US Stock MarketDetailed Quotes

Enterprise Products (EPD)

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  • 38.290
  • +0.130+0.34%
Close May 13 15:59 ET
  • 38.150
  • -0.140-0.37%
Post 20:01 ET
82.84BMarket Cap14.18P/E (TTM)

Enterprise Products (EPD) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-36.52%1.47B
5.79%8.59B
4.83%2.47B
-16.12%1.74B
30.94%2.06B
9.62%2.31B
7.21%8.12B
-0.34%2.36B
20.61%2.07B
-17.25%1.57B
Net income from continuing operations
6.40%1.5B
-1.57%5.88B
1.65%1.66B
-5.31%1.36B
2.25%1.45B
-5.19%1.41B
5.53%5.97B
1.94%1.63B
6.07%1.43B
10.83%1.42B
Operating gains losses
142.59%23M
15.73%-359M
20.34%-94M
41.18%-60M
-39.81%-151M
44.90%-54M
2.96%-426M
13.24%-118M
-21.43%-102M
6.90%-108M
Depreciation and amortization
8.88%613M
5.88%2.32B
7.68%603M
6.16%586M
4.96%571M
4.65%563M
5.89%2.19B
4.48%560M
4.15%552M
7.51%544M
Deferred tax
27.27%14M
2.22%46M
113.64%47M
-288.89%-17M
0.00%5M
22.22%11M
275.00%45M
214.29%22M
-30.77%9M
145.45%5M
Other non cash items
16.09%101M
9.07%409M
21.05%115M
-4.40%87M
31.87%120M
-11.22%87M
9.01%375M
10.47%95M
4.60%91M
3.41%91M
Change In working capital
-524.14%-861M
75.49%-124M
-21.05%45M
-794.44%-322M
89.82%-50M
663.89%203M
8.83%-506M
-62.25%57M
88.12%-36M
-1,463.89%-491M
-Change in receivables
-233.55%-1.85B
289.59%2.75B
199.61%1.02B
-89.69%46M
125.87%296M
405.84%1.39B
-80.02%-1.45B
-21.39%-1.03B
155.96%446M
-339.33%-1.14B
-Change in inventory
-272.01%-1.27B
120.40%122M
135.40%223M
-465.12%-157M
-5,566.67%-680M
73,500.00%736M
16.25%-598M
-1,311.54%-630M
105.19%43M
96.00%-12M
-Change in prepaid assets
224.32%360M
117.76%27M
292.86%108M
235.71%47M
-602.94%-239M
246.05%111M
76.65%-152M
-500.00%-56M
102.81%14M
-117.80%-34M
-Change in payables and accrued expense
257.06%2.81B
-255.69%-2.75B
-161.27%-1.14B
61.06%-301M
-15.94%480M
-1,684.96%-1.79B
52.95%1.77B
105.32%1.85B
-161.16%-773M
1,643.24%571M
-Change in other current assets
-115.38%-2M
52.63%58M
245.83%35M
-140.68%-24M
126.67%34M
208.33%13M
22.58%38M
---24M
180.95%59M
114.29%15M
-Change in other current liabilities
-263.10%-915M
-209.26%-334M
-246.67%-208M
-61.71%67M
-47.79%59M
25.00%-252M
-125.06%-108M
-314.29%-60M
-67.29%175M
137.29%113M
Cash from discontinued investing activities
Operating cash flow
-36.52%1.47B
5.79%8.59B
4.83%2.47B
-16.12%1.74B
30.94%2.06B
9.62%2.31B
7.21%8.12B
-0.34%2.36B
20.61%2.07B
-17.25%1.57B
Investing cash flow
Cash flow from continuing investing activities
63.61%-381M
-1.07%-5.49B
38.25%-1.24B
-67.97%-1.94B
-2.49%-1.27B
-0.87%-1.05B
-69.94%-5.43B
-104.71%-2B
-40.83%-1.15B
-62.48%-1.24B
Capital expenditure reported
7.44%-983M
-23.68%-5.62B
-22.85%-1.3B
-66.78%-1.96B
-2.77%-1.3B
-1.43%-1.06B
-39.13%-4.54B
-4.64%-1.06B
-43.00%-1.17B
-62.05%-1.26B
Net business purchase and sale
----
99.79%-2M
99.89%-1M
--0
----
----
-47,350.00%-949M
---949M
--0
----
Net other investing changes
--591M
435.29%57M
1,080.00%49M
166.67%2M
----
----
-158.62%-17M
-116.67%-5M
-50.00%-3M
---3M
Cash from discontinued investing activities
Investing cash flow
