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Kinder Morgan KMI Cash Flow Statement

FY'25FY'24FY'23FY'22
$3.16B+16.2%$2.72B+9.4%$2.49B-5.3%$2.63B+41.9%
$2.45B+4.2%$2.35B+4.6%$2.25B+2.9%$2.19B+2.4%
$780M+20.6%$647M-8.9%$710M+2.6%$692M
$192M
-$188M-203%$183M-9.4%
$5.92B+5.0%$5.64B-13.2%$6.49B+30.7%$4.97B-13.0%
$3.03B+15.1%$2.63B+13.5%$2.32B+42.9%$1.62B+26.5%
-$3.18B-20.9%-$2.63B+37.0%-$4.18B-92.0%-$2.18B+5.6%
$2.6B+1.8%$2.56B+1.1%$2.53B+1.0%$2.5B+2.5%
$153M-0.6%$154M+2.0%$151M+30.2%$116M+480%
-$2.84B+1.5%-$2.89B+7.9%-$3.13B+8.1%-$3.41B+1.6%
-$105M
$1.81B-0.3%$1.82B-1.5%$1.84B+26.3%$1.46B-4.5%
$805M-2.2%$823M+9.0%$755M+4.1%$725M+0.7%
$6M-92.1%$76M+375%$16M-50.0%$32M+102%
$896M+6.7%$840M+8.8%$772M-3.9%$803M+35.9%
$5M+109%-$58M-107%$870M+3,725%-$24M+14.3%
-$58M-1,067%$6M-96.4%
$10M+211%-$9M+88.3%-$77M-254%$50M+28.2%
$23M
$41M
$178M+47.1%$121M-42.9%$212M-7.4%$229M+503%
$20M-39.4%$33M+65.0%$20M-20.0%$25M-7.4%
$10.02B-4.1%$10.44B+37.6%$7.59B-16.2%$9.06B+52.0%
-$14M+44.0%
$10.05B-4.8%$10.56B+43.5%$7.36B-24.4%$9.74B+42.5%
$25M-30.6%$36M-35.7%$56M
$47M+42.4%$33M+200%$11M-15.4%$13M+30.0%
$2.89B-3.8%$3.01B-28.0%$4.17B+24.7%$3.35B-24.4%
$2.89B-3.8%$3.01B-28.0%$4.17B+24.7%$3.35B-24.4%

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Questions, answered.

How much cash does Kinder Morgan generate?
Kinder Morgan (KMI) generated $6.2B in operating cash flow over the trailing twelve months.
What is Kinder Morgan's free cash flow?
After $3.1B of capital expenditures, Kinder Morgan's free cash flow was $3.2B over the trailing twelve months, up 12.4% year over year.
Where does Kinder Morgan's cash flow data come from?
Every line is extracted from Kinder Morgan's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.