US Stock MarketDetailed Quotes

Energy Transfer (ET)

Watchlist
  • 20.100
  • +0.100+0.50%
Close May 13 16:00 ET
  • 20.060
  • -0.040-0.20%
Post 20:01 ET
69.17BMarket Cap16.75P/E (TTM)

Energy Transfer (ET) 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
15.80%3.38B
-11.79%10.15B
-26.72%1.9B
-10.51%2.57B
21.67%2.76B
-22.67%2.92B
20.42%11.51B
99.85%2.59B
21.11%2.87B
-10.49%2.27B
Net income from continuing operations
14.88%1.98B
-13.05%5.71B
-14.44%1.24B
-9.90%1.29B
-26.81%1.46B
1.65%1.72B
24.01%6.57B
-7.66%1.45B
36.96%1.43B
61.56%1.99B
Operating gains losses
-12.62%-116M
56.82%-437M
-16.00%-116M
-1.74%-117M
85.36%-101M
3.74%-103M
-123.40%-1.01B
16.67%-100M
1.71%-115M
-538.89%-690M
Depreciation and amortization
15.80%1.58B
10.01%5.68B
8.52%1.49B
8.76%1.44B
14.10%1.38B
9.01%1.37B
17.79%5.17B
18.65%1.37B
19.60%1.32B
14.33%1.21B
Deferred tax
681.25%93M
-35.51%178M
-0.90%110M
-44.55%61M
291.67%23M
-123.88%-16M
35.96%276M
593.75%111M
107.55%110M
-114.81%-12M
Other non cash items
-868.09%-455M
20.13%179M
1,781.82%207M
-113.33%-30M
-2.00%49M
65.69%-47M
81.71%149M
-94.76%11M
248.03%225M
-1.96%50M
Change In working capital
277.05%216M
-908.16%-1.98B
-286.79%-1.49B
19.13%-186M
61.37%-175M
-113.97%-122M
56.54%-196M
76.36%-386M
-177.97%-230M
-626.74%-453M
-Change in receivables
-281.56%-4.41B
93.95%-46M
3.65%-290M
127.78%15M
204.18%1.38B
-34.30%-1.16B
-331.82%-760M
-131.45%-301M
97.65%-54M
-53.33%455M
-Change in inventory
74.10%578M
2.45%-717M
7.35%-517M
-456.47%-473M
85.36%-59M
6.75%332M
-2,200.00%-735M
-1,568.42%-558M
49.70%-85M
-53.23%-403M
-Change in payables and accrued expense
392.10%3.92B
-130.57%-442M
-93.73%32M
183.33%289M
-171.78%-1.56B
-43.39%797M
538.18%1.45B
126.07%510M
-95.24%102M
-20.59%-574M
-Change in other current assets
210.64%52M
-138.10%-200M
-141.79%-162M
83.89%-24M
-74.42%33M
-1,666.67%-47M
-187.50%-84M
-391.30%-67M
-684.21%-149M
240.22%129M
-Change in other current liabilities
122.81%13M
-325.20%-523M
-10,480.00%-519M
115.38%6M
185.45%47M
-67.65%-57M
-272.73%-123M
100.71%5M
-105.85%-39M
-89.66%-55M
-Change in other working capital
625.00%58M
-180.00%-48M
-248.00%-37M
120.00%1M
-300.00%-20M
-82.22%8M
239.53%60M
257.14%25M
80.77%-5M
82.76%-5M
Cash from discontinued investing activities
Operating cash flow
15.80%3.38B
-11.79%10.15B
-26.72%1.9B
-10.51%2.57B
21.67%2.76B
-22.67%2.92B
20.42%11.51B
99.85%2.59B
21.11%2.87B
-10.49%2.27B
Investing cash flow
Cash flow from continuing investing activities
-111.52%-2.53B
-41.82%-8.37B
-168.62%-3.95B
53.47%-1.53B
-3,880.00%-1.7B
-0.17%-1.2B
-36.51%-5.9B
-52.39%-1.47B
-390.15%-3.28B
102.38%45M
Capital expenditure reported
-56.54%-1.92B
-51.37%-6.3B
-44.23%-2.12B
-19.43%-1.3B
-104.56%-1.66B
-53.96%-1.22B
-32.87%-4.16B
-109.09%-1.47B
-54.92%-1.09B
7.42%-811M
Net business purchase and sale
-5,369.23%-711M
19.67%-2.27B
-3,944.68%-1.9B
87.61%-262M
55.81%-95M
97.12%-13M
-111.76%-2.83B
83.74%-47M
-52,750.00%-2.11B
79.37%-215M
Net investment purchase and sale
----
--0
--0
----
----
----
---84M
--0
----
----
Net other investing changes
184.21%54M
-87.23%140M
168.57%94M
-44.44%10M
-98.33%17M
-29.63%19M
1,253.09%1.1B
218.18%35M
5.88%18M
