NYSE · KMIUtilitiesElectric, Gas & Water Utilities

Kinder Morgan financials

$30.45−0.59%
Close Sep 29, 2026 · split-adjusted

Revenue

Net income

Income statement & cash flow

Fiscal yearFY25
Dec 31
FY24
Dec 31
FY23
Dec 31
FY22
Dec 31
FY21
Dec 31
FY20
Dec 31
FY19
Dec 31
FY18
Dec 31
FY17
Dec 31
FY16
Dec 31
Revenue$16.94B$15.10B$15.33B$19.20B$16.61B$11.70B$13.21B$14.14B$13.71B$13.06B
Gross profit$11.41B$10.76B$10.40B$9.95B$10.12B$9.15B$9.95B$9.72B$9.36B$9.63B
Gross margin67.4%71.3%67.8%51.8%60.9%78.2%75.3%68.7%68.3%73.7%
Operating income$4.72B$4.38B$4.26B$4.07B$4.54B$3.49B$3.93B$3.96B$3.48B$3.87B
Net income$3.06B$2.61B$2.39B$2.55B$1.78B$119.0M$2.19B$1.48B$27.0M$552.0M
Net margin18.0%17.3%15.6%13.3%10.7%1.0%16.6%10.5%0.2%4.2%
Diluted EPS$1.37$1.17$1.06$1.12$0.78$0.05$0.96$0.66$0.01$0.25
EBITDA$7.18B$6.74B$6.51B$6.33B$6.67B$5.80B$6.42B$6.35B$5.80B$6.13B
Operating cash flow$5.92B$5.63B$6.49B$4.97B$5.71B$4.55B$4.75B$5.04B$4.60B$4.76B
Free cash flow$2.89B$3.01B$4.17B$3.35B$4.83B$2.84B$2.48B$2.14B$1.41B$1.88B
Diluted shares2,223.0M2,220.0M2,234.0M2,258.0M2,266.0M2,263.0M2,264.0M2,216.0M2,230.0M2,230.0M

Balance sheet

Period endDec 31Dec 31Dec 31Dec 31Dec 31Dec 31
Cash & equivalents$63.0M$88.0M$83.0M$745.0M$1.14B$1.18B
Short-term investments$0.00$0.00$0.00$0.00——
Total debt$1.76B$32.43B$32.63B$32.30B$33.82B$35.21B
Total assets$72.75B$71.41B$71.02B$70.08B$70.42B$71.97B
Total liabilities$40.30B$39.54B$39.29B$37.96B$38.49B$39.41B
Shareholders' equity$32.45B$31.87B$31.73B$32.11B$31.92B$31.84B

From SEC filings via Massive. Fiscal periods follow the company's own calendar; free cash flow is operating cash flow minus capital expenditure.

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology