ENTERPRISE PRODUCTS PARTNERS L.P.EPD

Market cap
$69.3B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Cash and cash equivalents6620165774196353453351,0602,81976180583
Restricted cash------35565657598145130140255
Accounts receivable, net-4,5024,3515,4763,8232,5703,3304,3583,6594,8744,8036,9676,964--
Inventories1,1341,1121,0881,0931,0141,0381,7711,6101,5222,0913,3042,6812,5543,3523,955
Derivative assets------541153154127229237469347534
Prepaid and other current assets-353381326576-468313312358411399394457566
Total current assets5,5076,0695,8437,0235,4914,3136,5286,5066,0617,8639,90913,26910,59812,24815,133
Property, plant and equipment, net19,33322,19224,84626,94729,88232,03533,29335,62038,73841,60341,91342,08844,40145,80449,062
Investments in unconsolidated affiliates2,2931,8601,3952,4373,0422,6292,6772,6592,6152,6002,4292,4282,3522,3302,259
Carrying Value1,8421,6561,5671,4624,3024,0373,8643,6903,6083,4493,3093,1513,9653,7704,005
Goodwill2,1082,0922,0872,0804,2005,7455,7455,7455,7455,7455,4495,4495,6085,6085,712
Other assets278257197189184193871962034731,0971,1411,1841,222997
Total assets31,36134,12535,93440,13947,10148,95252,19454,41856,97061,73364,10767,52668,10870,98277,168
Current maturities of debt-5001,5471,1252,2061,8642,5772,8551,5001,9821,3251,4001,7441,3001,150
Accounts payable5427737657247748603988021,1031,005705632743--
Carrying value as of the balance sheet date of obligations incurred and payable to third parties for natural gas, NGLs and petrochemicals that has been sold but not delivered. For classified balance sheets, used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer); for unclassified balance sheets, used to reflect the total liabilities (regardless of due date).4,1655,0474,4765,6093,8532,4843,6144,5663,4764,9165,3958,0937,9888,91110,777
Accrued interest253288301304336352341358396432456453426455536
Derivative liabilities------738168148122349254354396471
Other current liabilities505613541327586529479419405511609626778675818
Total current liabilities5,8807,4327,7568,2397,8747,1678,2519,2957,1689,1308,98811,62512,26513,13115,177
Long-term debt13,28114,02914,65516,22719,15720,82721,12121,71424,67825,64328,54128,13526,55127,44830,746
Deferred tax liabilities---------100465518600611656
Other long-term liabilities2213532051723114125045787521,032687760941984950
Series A cumulative convertible preferred units (50,687 units outstanding at December 31, 2024 and 50,412 units outstanding at December 31, 2023)----------4949494950
Common Units-12,34613,44015,574-----------
Common limited partner interests (2,165,699,962 units issued and outstanding at December 31, 2024 and 2,168,245,238 units issued and outstanding at December 31, 2023)--13,55815,57418,30520,51422,32722,71923,80324,69325,76726,34027,55528,66329,793
Treasury units, at cost----------1,2971,2971,2971,2971,297
Accumulated other comprehensive income-32-351-370-359-242-219-280-1725171-165286365307236
Total partners' equity11,37412,11313,18815,21518,06320,29522,04722,54723,85424,76424,30425,32926,62327,67328,732
Noncontrolling interests in consolidated subsidiaries-1061082261,6292062192254391,0641,0731,1101,0791,086857
Total equity-12,21913,29615,44019,69220,50122,26622,77224,29225,82825,37726,43927,70228,75929,589
Total liabilities, preferred units, and equity-34,12535,93440,13947,10148,95252,19454,41856,97061,73364,10767,52668,10870,98277,168