2,978.79%1.02B
Cash from discontinued investing activities
Investing cash flow
-111.52%-2.53B
-41.82%-8.37B
-168.62%-3.95B
53.47%-1.53B
-3,880.00%-1.7B
-0.17%-1.2B
-36.51%-5.9B
-52.39%-1.47B
-390.15%-3.28B
102.38%45M
Financing cash flow
Cash flow from continuing financing activities
26.17%-1.17B
85.03%-816M
77.08%-254M
3,777.97%2.29B
64.77%-1.27B
-99.49%-1.58B
-2.35%-5.45B
-61.75%-1.11B
103.88%59M
-457.25%-3.61B
Net issuance payments of debt
733.33%600M
1.62%4.82B
180.32%1.41B
46.14%2.39B
31.67%948M
-96.18%72M
564.01%4.74B
-43.92%503M
3,652.17%1.63B
-18.74%720M
Net preferred stock issuance
----
128.07%973M
--0
--1.47B
80.27%-500M
--0
---3.47B
--0
--0
---2.53B
Cash dividends paid
-3.09%-1.17B
-2.21%-4.73B
-2.61%-1.22B
-4.55%-1.15B
-1.33%-1.22B
-0.44%-1.13B
-8.83%-4.62B
-5.87%-1.19B
-6.90%-1.1B
-10.15%-1.21B
Net other financing activities
-15.47%-597M
10.51%-1.88B
-5.23%-443M
10.95%-423M
15.71%-499M
15.93%-517M
-17.35%-2.1B
8.08%-421M
-6.98%-475M
-34.55%-592M
Cash from discontinued financing activities
Financing cash flow
26.17%-1.17B
85.03%-816M
77.08%-254M
3,777.97%2.29B
64.77%-1.27B
-99.49%-1.58B
-2.35%-5.45B
-61.75%-1.11B
103.88%59M
-457.25%-3.61B
Net cash flow
Beginning cash position
307.69%1.27B
93.79%312M
1,095.32%3.57B
-62.77%242M
-76.72%453M
93.79%312M
-37.35%161M
-41.83%299M
96.97%650M
489.70%1.95B
Current changes in cash
-327.66%-321M
535.76%960M
-17,807.69%-2.3B
1,049.29%3.33B
83.72%-211M
-92.10%141M
257.29%151M
103.68%13M
-290.76%-351M
---1.3B
End cash Position
109.93%951M
307.69%1.27B
307.69%1.27B
1,095.32%3.57B
-62.77%242M
-76.72%453M
93.79%312M
93.79%312M
-41.83%299M
96.97%650M
Free cash flow
-13.64%1.46B
-47.62%3.85B
-120.13%-225M
-28.69%1.28B
-24.40%1.1B
-43.13%1.69B
14.34%7.34B
88.85%1.12B
6.94%1.79B
-12.11%1.46B
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 15.80%3.38B-11.79%10.15B-26.72%1.9B-10.51%2.57B21.67%2.76B-22.67%2.92B20.42%11.51B99.85%2.59B21.11%2.87B-10.49%2.27B
Net income from continuing operations 14.88%1.98B-13.05%5.71B-14.44%1.24B-9.90%1.29B-26.81%1.46B1.65%1.72B24.01%6.57B-7.66%1.45B36.96%1.43B61.56%1.99B
Operating gains losses -12.62%-116M56.82%-437M-16.00%-116M-1.74%-117M85.36%-101M3.74%-103M-123.40%-1.01B16.67%-100M1.71%-115M-538.89%-690M
Depreciation and amortization 15.80%1.58B10.01%5.68B8.52%1.49B8.76%1.44B14.10%1.38B9.01%1.37B17.79%5.17B18.65%1.37B19.60%1.32B14.33%1.21B
Deferred tax 681.25%93M-35.51%178M-0.90%110M-44.55%61M291.67%23M-123.88%-16M35.96%276M593.75%111M107.55%110M-114.81%-12M
Other non cash items -868.09%-455M20.13%179M1,781.82%207M-113.33%-30M-2.00%49M65.69%-47M81.71%149M-94.76%11M248.03%225M-1.96%50M
Change In working capital 277.05%216M-908.16%-1.98B-286.79%-1.49B19.13%-186M61.37%-175M-113.97%-122M56.54%-196M76.36%-386M-177.97%-230M-626.74%-453M
-Change in receivables -281.56%-4.41B93.95%-46M3.65%-290M127.78%15M204.18%1.38B-34.30%-1.16B-331.82%-760M-131.45%-301M97.65%-54M-53.33%455M
-Change in inventory 74.10%578M2.45%-717M7.35%-517M-456.47%-473M85.36%-59M6.75%332M-2,200.00%-735M-1,568.42%-558M49.70%-85M-53.23%-403M
-Change in payables and accrued expense 392.10%3.92B-130.57%-442M-93.73%32M183.33%289M-171.78%-1.56B-43.39%797M538.18%1.45B126.07%510M-95.24%102M-20.59%-574M
