Kinder Morgan Financial Ratios for Analysis 2009-2024 | KMI

Fifteen years of historical annual and quarterly financial ratios and margins for Kinder Morgan (KMI).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.350.550.660.630.630.760.440.550.690.590.640.700.370.490.60
0.470.470.490.500.480.500.500.520.550.540.550.570.630.620.60
1.010.991.041.091.011.081.081.151.221.241.281.432.011.851.58
67.8051.8060.9178.2575.3068.7468.3073.7471.8261.3162.6769.3558.7355.3657.29
27.8021.1717.5613.3336.8926.8225.7527.0916.9927.4128.3626.0017.9214.4319.58
27.8021.1717.5613.3336.8926.8225.7527.0916.9927.4128.3626.0017.9214.4319.58
42.9032.9530.8833.0355.7743.7442.6944.4641.3640.2641.4740.5331.7528.2534.56
20.8817.3713.365.6523.9617.7215.7712.545.3619.0524.4413.4710.202.9315.30
15.5913.2710.741.0216.5810.470.204.231.586.328.483.167.48-0.526.89
0.220.270.240.160.180.180.170.160.170.200.190.150.260.270.26
9.4114.6011.557.318.8011.4810.259.619.9713.6812.228.1719.0638.1042.68
9.6610.4310.319.059.589.448.508.4210.639.898.187.488.698.087.84
37.8034.9835.4040.3438.1138.6642.9643.3334.3436.9144.6548.7942.0045.1646.55
7.848.175.800.576.575.560.632.070.597.109.535.005.240.758.74
25.7625.3917.911.8922.4819.812.267.732.5832.70201-171.2719.451.9020.12
3.503.752.630.253.022.430.280.900.252.943.591.761.460.222.80
4.164.342.960.283.392.800.321.000.273.284.342.151.960.293.50
14.2914.2914.0814.0615.0515.2615.8415.6115.8816.2027.4423.2710.67--
2.912.202.522.012.102.282.062.132.423.933.982.071.820.000.00
1.031.271.451.721.100.990.680.84-0.28-0.470.920.630.01--

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
0.460.370.500.350.390.490.560.550.620.520.470.660.460.850.810.630.610.480.550.630.350.410.450.761.050.490.480.440.420.430.400.550.560.380.560.690.500.450.480.590.570.520.600.640.560.510.660.700.750.871.050.370.340.540.380.49----
0.490.470.490.470.470.470.480.470.480.470.480.490.490.500.490.500.510.490.480.480.480.490.490.500.500.510.500.500.490.490.500.520.520.530.540.550.540.540.540.540.550.550.550.550.540.530.560.570.580.590.650.630.610.610.630.62----
1.011.001.011.010.980.980.980.990.991.001.011.041.061.071.021.091.091.071.041.011.061.051.041.081.071.091.081.081.051.061.131.151.191.231.231.221.251.251.281.241.321.301.311.281.271.251.411.431.521.602.142.011.931.751.901.85----
72.3272.9371.1966.6464.0472.2768.7557.1747.5247.9155.8855.0559.2370.2961.4574.7777.5682.7778.6576.8576.2975.8272.3568.2967.7368.8470.1966.7769.3168.2369.0171.2370.8476.0877.1278.6070.1668.6769.7065.0061.7359.1159.4061.6258.9262.9268.3067.9870.2470.6068.7762.4256.9356.8158.9552.7353.8057.4152.88-
27.4429.0631.8327.2724.0129.4230.7124.1117.9819.5323.8521.4722.07-24.2536.1931.4628.06-11.021.3857.6129.5930.2729.6927.9843.087.9327.7622.2525.1827.2628.5326.5626.4929.9025.54-6.7119.4525.7629.9724.2031.0425.7328.3429.9627.7222.8333.2431.3429.6912.0027.7922.7717.9512.0918.8918.708.6720.3611.33-
27.4429.0631.8327.2724.0129.4230.7124.1117.9819.5323.8521.4722.07-24.2536.1931.4628.06-11.021.3857.6129.5930.2729.6927.9843.087.9327.7622.2525.1827.2628.5326.5626.4929.9025.54-6.7119.4525.7629.9724.2031.0425.7328.3429.9627.7222.8333.2431.3429.6912.0027.7922.7717.9512.0918.8918.708.6720.3611.33-
------------------------------------------------------------