63.61%-381M
-1.07%-5.49B
38.25%-1.24B
-67.97%-1.94B
-2.49%-1.27B
-0.87%-1.05B
-69.94%-5.43B
-104.71%-2B
-40.83%-1.15B
-62.48%-1.24B
Financing cash flow
Cash flow from continuing financing activities
-17.44%-1.94B
-24.17%-2.69B
64.46%-424M
-246.39%-467M
48.40%-145M
-63.63%-1.65B
49.18%-2.16B
13.74%-1.19B
136.96%319M
75.26%-281M
Net issuance payments of debt
-51.56%-485M
-20.80%2.51B
5,256.25%825M
-47.14%840M
29.44%1.17B
-145.98%-320M
601.11%3.17B
90.64%-16M
497.37%1.59B
1,566.67%900M
Net common stock issuance
-93.33%-116M
-36.99%-300M
20.63%-50M
-5.26%-80M
-175.00%-110M
-50.00%-60M
-16.49%-219M
34.38%-63M
---76M
46.67%-40M
Cash dividends paid
-2.59%-1.19B
-3.68%-4.68B
-3.60%-1.18B
-3.60%-1.18B
-3.76%-1.16B
-3.76%-1.16B
-4.91%-4.51B
-4.79%-1.14B
-4.88%-1.14B
-4.98%-1.12B
Net other financing activities
-33.04%-149M
63.62%-219M
-183.33%-20M
14.55%-47M
-73.91%-40M
79.56%-112M
-172.40%-602M
180.00%24M
-27.91%-55M
54.00%-23M
Cash from discontinued financing activities
Financing cash flow
-17.44%-1.94B
-24.17%-2.69B
64.46%-424M
-246.39%-467M
48.40%-145M
-63.63%-1.65B
49.18%-2.16B
13.74%-1.19B
136.96%319M
75.26%-281M
Net cash flow
Beginning cash position
48.57%1.25B
161.88%838M
-74.18%432M
152.53%1.1B
18.23%454M
161.88%838M
55.34%320M
432.80%1.67B
56.68%434M
39.13%384M
Current changes in cash
-121.61%-851M
-21.43%407M
197.37%813M
-153.59%-664M
1,184.00%642M
-700.00%-384M
354.39%518M
-14,016.67%-835M
3,248.65%1.24B
4,900.00%50M
End cash Position
-13.22%394M
48.57%1.25B
48.57%1.25B
-74.18%432M
152.53%1.1B
18.23%454M
161.88%838M
161.88%838M
432.80%1.67B
56.68%434M
Free cash flow
-61.18%486M
-16.97%2.97B
-9.85%1.17B
-124.50%-220M
145.81%762M
17.67%1.25B
-17.01%3.57B
-4.06%1.3B
0.11%898M
-72.37%310M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -36.52%1.47B5.79%8.59B4.83%2.47B-16.12%1.74B30.94%2.06B9.62%2.31B7.21%8.12B-0.34%2.36B20.61%2.07B-17.25%1.57B
Net income from continuing operations 6.40%1.5B-1.57%5.88B1.65%1.66B-5.31%1.36B2.25%1.45B-5.19%1.41B5.53%5.97B1.94%1.63B6.07%1.43B10.83%1.42B
Operating gains losses 142.59%23M15.73%-359M20.34%-94M41.18%-60M-39.81%-151M44.90%-54M2.96%-426M13.24%-118M-21.43%-102M6.90%-108M
Depreciation and amortization 8.88%613M5.88%2.32B7.68%603M6.16%586M4.96%571M4.65%563M5.89%2.19B4.48%560M4.15%552M7.51%544M
Deferred tax 27.27%14M2.22%46M113.64%47M-288.89%-17M0.00%5M22.22%11M275.00%45M214.29%22M-30.77%9M145.45%5M
Other non cash items 16.09%101M9.07%409M21.05%115M-4.40%87M31.87%120M-11.22%87M9.01%375M10.47%95M4.60%91M3.41%91M
Change In working capital -524.14%-861M75.49%-124M-21.05%45M-794.44%-322M89.82%-50M663.89%203M8.83%-506M-62.25%57M88.12%-36M-1,463.89%-491M
-Change in receivables -233.55%-1.85B289.59%2.75B199.61%1.02B-89.69%46M125.87%296M405.84%1.39B-80.02%-1.45B-21.39%-1.03B155.96%446M-339.33%-1.14B
-Change in inventory -272.01%-1.27B120.40%122M135.40%223M-465.12%-157M-5,566.67%-680M73,500.00%736M16.25%-598M-1,311.54%-630M105.19%43M96.00%-12M
-Change in prepaid assets 224.32%360M117.76%27M292.86%108M235.71%47M-602.94%-239M246.05%111M76.65%-152M-500.00%-56M102.81%14M-117.80%-34M