-Change in other current assets 210.64%52M-138.10%-200M-141.79%-162M83.89%-24M-74.42%33M-1,666.67%-47M-187.50%-84M-391.30%-67M-684.21%-149M240.22%129M
-Change in other current liabilities 122.81%13M-325.20%-523M-10,480.00%-519M115.38%6M185.45%47M-67.65%-57M-272.73%-123M100.71%5M-105.85%-39M-89.66%-55M
-Change in other working capital 625.00%58M-180.00%-48M-248.00%-37M120.00%1M-300.00%-20M-82.22%8M239.53%60M257.14%25M80.77%-5M82.76%-5M
Cash from discontinued investing activities
Operating cash flow 15.80%3.38B-11.79%10.15B-26.72%1.9B-10.51%2.57B21.67%2.76B-22.67%2.92B20.42%11.51B99.85%2.59B21.11%2.87B-10.49%2.27B
Investing cash flow
Cash flow from continuing investing activities -111.52%-2.53B-41.82%-8.37B-168.62%-3.95B53.47%-1.53B-3,880.00%-1.7B-0.17%-1.2B-36.51%-5.9B-52.39%-1.47B-390.15%-3.28B102.38%45M
Capital expenditure reported -56.54%-1.92B-51.37%-6.3B-44.23%-2.12B-19.43%-1.3B-104.56%-1.66B-53.96%-1.22B-32.87%-4.16B-109.09%-1.47B-54.92%-1.09B7.42%-811M
Net business purchase and sale -5,369.23%-711M19.67%-2.27B-3,944.68%-1.9B87.61%-262M55.81%-95M97.12%-13M-111.76%-2.83B83.74%-47M-52,750.00%-2.11B79.37%-215M
Net investment purchase and sale ------0--0---------------84M--0--------
Net other investing changes 184.21%54M-87.23%140M168.57%94M-44.44%10M-98.33%17M-29.63%19M1,253.09%1.1B218.18%35M5.88%18M2,978.79%1.02B
Cash from discontinued investing activities
Investing cash flow -111.52%-2.53B-41.82%-8.37B-168.62%-3.95B53.47%-1.53B-3,880.00%-1.7B-0.17%-1.2B-36.51%-5.9B-52.39%-1.47B-390.15%-3.28B102.38%45M
Financing cash flow
Cash flow from continuing financing activities 26.17%-1.17B85.03%-816M77.08%-254M3,777.97%2.29B64.77%-1.27B-99.49%-1.58B-2.35%-5.45B-61.75%-1.11B103.88%59M-457.25%-3.61B
Net issuance payments of debt 733.33%600M1.62%4.82B180.32%1.41B46.14%2.39B31.67%948M-96.18%72M564.01%4.74B-43.92%503M3,652.17%1.63B-18.74%720M
Net preferred stock issuance ----128.07%973M--0--1.47B80.27%-500M--0---3.47B--0--0---2.53B
Cash dividends paid -3.09%-1.17B-2.21%-4.73B-2.61%-1.22B-4.55%-1.15B-1.33%-1.22B-0.44%-1.13B-8.83%-4.62B-5.87%-1.19B-6.90%-1.1B-10.15%-1.21B
Net other financing activities -15.47%-597M10.51%-1.88B-5.23%-443M10.95%-423M15.71%-499M15.93%-517M-17.35%-2.1B8.08%-421M-6.98%-475M-34.55%-592M
Cash from discontinued financing activities
Financing cash flow 26.17%-1.17B85.03%-816M77.08%-254M3,777.97%2.29B64.77%-1.27B-99.49%-1.58B-2.35%-5.45B-61.75%-1.11B103.88%59M-457.25%-3.61B
Net cash flow
Beginning cash position 307.69%1.27B93.79%312M1,095.32%3.57B-62.77%242M-76.72%453M93.79%312M-37.35%161M-41.83%299M96.97%650M489.70%1.95B
Current changes in cash -327.66%-321M535.76%960M-17,807.69%-2.3B1,049.29%3.33B83.72%-211M-92.10%141M257.29%151M103.68%13M-290.76%-351M---1.3B
End cash Position 109.93%951M307.69%1.27B307.69%1.27B1,095.32%3.57B-62.77%242M-76.72%453M93.79%312M93.79%312M-41.83%299M96.97%650M
Free cash flow -13.64%1.46B-47.62%3.85B-120.13%-225M-28.69%1.28B-24.40%1.1B-43.13%1.69B14.34%7.34B88.85%1.12B6.94%1.79B-12.11%1.46B
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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