NGL Energy Partners LP
(NGL-PC)
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Cashflow (Annual)
Get detailed ratio statement breakdowns, uncovering price to
free cash flow ratio, price per earnings, and much more.
Year | FY24 | FY23 | FY22 | FY21 | FY20 | FY19 | FY18 | FY17 | FY16 | FY15 | FY14 | FY13 | FY12 | FY11 | FY10 | FY09 |
Net Income | -143.12M | 52.49M | -184.10M | -639.19M | -398.78M | 339.39M | -69.61M | 143.87M | -187.10M | 29.88M | 48.76M | 48.19M | 7.86M | -2.56M | 8.04M | 4.87M |
Depreciation & Amortization | 282.73M | 290.88M | 306.21M | 331.20M | 276.85M | 221.67M | 225.74M | 237.79M | 249.21M | 210.47M | 132.65M | 77.51M | 17.19M | 1.82M | 3.75M | 3.29M |
Stock-Based Compensation | 1.10M | 2.72M | -1.05M | 6.73M | 26.51M | 41.37M | 35.24M | 53.10M | 51.56M | 32.77M | 14.05M | 8.67M | - | - | - | 97.00K |
Other Working Capital | 33.70M | -15.80M | -24.52M | 57.72M | -51.18M | 31.69M | -36.72M | -62.83M | -15.90M | -68.76M | -45.34M | -17.75M | 24.03M | 63.14M | -3.33M | 2.76M |
Other Non-Cash Items | 184.29M | 100.94M | 221.31M | 7.18M | 254.75M | -405.03M | -156.82M | -21.24M | -82.72M | 127.00K | 312.00K | 375.00K | 79.00K | -28.60M | -4.01M | 5.17M |
Deferred Income Tax | - | - | - | 587.61M | 265.04M | 216.23M | 225.44M | -154.96M | 195.92M | -173.96M | 47.53M | 11.65M | 324.00K | -1.42M | 2.19M | 3.17M |
Change in Working Capital | 51.17M | -1.84M | -136.52M | 10.46M | 39.69M | -76.38M | -122.02M | -285.40M | 124.61M | 163.10M | -158.07M | -14.16M | 69.87M | -63.14M | -1.56M | 5.86M |
Operating Cash Flow | 376.16M | 445.19M | 205.85M | 303.99M | 464.06M | 337.25M | 137.97M | -26.82M | 351.50M | 262.39M | 85.24M | 132.23M | 90.33M | -30.75M | 7.48M | 22.46M |
Capital Expenditures | -152.29M | -147.76M | -142.36M | -186.80M | -555.71M | -455.59M | -133.76M | -363.87M | -661.88M | -24.22M | -165.15M | -72.47M | -7.54M | - | -582.00K | -577.00K |
Acquisitions | 15.74M | 111.55M | 63.14M | -62.00K | -1.29B | 34.81M | 281.99M | 9.43M | 97.05M | -1.30B | -1.28B | -490.40M | -297.40M | -123.00K | -3.11M | -3.53M |
Purchase of Investments | -1.02M | -88.00K | -152.06M | -80.37M | -86.70M | -1.90M | -100.41M | -37.44M | -30.96M | 10.82M | -35.96M | - | 1.24M | - | - | - |
Sales Maturities Of Investments | - | 54.43M | - | 186.80M | 86.70M | 10.34M | 199.66M | 9.69M | 105.66M | 199.16M | - | 11.58M | 6.46M | - | - | - |
Other Investing Acitivies | 53.81M | 46.07M | 18.87M | -141.06M | 406.65M | 865.82M | 23.09M | 19.06M | -648.04M | -247.54M | -139.09M | -67.39M | 346.00K | 456.00K | 862.00K | 828.00K |
Investing Cash Flow | -83.76M | 64.19M | -212.41M | -221.49M | -1.44B | 453.47M | 270.58M | -363.13M | -445.33M | -1.37B | -1.46B | -546.22M | -296.90M | 333.00K | -2.83M | -3.28M |
Debt Repayment | -24.21M | -500.59M | 21.44M | 207.05M | 997.89M | -537.59M | -332.58M | 99.15M | 474.21M | 877.81M | 886.56M | 489.13M | 147.72M | 46.47M | -702.00K | -6.78M |
Common Stock Repurchased | -84.00K | -99.00K | -90.00K | -182.00K | -266.77M | -297.00K | -15.82M | - | -17.68M | - | - | -642.00K | -3.42M | -3.00M | - | - |
Dividend Paid | -178.30M | - | - | -142.13M | -244.40M | -236.63M | -225.07M | -181.29M | -322.01M | -242.59M | -145.93M | -71.68M | -19.06M | -7.00M | -132.00K | -189.00K |
Other Financial Acitivies | -56.33M | -7.08M | -15.80M | -165.12M | 226.98M | -19.72M | 179.18M | 166.75M | -53.82M | -41.65M | -167.70M | -429.00K | -1.94M | 9.11M | - | -150.00K |
Financial Cash Flow | -258.93M | -507.76M | 5.55M | -100.38M | 978.83M | -794.25M | -394.28M | 371.45M | 80.70M | 1.13B | 1.37B | 417.72M | 198.06M | 10.16M | -834.00K | -7.12M |
Net Cash Flow | 33.48M | 1.61M | -1.01M | -17.88M | 4.13M | -3.52M | 14.27M | -15.91M | -13.13M | 30.86M | -1.12M | 3.73M | -8.51M | -20.25M | 3.27M | 12.43M |
Free Cash Flow | 223.87M | 297.42M | 63.49M | 117.19M | -91.66M | -118.34M | 4.21M | -390.69M | -310.39M | 238.18M | -79.91M | 59.76M | 82.78M | -30.75M | 6.90M | 21.88M |