The Case for and Against Kinder Morgan, Inc. (KMI)

Kinder Morgan, Inc. (KMI) is an interesting player in the Basic Materials space, with a focus on Oil & Gas Pipelines. The stock has been active on the tape, currently trading at $16.74, down from yesterday’s close by -1.12%. Given the stock’s recent action, it seemed like a good time to take a closer look at the company’s recent data.

Fundamental Analysis

Kinder Morgan, Inc. (KMI) currently trades with a market capitalization of $36.64 Billion. That value represents a market adjusting for revenues that have been falling by -0.18 % on a quarterly year/year basis as of the company’s last quarterly report.

You can get a sense of how sustainable that is by a levered free cash flow of $1.74 Billion over the past twelve months. Generally speaking, earnings are expected to grow in coming quarters. Analysts are forecasting earnings of $0.2 on a per share basis this quarter. Perhaps, that suggests something about why 12.80% of the outstanding share supply is held by institutional investors.

Technical Analysis

Sometimes, we can understand most about a stock by simply looking at how it has been trading. Looking at the stock’s movement on the chart, Kinder Morgan, Inc. recorded a 52-week high of $21.25. It is now trading 4.51% off that level. The stock is trading $16.19 its 50-day moving average by -0.55%. The stock carved out a 52-week low down at $14.69.

In recent action, Kinder Morgan, Inc. (KMI) has made a move of +1.82% over the past month, which has come on Strong relative transaction volume. Over the trailing year, the stock is underperforming the S&P 500 by 14.57, and it’s gotten there by action that has been less volatile on a day-to-day basis than most other stocks on the exchange. In terms of the mechanics underlying that movement, traders will want to note that the stock is trading on a float of 2.51% with $1.91 Billion sitting short, betting on future declines. That suggests something of the likelihood of a short squeeze in shares of KMI.

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