Kinder Morgan Energy Partners (KMP)

76.36 -1.97  -2.52%  Jun 01, 2:23PM Go Pro
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Kinder Morgan Energy Partners Cash Flow

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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
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