FCF Yield
Updated 80h ago
Sector Performance
47th percentileKMI
4.0%
Sector Median
4.2%
Sector Avg
7.7%
Deep Analysis
KMI's current Free Cash Flow (FCF) Yield of 4.0% means that for every dollar of its stock price, the company generates 4.0 cents in free cash flow — the cash left after operating and capital expenses — which is a measure of its cash return potential.
This yield sits just below the sector median of 4.2%, placing KMI in the 47th percentile among its sector peers, indicating it is slightly less attractive on this metric than the typical peer. Over the last eight quarters, the FCF Yield has been stable, though it declined by 2.4% from the prior quarter (the most recent value of 4.0% versus 4.1% the quarter before); year-over-year data is not available. The combination of a yield near the sector median and a stable but slightly declining quarterly trend suggests a moderate-risk position with no clear catalyst for improvement or deterioration. This metric aligns with the overall NEUTRAL verdict, as the FCF Yield is unremarkable relative to peers and lacks a strong upward or downward momentum to shift the stock's risk profile.
Frequently Asked Questions
What does the FCF Yield tell investors about KMI?
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
How is the FCF Yield calculated?
FCF Yield is calculated as: Free Cash Flow / Market Cap.
Who are KMI's closest peers by FCF Yield?
The closest peers by FCF Yield include: FMC (-12.9%), NCLH (-13.0%), XEL (-13.6%), SG (-13.6%), GS (-14.0%).
The Formula
Free Cash Flow / Market Cap
Why It Matters
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
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4.0%
Sector Median
4.2%
Sector Avg
7.7%
How KMI's FCF Yield compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.