$33.98
+0.05 (+0.15%)
As of Mar 25, 9:33 PM ET ·
Day Range $33.67 — $34.26
52W Range $23.94 — $34.24

Performance

1D
1W
1M
3M +24.97%
6M +19.77%
1Y +19.31%
YTD +22.63%
Open$33.76
Previous Close$33.93
Day High$34.26
Day Low$33.67
52W High$34.24
52W Low$23.94
Volume
Avg Volume13.60M
Market Cap74.29B
P/E Ratio24.31
EPS$1.37
SectorEnergy

Technical Indicators

Full analysis →
SMA 50 $28.60 Above
SMA 200 $27.70 Above
RSI (14) 73.2 Overbought
Trend Golden Cross Bullish

Analyst Ratings

Buy
27 analysts
17 Buy 10 Hold 0 Sell
Price Target +468.0% upside
Current
$33.98
Target
$193.00
$125.49 $193.00 avg $215.94

Key Financials

FY 2026 FY 2025 FY 2024
Revenue 16.85B 17.57B 44.25B
Net Income 3.04B 2.85B 5.34B
Profit Margin 18.0% 17.1% 12.1%
EBITDA 7.31B 7.24B 9.80B
Free Cash Flow 6.65B
Rev Growth -4.1% -4.1% -9.5%
Debt/Equity 1.03 1.03 0.88

Dividend

Dividend Yield3.50%
Annual Dividend$1.17
Payout Ratio85.2%
Frequencyquarterly
Ex-DividendFeb 26, 2026
Pay DateMar 8, 2026

Recent Insider Activity

All Insiders →
Date Insider Type Shares Price Value
Mar 5 Schlosser John W Sale 188,872 $33.68 $6.36M
Feb 19 ASHLEY ANTHONY B Sale 100,146 $31.95 $3.20M
Feb 5 Schlosser John W Sale 195,038 $30.09 $5.87M
Feb 3 SMITH WILLIAM A Buy 31,087 $29.75 $924.7K
Jan 26 Michels David Patrick Sale 139,428 $30.00 $4.18M

About Kinder Morgan Inc

Kinder Morgan, Inc. is one of the largest energy infrastructure companies in North America, headquartered in Houston, Texas. The company owns and operates an extensive network of natural gas pipelines, terminals, and storage facilities that transport and store natural gas, refined petroleum products, crude oil, and carbon dioxide across the United States and Canada. Its four business segments — Natural Gas Pipelines, Products Pipelines, Terminals, and CO2 — serve producers, utilities, shippers, and industrial customers. Kinder Morgan's pipeline network spans tens of thousands of miles, making it a critical link in the continent's energy supply chain.

Energy Peers

Symbol Name Price Change P/E Mkt Cap
XOM Exxon Mobil Corp $163.26 -1.28% 22.1 637.07B
CVX Chevron Corporation $205.15 -0.79% 30.3 372.06B
ENB Enbridge Inc $54.48 +0.07% 21.6 161.85B
TTE Totalenergies Se $89.26 +0.53% 8.3 168.10B
COP Conocophillips $128.93 -0.32% 19.4 155.27B
CNQ Canadian Natural Resources $49.18 +0.33% 13.4 144.98B

Quick Stats

Market Cap74.29B
P/E Ratio24.31
EPS$1.37
Div Yield3.50%
Volume
SectorEnergy

KMI Frequently Asked Questions

What does Kinder Morgan Inc do?
Kinder Morgan is essentially a toll operator for natural gas — it owns the pipes, compressor stations, and storage facilities that move gas from production regions to power plants, industrial users, LNG export terminals, and local distribution companies. Most of its cash flow is generated under long-term take-or-pay contracts that pay Kinder Morgan regardless of commodity prices, making it more like an infrastructure utility than a commodity-exposed energy company. This structure insulates earnings from oil and gas price swings that punish exploration companies.
Is KMI stock a good investment?
Kinder Morgan offers one of the higher dividend yields in the energy infrastructure sector, backed by relatively stable contract-based cash flows. The company has rebuilt its financial credibility after a painful dividend cut in 2015, and its balance sheet has improved materially since. The central long-term question is whether natural gas demand remains robust enough to justify its pipeline network's value as the energy mix evolves. Near-term, LNG export growth and power generation demand for gas are providing volume growth that many had not expected.
Who are Kinder Morgan Inc's main competitors?
Williams Companies is Kinder Morgan's closest structural competitor, operating a major natural gas gathering and transmission network centered on the Transco corridor. Energy Transfer competes across a similar broad footprint of pipelines, terminals, and storage. Enterprise Products Partners dominates NGL and crude pipelines with a large gathering and fractionation network. ONEOK competes in natural gas gathering and processing, particularly in the Midcontinent and Permian regions where Kinder Morgan also operates gathering infrastructure.
Does Kinder Morgan Inc pay dividends?
Kinder Morgan pays a substantial dividend yield that has been a core part of its investor appeal since the company rebuilt its distribution policy following the 2015 cut — a reset that was painful at the time but left the company with a more sustainable payout structure. Management has committed to annual dividend increases aligned with cash flow growth, and the take-or-pay contract structure underpins confidence in the dividend's durability. For income-focused investors in the energy sector, KMI is frequently considered alongside MLPs for yield, but with the simpler tax reporting of a C-corporation.
Where is KMI trading today?
KMI last closed at $33.98, up 0.15% in the most recent trading session. Over the past 52 weeks, the stock has traded between a low of $23.94 and a high of $34.24. The current price represents 97% of its 52-week range, which helps investors gauge where the stock sits relative to its recent trading history.
What are analyst ratings for KMI stock?
Among 27 analysts covering KMI, the consensus rating is Buy — 17 rate it a buy, 10 hold, and 0 sell. The average price target sits at $193.00, implying 468% upside from the current price. Keep in mind that analyst targets reflect 12-month expectations and can shift quickly after earnings reports or major company events.
How much revenue does Kinder Morgan Inc generate?
Kinder Morgan Inc generated $16.85B in revenue during fiscal year 2026, with $3.04B reaching the bottom line as net income. The net profit margin of 18.0% is solid for its sector.
What is the price-to-earnings ratio for KMI?
KMI trades at a P/E ratio of 24.31 on trailing earnings of $1.37 per share. That's roughly in line with the broader market average of ~20-25x. Comparing this multiple against Energy sector peers gives better context than the broad market alone, since P/E norms vary significantly across industries.
How has KMI performed compared to last year?
Performance varies across timeframes, reflecting shifting market conditions. Returns by timeframe: +24.97% (3M), +19.77% (6M), +19.31% (1Y), +22.63% (YTD). Comparing these figures against the S&P 500 and sector benchmarks helps determine whether KMI is outperforming or lagging the broader market.