.0 -1,000.5 -1,908.2
Purchase of Investments
-192.0 -1,342.0 -1,225.0 -2,143.5
Purchase of Long Term Investments 0.0 0.0 0.0 -55.7
Sale of Investments
200.0 236.0 224.5 235.3
Sale of Long Term Investments 200.0 236.0 224.5 235.3
Other Investing Changes,Net 1,746.0 -109.0 -330.5 -292.9
Cash Flow from Investing Activities -5,084.0 -2,392.0 -2,284.2 -3,477.5
           
Issuance/Payments of Debt,Net
3,393.0 779.0 1,531.5 2,192.0
Issuance/Payments of LT Debt,Net
3,393.0 779.0 1,531.5 2,192.0
Payments to Settle Long Term Debt -14,755.0 -8,793.0 -7,841.7 -5,728.8
Proceeds or Issuance of Long Term Debt 18,148.0 9,572.0 9,373.2 7,920.8
Cash Dividends Paid -2,403.0 -1,726.0 -1,548.7 -1,394.0
Other Financing Changes, Net 1,594.0 890.0 727.1 1,133.0
Cash Flow from Financing Activities 2,584.0 -57.0 709.9 1,931.0
           
Cash, Equivalents, Start of Period 411.0 502.0 165.6 118.6
Cash, Equivalents, End of Period 714.0 411.0 502.4 165.6
Change in Cash 303.0 -91.0 336.8 47.0
           
Free Cash Flow 773.0 1,166.0 906.3 263.2
Effect of Exchange Rate Changes 8.0 -8.0 2.3 6.0
 

Financial data in USD
Values in Millions (Except for per share items)

Business Type: Industry

Financial statements are prepared in this standard format to allow direct comparisons of all companies and industries across multiple time frames.

See 10K and 10Q SEC Filings for as reported statements

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