20.6521.5625.5620.4117.9222.2223.1219.4614.0816.2520.4517.5116.87-31.0234.0825.6820.97-20.31-7.4432.2820.7821.0321.5520.5034.15-5.1320.668.9216.6717.7920.1811.455.8318.7014.65-19.067.8515.3317.8814.9323.8917.1519.7919.9619.2229.7530.6214.6215.542.1221.5917.554.486.6112.737.783.5215.38-12.75-
16.9016.1019.4214.7113.6216.7417.4614.7211.0512.3315.5414.4012.94-24.0327.0419.7815.48-25.00-9.9518.3815.7416.0216.1312.7719.70-5.2514.19-28.7710.1810.0111.715.02-6.8210.598.64-19.835.029.6211.933.197.677.217.098.737.618.199.547.156.97-5.811.138.007.166.768.023.920.512.31-7.46-
0.050.050.050.060.060.050.060.070.070.070.060.060.050.040.070.040.040.040.040.050.040.040.040.050.040.040.040.050.040.040.040.040.040.040.040.040.040.040.040.050.060.050.050.050.050.050.040.050.040.030.060.060.070.070.070.06----
1.951.802.022.572.491.712.063.093.803.893.203.543.412.365.162.262.071.312.162.091.881.732.213.112.962.542.312.852.352.442.792.732.992.082.011.912.492.292.413.013.563.503.943.463.552.932.492.642.652.043.284.239.0210.438.5310.27----
2.922.762.742.542.602.732.942.492.762.502.582.752.672.223.662.412.562.392.622.432.522.622.622.522.282.262.262.252.702.492.382.192.602.462.662.682.642.572.532.412.532.412.202.252.652.272.372.312.211.702.442.122.562.122.291.66----
30.7832.5832.8935.3934.6033.0130.5836.1732.5636.0534.8232.7733.7340.4624.6137.3635.2137.7234.3737.0335.6534.3634.3835.6639.5439.9139.8139.9733.3036.1637.8541.1634.6536.5833.8933.5434.0935.0635.5337.3835.5737.3340.8740.0034.0339.6037.9438.9640.6452.9536.8842.4735.2142.3839.3154.12----
2.051.902.441.951.761.912.192.161.852.062.162.051.65-2.384.371.961.48-1.94-0.871.841.501.531.651.452.85-0.381.54-2.821.061.061.270.62-0.521.060.88-2.080.510.961.191.642.711.732.112.501.952.742.711.981.620.163.762.660.330.481.83-0.81----
6.616.177.936.405.575.956.766.705.786.436.726.335.55-7.6313.766.534.92-6.43-2.916.305.295.425.875.189.70-1.395.46-10.063.453.534.642.30-1.944.563.81-9.132.524.986.267.5843.5230.4040.9452.5741.3050.03-159.71-67.71-45.36-2.6314.339.871.111.164.90-2.06----
0.920.851.090.870.810.881.020.990.850.940.990.930.73-1.052.000.870.66-0.87-0.400.850.670.690.740.641.27-0.170.69-1.250.480.480.560.27-0.220.440.37-0.880.210.400.490.681.010.650.790.940.741.050.960.700.550.051.000.740.100.150.53-0.24----
1.051.001.251.030.931.011.141.150.971.091.131.040.84-1.192.240.970.73-0.98-0.450.950.780.780.840.731.42-0.190.77-1.410.540.540.630.30-0.250.500.40-0.950.240.440.540.761.210.790.951.140.901.301.180.850.680.061.310.990.130.180.68-0.31----
14.2914.2814.3014.2914.1814.3214.3314.2914.2814.0113.9814.0813.6713.7514.4014.0614.1114.2114.8015.0515.2215.2415.2315.2615.9915.6515.9415.8416.3716.2415.7015.6115.6815.9115.9515.8816.0916.2316.3316.2027.9827.8827.6627.4427.3227.5523.4723.2721.1720.4710.1110.6710.8110.8810.15-----
1.861.300.542.911.871.290.592.201.581.170.482.521.961.460.832.011.450.990.392.101.380.930.282.281.531.120.442.061.480.970.402.131.571.050.472.421.591.160.583.933.402.141.093.982.701.670.742.071.310.740.451.821.220.730.370.000.000.000.000.00
1.000.730.261.031.110.820.371.270.860.830.301.450.891.220.711.720.850.560.201.100.650.440.030.990.520.460.110.680.530.400.130.840.590.34-0.04-0.28-0.62-0.59-0.70-0.470.660.440.240.920.290.120.160.630.340.150.140.01-0.130.250.11-----