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DT Midstream, Inc.

DTM Stock Analysis

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Breakdown
2018
2019
2020
2021
2022
2023
Net Income
259.000M220.000M324.000M318.000M382.000M384.000M
Depreciation & Amortization
81.000M110.000M152.000M184.000M189.000M200.000M
Change in Working Capital
19.000M-51.000m-14.000m-54.000m40.000M53.000M
Operating Cash Flow
359.000M390.000M597.000M572.000M725.000M1.225B
Capital Expenditure
-176.000m-211.000m-518.000m-140.000m-338.000m-772.000m
Free Cash Flow
183.000M179.000M79.000M432.000M387.000M453.000M
Debt Repayment
0.0000.000-253.000m-3.205b-636.000m-165.000m
Dividends Paid
0.0000.0000.000-559.000m-244.000m-263.000m
Common Stock Issued
0.0000.0000.0000.0000.0000.000
Common Stock Repurchased
0.0000.0000.0000.000-3.000m0.000
Net Change in Cash
-12.000m20.000M-4.000m90.000M-71.000m-5.000m