-Change in payables and accrued expense 257.06%2.81B-255.69%-2.75B-161.27%-1.14B61.06%-301M-15.94%480M-1,684.96%-1.79B52.95%1.77B105.32%1.85B-161.16%-773M1,643.24%571M
-Change in other current assets -115.38%-2M52.63%58M245.83%35M-140.68%-24M126.67%34M208.33%13M22.58%38M---24M180.95%59M114.29%15M
-Change in other current liabilities -263.10%-915M-209.26%-334M-246.67%-208M-61.71%67M-47.79%59M25.00%-252M-125.06%-108M-314.29%-60M-67.29%175M137.29%113M
Cash from discontinued investing activities
Operating cash flow -36.52%1.47B5.79%8.59B4.83%2.47B-16.12%1.74B30.94%2.06B9.62%2.31B7.21%8.12B-0.34%2.36B20.61%2.07B-17.25%1.57B
Investing cash flow
Cash flow from continuing investing activities 63.61%-381M-1.07%-5.49B38.25%-1.24B-67.97%-1.94B-2.49%-1.27B-0.87%-1.05B-69.94%-5.43B-104.71%-2B-40.83%-1.15B-62.48%-1.24B
Capital expenditure reported 7.44%-983M-23.68%-5.62B-22.85%-1.3B-66.78%-1.96B-2.77%-1.3B-1.43%-1.06B-39.13%-4.54B-4.64%-1.06B-43.00%-1.17B-62.05%-1.26B
Net business purchase and sale ----99.79%-2M99.89%-1M--0---------47,350.00%-949M---949M--0----
Net other investing changes --591M435.29%57M1,080.00%49M166.67%2M---------158.62%-17M-116.67%-5M-50.00%-3M---3M
Cash from discontinued investing activities
Investing cash flow 63.61%-381M-1.07%-5.49B38.25%-1.24B-67.97%-1.94B-2.49%-1.27B-0.87%-1.05B-69.94%-5.43B-104.71%-2B-40.83%-1.15B-62.48%-1.24B
Financing cash flow
Cash flow from continuing financing activities -17.44%-1.94B-24.17%-2.69B64.46%-424M-246.39%-467M48.40%-145M-63.63%-1.65B49.18%-2.16B13.74%-1.19B136.96%319M75.26%-281M
Net issuance payments of debt -51.56%-485M-20.80%2.51B5,256.25%825M-47.14%840M29.44%1.17B-145.98%-320M601.11%3.17B90.64%-16M497.37%1.59B1,566.67%900M
Net common stock issuance -93.33%-116M-36.99%-300M20.63%-50M-5.26%-80M-175.00%-110M-50.00%-60M-16.49%-219M34.38%-63M---76M46.67%-40M
Cash dividends paid -2.59%-1.19B-3.68%-4.68B-3.60%-1.18B-3.60%-1.18B-3.76%-1.16B-3.76%-1.16B-4.91%-4.51B-4.79%-1.14B-4.88%-1.14B-4.98%-1.12B
Net other financing activities -33.04%-149M63.62%-219M-183.33%-20M14.55%-47M-73.91%-40M79.56%-112M-172.40%-602M180.00%24M-27.91%-55M54.00%-23M
Cash from discontinued financing activities
Financing cash flow -17.44%-1.94B-24.17%-2.69B64.46%-424M-246.39%-467M48.40%-145M-63.63%-1.65B49.18%-2.16B13.74%-1.19B136.96%319M75.26%-281M
Net cash flow
Beginning cash position 48.57%1.25B161.88%838M-74.18%432M152.53%1.1B18.23%454M161.88%838M55.34%320M432.80%1.67B56.68%434M39.13%384M
Current changes in cash -121.61%-851M-21.43%407M197.37%813M-153.59%-664M1,184.00%642M-700.00%-384M354.39%518M-14,016.67%-835M3,248.65%1.24B4,900.00%50M
End cash Position -13.22%394M48.57%1.25B48.57%1.25B-74.18%432M152.53%1.1B18.23%454M161.88%838M161.88%838M432.80%1.67B56.68%434M
Free cash flow -61.18%486M-16.97%2.97B-9.85%1.17B-124.50%-220M145.81%762M17.67%1.25B-17.01%3.57B-4.06%1.3B0.11%898M-72.37%310M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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