Kinder Morgan, Inc. (KMI) is listed on NYSE in the Energy sector Β· Oil & Gas Midstream industry. The current price is 32.02, up 0.14% from the previous close. Market cap is approximately $71.2B.
The commentary below is auto-generated by comparing market data (P/E, ROE, D/E, etc.) against predefined thresholds. No LLM is used. This is not a buy/sell recommendation from us or any analyst. For reference only.
Kinder Morgan, Inc. trades at a P/E of 20.65x, within the typical range for mature companies. Whether the multiple sits above or below the sector median is the cleaner relative-value read.
KMI's ROE of 10.99% is average. In this band, consistency and stability matter more than the absolute number.
KMI's D/E at 98.62 is on the high side. Credit rating, debt maturity ladder, and refinancing risk all become first-order considerations.
Revenue is growing 10.80% year-over-year. Double-digit growth often reflects share gains or new-market entry.
Kinder Morgan, Inc.'s 3.69% yield is standard. If the company is also buying back stock, evaluate on total shareholder return (dividends + buybacks) rather than yield alone.
OPEC actions, geopolitics, and inventory data dominate short-term moves.
Kinder Morgan, Inc. trades in the upper 30% of its 52-week range (25.60β34.81). The uptrend is intact, though how much optimism is already reflected in the price is a separate question worth checking.
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The day's high-to-low spread was a narrow 0.80%, with a 0.14% change on the session. Quiet sessions often reflect ordinary order flow rather than any specific catalyst.
Kinder Morgan, Inc. (KMI) is listed on NYSE, with recent volume of 2,624,778 shares. Volume is a supporting gauge of how much conviction sits behind a price move β the same gain reads differently on heavy versus light turnover.