Cash Flow for Targa Resources Partners Lp (NGLS)

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Cash Flow for Targa Resources Partners Lp
Dec 31, 2013 Dec 31, 2012 Dec 31, 2011
Net Income
Net Income 233,500,000 174,600,000 204,500,000
Operating Activities, Cash Flows Provided By or Used In
Depreciation 291,000,000 218,800,000 194,200,000
Adjustments To Net Income 22,200,000 39,000,000 -14,600,000
Changes In Accounts Receivables -145,800,000 90,200,000 -109,200,000
Changes In Liabilities 69,900,000 -91,700,000 126,100,000
Changes In Inventories -84,500,000 5,900,000 -41,100,000
Changes In Other Operating Activities - - -
Total Cash Flow From Operating Activities 411,400,000 465,400,000 400,900,000
Investing Activities, Cash Flows Provided By or Used In
Capital Expenditures -1,013,600,000 -582,300,000 -328,700,000
Investments - -1,012,500,000 -177,700,000
Other Cash flows from Investing Activities -12,700,000 1,000,000 300,000
Total Cash Flows From Investing Activities -1,026,300,000 -1,593,800,000 -506,100,000
Financing Activities, Cash Flows Provided By or Used In
Dividends Paid -19,300,000 -21,300,000 -31,400,000
Sale Purchase of Stock 539,800,000 579,200,000 329,300,000
Net Borrowings 481,200,000 868,600,000 39,500,000
Other Cash Flows from Financing Activities -397,300,000 -285,700,000 -252,900,000
Total Cash Flows From Financing Activities 604,400,000 1,140,800,000 84,500,000
Effect Of Exchange Rate Changes - - -
Change In Cash and Cash Equivalents -10,500,000 12,400,000 -20,700,000
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