Targa Resources Corp
F:TAR

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Targa Resources Corp
F:TAR
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Price: 168.4 EUR 0.15% Market Closed
Market Cap: €37.4B

Cash Flow Statement

Cash Flow Statement
Targa Resources Corp

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Cash Flow Statement
Currency: USD
Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
122
87
63
68
124
165
215
244
224
207
159
124
103
133
201
274
355
426
423
351
273
173
(151)
(187)
(226)
(250)
(159)
(269)
(184)
(336)
104
254
304
448
60
(3)
(75)
(32)
41
(1 754)
(1 626)
(1 486)
(1 325)
723
702
817
422
363
895
886
1 531
1 918
1 618
1 618
1 579
1 357
1 328
1 497
1 554
1 501
1 779
1 818
Depreciation & Amortization
256
178
175
175
177
172
181
185
188
191
198
214
232
252
272
288
308
326
351
391
468
546
645
718
742
760
758
755
773
797
810
817
816
814
816
855
890
928
972
973
941
900
865
842
850
869
871
864
922
986
1 096
1 212
1 274
1 318
1 330
1 345
1 362
1 386
1 423
1 450
1 475
1 503
Change in Deffered Taxes
27
32
33
31
26
26
12
13
14
6
9
8
7
12
5
4
2
(6)
(4)
3
17
42
25
22
11
(21)
(38)
33
(77)
(167)
(393)
(457)
(317)
(222)
6
(6)
(42)
(42)
(88)
(363)
(383)
(348)
(233)
60
89
59
12
19
98
107
125
210
218
261
350
323
321
362
367
344
423
488
Stock-Based Compensation
1
1
13
17
21
24
15
16
16
17
18
17
16
15
13
14
14
14
14
16
19
23
25
27
28
28
30
33
36
39
42
45
48
51
56
60
62
65
60
61
61
61
66
64
63
61
59
58
57
56
58
59
60
61
62
62
62
64
63
66
68
68
Other Non-Cash Items
99
26
64
66
55
54
10
17
15
58
61
57
56
31
34
35
32
21
13
21
51
109
412
401
386
361
348
408
419
666
436
401
256
85
204
214
335
299
404
2 654
2 617
2 552
2 291
26
132
124
708
889
429
564
(20)
(380)
(135)
(206)
(199)
(4)
199
182
248
477
156
172
Cash Taxes Paid
11
64
93
93
123
68
34
0
0
24
31
31
54
29
34
34
47
66
73
74
51
32
13
13
1
1
(11)
(12)
(80)
(79)
(68)
(67)
(0)
(1)
(1)
(0)
0
0
(2)
(3)
(47)
(47)
44
45
89
89
1
1
1
1
2
2
9
10
9
9
9
9
17
17
28
32
Cash Interest Paid
130
113
90
81
88
93
96
0
0
95
96
128
152
96
122
113
129
129
134
141
172
207
214
266
255
262
282
255
249
235
212
199
187
198
217
241
247
296
288
335
346
375
374
402
385
386
356
366
354
361
401
462
496
643
619
675
723
739
713
785
697
759
Change in Working Capital
(19)
(64)
(130)
(142)
(104)
(173)
(40)
(11)
(79)
44
2
80
9
(12)
(130)
(92)
(72)
(143)
(20)
(30)
14
68
105
30
96
51
(72)
(12)
(86)
(152)
(18)
(39)
(40)
198
58
37
45
(4)
61
25
28
(52)
146
320
537
579
290
237
40
(196)
(352)
(157)
(132)
(199)
152
(103)
(65)
(147)
59
(45)
(151)
(242)
Cash from Operating Activities
485
N/A
259
-47%
205
-21%
199
-3%
277
+39%
244
-12%
379
+56%
448
+18%
362
-19%
505
+40%
428
-15%
482
+13%
406
-16%
415
+2%
383
-8%
509
+33%
626
