Kinder Morgan Inc (N:KMI)

Business Focus: Oil & Gas Transportation Services

Sector:  Energy Industry:  Oil & Gas Transportation Services
See Regulatory Filings on SEC
Company Contact
Address: 1001 Louisiana St Ste 1000
HOUSTON TX 77002-5089
Tel: N/A
IR: See website
Key People
Richard D. Kinder
Executive Chairman of the Board
Thomas A. Martin
Vice President, President - Natural Gas Pipelines
Kimberly A. Dang
President, Director
Steven J. Kean
Chief Executive Officer, Director
David P. Michels
Chief Financial Officer, Vice President
Dax A. Sanders
Executive Vice President and Chief Strategy Officer
Catherine C. James
Vice President, General Counsel
Denise R. Mathews
Vice President, Human Resources, Information Technology and Administration
Jesse Arenivas
Vice President, President - CO2
James E. Holland
Vice President, President, Products Pipelines
Business Overview
Kinder Morgan, Inc. is an energy infrastructure company. It operates through four segments. Its Natural Gas Pipelines segment is engaged in the ownership and operation of interstate and intrastate natural gas pipeline and storage systems, and liquefied natural gas facilities, among others. Its CO2 segment is engaged in the production, transportation and marketing of carbon dioxide (CO2) to oil fields, and the ownership and operation of a crude oil pipeline system. Its Terminals segment is engaged in the ownership and/or operation of liquids and bulk terminal facilities located throughout the United States and portions of Canada, and Jones Act tankers. Its Products Pipelines segment is engaged in the ownership and operation of refined petroleum products, natural gas liquids and crude oil and condensate pipelines.
Financial Overview
For the fiscal year ended 31 December 2019, Kinder Morgan Inc revenues decreased 7% to $13.21B. Net income applicable to common stockholders increased 48% to $2.18B. Revenues reflect Natural Gas Pipeline- KMP segment decrease of 9% to $8.17B, Kinder Morgan Canada- KMP segment decrease from $170M to $0K, United States segment decrease of 6% to $12.83B, Canada segment decrease of 33% to $300M. Net income reflects Loss on impairments and divestitures.
Employees: 11,086 as of Dec 31, 2019
Reporting Currency: U.S. Dollars
Enterprise value: $66,826M as of Dec 31, 2019
Annual revenue (TTM): $13,209M as of Dec 31, 2019
EBITDA (TTM): $6,347M as of Dec 31, 2019
Net annual income (TTM): $2,178M as of Dec 31, 2019
Free cash flow (TTM): $315.00M as of Dec 31, 2019
Net Debt Last Fiscal Year: $33,282M as of Dec 31, 2019
Shares outstanding: 2,265,063,459 as of Feb 7, 2020
Index Membership: S&P 500
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization