Kinder Morgan
Energy Partners is the US largest master limited partnership. It owns and operates petroleum product
pipelines in the US. It owns 54,000 miles
of pipelines and 180 terminals used in transporting gasoline, jet fuel, diesel
fuel, natural gas liquids, coal and carbon dioxide. This Master Limited Partnership has grown
cash flow (the basis for dividend payments) and dividends at an 8-10% rate over
the past 10 years earning approximately 15-20% return on partnership
capital. Future growth will come from:
(1) its focus on
fee based and diversified businesses that allow the company to spread its risks
and provide stable and steadily growing earnings stream,
(2) the growth
in natural gas shale plays,
(3) KMP ’s continued aggressive investment in new
organic projects that will enhance the company’s long term growth prospects,
(4) an active
acquisition program [latest---Tennessee Gas Pipeline, El Paso Natural Gas].
Negatives:
(1) it is vulnerable to the volatility in crude
oil and natural gas prices,
(2) it huge
capital expenditure budget could impact the growth of distributions.
Statistical Summary
Stock Dividend Payout # Increases
Yield Growth Rate Ratio* Since 2004
Ind Ave 6.2 7 78 NA
Debt/ EPS Down Net
Value Line
Equity ROE Since 2004 Margin Rating
Ind Ave 52
16 NA 15 NA
*this ratio is the dividend to
cash flow
Chart
KMP
stock made great initial progress off its March 2003 low, quickly surpassing
the downtrend off its May 2008 high (straight red line) and the November 2008
trading high (green line). KMP stock
broke below its long term uptrend in early 2013 and also traded below the lower
boundary of its Buy Value Range. In the
latter case, it was Removed from the High Yield Portfolio’s Buy List. It is currently trading in an intermediate
term trading range, though the stock got whacked hard yesterday as a result of
a negative article in Barron’s. The
critical price at the moment is the Stop Loss Price which is $70. As long as KMP remains above this level, the
High Yield Portfolio will continue to Hold it.
A trade below that level will result in the elimination of this position.
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