+23%
625
0%
762
+22%
736
-3%
822
+12%
938
+14%
1 035
+10%
983
-5%
1 008
+3%
900
-11%
837
-7%
915
+9%
844
-8%
809
-4%
940
+16%
975
+4%
1 019
+4%
1 322
+30%
1 144
-13%
1 097
-4%
1 153
+5%
1 148
0%
1 390
+21%
1 535
+10%
1 576
+3%
1 567
-1%
1 745
+11%
1 972
+13%
2 309
+17%
2 448
+6%
2 303
-6%
2 371
+3%
2 383
+0%
2 347
-1%
2 381
+1%
2 802
+18%
2 844
+1%
2 791
-2%
3 212
+15%
2 918
-9%
3 146
+8%
3 280
+4%
3 650
+11%
3 728
+2%
3 682
-1%
3 740
+2%
Investing Cash Flow
Capital Expenditures
(146)
(109)
(139)
(177)
(231)
(269)
(332)
(378)
(432)
(483)
(583)
(702)
(807)
(945)
(1 031)
(1 007)
(988)
(876)
(762)
(2 350)
(2 353)
(2 390)
(2 392)
(796)
(689)
(617)
(562)
(997)
(1 353)
(1 575)
(1 868)
(1 839)
(1 932)
(2 465)
(3 115)
(3 462)
(3 703)
(3 515)
(2 878)
(2 276)
(1 743)
(1 247)
(952)
(706)
(535)
(470)
(505)
(613)
(929)
(1 203)
(1 540)
(1 811)
(1 990)
(2 186)
(2 385)
(2 580)
(2 722)
(2 959)
(2 966)
(3 088)
(3 254)
(3 097)
Other Items
42
19
8
(27)
(29)
(171)
(177)
(149)
(155)
(40)
(1 008)
(1 008)
(1 006)
(999)
5
14
21
45
11
(0)
4
(8)
(8)
1
(4)
4
4
1
(9)
(20)
(24)
(105)
(89)
(164)
(32)
(77)
(169)
(59)
(194)
72
161
141
214
80
83
86
32
33
891
(2 619)
(2 610)
(2 623)
(3 483)
10
(15)
(18)
(32)
(43)
(56)
(69)
(110)
(111)
Cash from Investing Activities
(104)
N/A
(89)
+14%
(131)
-47%
(204)
-55%
(259)
-27%
(441)
-70%
(509)
-16%
(527)
-3%
(588)
-12%
(523)
+11%
(1 591)
-204%
(1 709)
-7%
(1 814)
-6%
(1 943)
-7%
(1 026)
+47%
(994)
+3%
(966)
+3%
(831)
+14%
(751)
+10%
(2 351)
-213%
(2 350)
+0%
(2 398)
-2%
(2 400)
0%
(795)
+67%
(693)
+13%
(613)
+11%
(559)
+9%
(996)
-78%
(1 362)
-37%
(1 594)
-17%
(1 893)
-19%
(1 945)
-3%
(2 021)
-4%
(2 628)
-30%
(3 147)
-20%
(3 539)
-12%
(3 872)
-9%
(3 574)
+8%
(3 072)
+14%
(2 205)
+28%
(1 582)
+28%
(1 106)
+30%
(738)
+33%
(626)
+15%
(452)
+28%
(384)
+15%
(473)
-23%
(580)
-23%
(39)
+93%
(3 821)
-9 723%
(4 150)
-9%
(4 434)
-7%
(5 473)
-23%
(2 176)
+60%
(2 401)
-10%
(2 598)
-8%
(2 754)
-6%
(3 002)
-9%
(3 021)
-1%
(3 157)
-4%
(3 364)
-7%
(3 208)
+5%
Financing Cash Flow
Net Issuance of Common Stock
1
1
225
225
224
224
298
413
413
419
484
476
600
743
511
514
444
384
405
658
870
799
772
1 403
1 318
1 518
1 568
1 238
1 966
1 746
1 657
1 050
456
659
685
618
303
99
(14)
(7)
(8)
(6)
(268)
(274)
(273)
(276)
(53)
(117)
(1 156)
(1 233)
(1 226)
(1 239)
(349)
(421)
(430)
(504)
(710)
(741)
(755)
(719)
(688)
(660)
Net Issuance of Debt
(348)
273
(56)
(196)
(330)
(31)
58
199
342
145
898
1 042
1 100
1 093
499
354
311
267
66
1 551
1 270
1 335
1 324
(907)
(856)
(1 064)
(1 105)
(400)
(649)
(136)
157
607
1 145
1 081
1 610
2 046
1 338
1 528
1 129
517
950
431
(23)
(547)
(890)
(1 149)
(1 180)
(157)
427
4 346
4 697
4 684
4 689
1 455
1 336
817
1 110
1 303
1 160
3 099
3 247
3 062
