DT Midstream, Inc.DTM

時価総額
$141.6億
PER
天然ガス中流インフラ事業の大手。パイプライン、貯蔵、集荷・処理などの統合サービスを展開、資産容量は日量約3.7Bcf、総延長約1,300マイル。24年12月にONEOKから中西部の3本パイプラインを12億ドルで買収。米国中西部・東部、カナダ東部で展開。
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents132615668
Accounts Receivable, after Allowance for Credit Loss, Current169161154172
Prepaid Taxes25223133
Taxes receivable--158
Prepaid expenses and other--1629
Total Current Assets360262272310
Equity Method Investments1,6912,2001,7621,297
Property, plant, and equipment4,1094,5345,2826,525
Accumulated depreciation619728848998
Net Property, plant, and equipment3,4903,8064,4345,527
Goodwill473473473776
Other Receivables, Net, Current--44
Operating lease right-of-use assets36313849
Intangible assets, net2,0822,0251,9681,921
Other32323151
Total Other Assets2,6252,5652,5142,801
Total Assets8,1668,8338,9829,935
Accounts payable221199477
Short-Term Debt-330165150
Operating lease liabilities16161316
Dividends payable58626775
Interest payable-101012
Property taxes payable24293442
Accrued compensation-201819
Contract liabilities--1818
Other47281517
Total Current Liabilities177614434426
Long-Term Debt, net3,0363,0593,0653,319
Deferred income taxes8569231,0311,129
Operating lease liabilities21192736
Contract liabilities--111135
Regulatory liabilities---90
Other55643434
Total Other Liabilities9321,0061,2031,424
Total Liabilities4,1454,6794,7025,169
Common Stock, Value, Issued1111
Additional paid-in capital3,4503,4693,4853,911
Retained earnings431547661723
Accumulated other comprehensive income (loss)-10-10-8-8
Total DT Midstream Equity4,0214,1544,2804,766
Noncontrolling interests149147141139
Total Equity4,0214,1544,2804,766
Total Liabilities and Equity8,1668,8338,9829,935