Kinder Morgan Energy Partners (KMP)
Kinder Morgan Energy Partners Cash Flow
- Quarterly: March 2012 - December 2009 Previous Quarters
- Annual
| Cash Flow - Operations | 2012-03 | 2011-12 | 2011-09 | 2011-06 | 2011-03 | 2010-12 | 2010-09 | 2010-06 | 2010-03 | 2009-12 |
| Net Income | 208.00M | 479.30M | 216.30M | 231.80M | 341.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Depreciation, Depletion, Amortization | 248.00M | 251.70M | 255.20M | 231.30M | 223.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Other Non-Cash Items | 315.00M | -11.50M | 232.80M | -5.70M | 90.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Total Non-Cash Items | 563.00M | 240.20M | 488.00M | 225.60M | 313.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Deferred Income Taxes | 35.00M | -56.60M | 28.50M | -15.10M | 34.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Total Changes in Assets/Liabilities | -71.00M | 79.10M | -95.70M | 75.30M | -51.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Other Operating Activities | -42.00M | 100.10M | 114.50M | 198.30M | -82.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Net Cash from Operating Activities | 658.00M | 898.70M | 723.10M | 731.00M | 521.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Cash Flow - Investing | 2012-03 | 2011-12 | 2011-09 | 2011-06 | 2011-03 | 2010-12 | 2010-09 | 2010-06 | 2010-03 | 2009-12 |
| Capital Expenditures | -383.00M | -529.90M | -289.80M | -232.90M | -330.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Acquisitions, Divestitures | -970.60M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro | ||||
| Investments | 10.00M | 878.40M | -1.021B | -55.90M | 100.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Other Investing Activities | 31.90M | 2.90M | 0.10M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro | ||
| Cash Flow - Financing | 2012-03 | 2011-12 | 2011-09 | 2011-06 | 2011-03 | 2010-12 | 2010-09 | 2010-06 | 2010-03 | 2009-12 |
| Net Cash from Investing Activities | -373.00M | -590.20M | -1.308B | -288.70M | -230.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Debt Issued | 260.00M | 281.50M | 966.60M | -357.90M | 218.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Equity Issued | 124.00M | 142.00M | 107.50M | 624.80M | 81.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Dividends Paid | -276.00M | -274.00M | -269.80M | -257.50M | -253.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Other Financing Activities | -318.00M | -326.90M | -283.20M | -278.20M | -290.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Net Cash from Financing Activities | -210.00M | -177.40M | 521.10M | -268.80M | -244.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Foreign Exchange Effects | 7.00M | 7.20M | -17.80M | 1.00M | 2.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Net Change in Cash & Cash Equivalents | 82.00M | 138.30M | -81.60M | 174.50M | 49.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Cash at beginning of period | 409.00M | 129.10M | 409.30M | 271.00M | 352.60M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |
| Cash at end of period | 491.00M | 409.30M | 271.00M | 352.60M | 178.00M | Go Pro | Go Pro | Go Pro | Go Pro | Go Pro |