Cash Paid for Dividends
(420)
(420)
(448)
(451)
(42)
(54)
(38)
(49)
(53)
(58)
(62)
(67)
(73)
(79)
(88)
(94)
(101)
(108)
(113)
(120)
(139)
(159)
(679)
(840)
(947)
(1 077)
(716)
(726)
(779)
(823)
(855)
(877)
(897)
(907)
(920)
(941)
(953)
(961)
(965)
(960)
(772)
(583)
(396)
(202)
(197)
(191)
(188)
(248)
(313)
(346)
(380)
(357)
(362)
(396)
(427)
(459)
(512)
(563)
(616)
(666)
(717)
(767)
Other
272
139
141
268
35
(138)
(230)
(510)
(513)
(522)
(226)
(233)
(254)
(266)
(288)
(306)
(321)
(341)
(355)
(398)
(442)
(490)
8
99
234
375
(92)
(66)
(93)
(29)
58
329
481
561
722
625
1 976
1 883
1 631
1 371
(195)
(354)
(408)
(449)
(484)
(494)
(494)
(1 382)
(1 358)
(1 329)
(1 262)
(1 381)
(1 334)
(1 307)
(1 367)
(277)
(283)
(289)
(402)
(2 243)
(2 213)
(2 170)
Cash from Financing Activities
(495)
N/A
(8)
+98%
(138)
-1 739%
(153)
-11%
(113)
+26%
1
N/A
87
+8 640%
53
-40%
189
+260%
(15)
N/A
1 093
N/A
1 218
+11%
1 373
+13%
1 491
+9%
634
-57%
467
-26%
334
-29%
201
-40%
4
-98%
1 691
+43 249%
1 558
-8%
1 484
-5%
1 424
-4%
(245)
N/A
(250)
-2%
(248)
+1%
(346)
-39%
47
N/A
445
+852%
759
+70%
1 017
+34%
1 109
+9%
1 185
+7%
1 395
+18%
2 098
+50%
2 347
+12%
2 665
+14%
2 549
-4%
1 781
-30%
920
-48%
(25)
N/A
(512)
-1 939%
(1 095)
-114%
(1 472)
-34%
(1 845)
-25%
(2 110)
-14%
(1 914)
+9%
(1 904)
+1%
(2 399)
-26%
1 438
N/A
1 829
+27%
1 707
-7%
2 644
+55%
(669)
N/A
(888)
-33%
(422)
+52%
(395)
+6%
(290)
+27%
(613)
-111%
(530)
+14%
(371)
+30%
(535)
-44%
Change in Cash
Net Change in Cash
(113)
N/A
162
N/A
(64)
N/A
(158)
-147%
(95)
+40%
(196)
-107%
(43)
+78%
(27)
+38%
(37)
-40%
(33)
+10%
(70)
-108%
(9)
+88%
(35)
-307%
(37)
-7%
(10)
+74%
(18)
-85%
(7)
+61%
(5)
+30%
14
N/A
76
+430%
30
-61%
24
-19%
59
+146%
(56)
N/A
65
N/A
38
-41%
(67)
N/A
(35)
+48%
(72)
-109%
(27)
+63%
64
N/A
140
+119%
183
+31%
89
-51%
95
+7%
(95)
N/A
(55)
+42%
123
N/A
99
-20%
250
+153%
(30)
N/A
(51)
-69%
(88)
-72%
(127)
-43%
13
N/A
(46)
N/A
(84)
-82%
(113)
-34%
(55)
+51%
(36)
+35%
61
N/A
76
+25%
15
-80%
(53)
N/A
(77)
-45%
(102)
-32%
(3)
+97%
(12)
-310%
16
N/A
42
+166%
(53)
N/A
(3)
+94%
Free Cash Flow
Free Cash Flow
339
N/A
150
-56%
66
-56%
23
-66%
47
+108%
(26)
N/A
47
N/A
70
+48%
(71)
N/A
22
N/A
(155)
N/A
(219)
-42%
(402)
-83%
(530)
-32%
(649)
-22%
(499)
+23%
(362)
+27%
(251)
+31%
(0)
+100%
(1 614)
-403 500%
(1 532)
+5%
(1 452)
+5%
(1 357)
+7%
187
N/A
319
+70%
283
-11%
275
-3%
(82)
N/A
(508)
-518%
(766)
-51%
(929)
-21%
(864)
+7%
(914)
-6%
(1 142)
-25%
(1 971)
-73%
(2 365)
-20%
(2 551)
-8%
(2 367)
+7%
(1 488)
+37%
(741)
+50%
(166)
+78%
320
N/A
793
+148%
1 266
+60%
1 775
+40%
1 978
+11%
1 798
-9%
1 758
-2%
1 454
-17%
1 145
-21%
841
-27%
992
+18%
854
-14%
606
-29%
826
+36%
339
-59%
424
+25%
321
-24%
684
+113%
640
-6%
428
-33%
643
+50%