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United States|Canada
English|French

Nustar Energy LP

(NYSE: NS)
Add to Portfolio
-0.36 (-1.25%)
as of 10:42 EST

Values in US Thousands
  12-2018 12-2017 12-2016 12-2015
Cash Flows From Operating Activites
Total Net Income $ 205,794 $ 147,964 $ 150,003 $ 306,720
Depreciation and Amortization $ 305,262 $ 270,379 $ 224,213 $ 219,050
Deferred Income Taxes $ 2,043 $ 6 $ -469 $ 2,058
Other Working Capital $ 57,401 $ -23,136 $ -1,671 $ 50,559
Other Operating Activities $ -26,293 $ 11,586 $ 64,685 $ -53,450
Net Cash From Operating Activities $ 544,207 $ 406,799 $ 436,761 $ 524,937
Cash Flows From Investing Activites
Investments In Property, Plant, And Equipment $ -453,752 $ -382,602 $ -204,358 $ -307,676
Acquisitions, Net $ -37,502 $ -1,461,719 $ -95,657 $ -142,500
Purchases of Investments - - - $ -3,564
Other Investing Activity $ 337,476 $ 147,880 $ -11,063 $ 1,711
Net Cash Used For Investing Activities $ -153,778 $ -1,696,441 $ -311,078 $ -452,029
Cash Flows From Financing Activites
Change in Short-Term Borrowing $ 618,500 $ 1,051,000 $ 654,000 $ 823,500
Debt Issued $ 1,254,153 $ 1,465,767 $ 752,729 $ 860,131
Debt Repayment $ -1,746,776 $ -1,417,539 $ -772,152 $ -500,410
Common Stock Issued $ 10,204 $ 657,615 $ 28,390 -
Dividend Paid $ -391,447 $ -485,139 $ -392,962 $ -392,204
Other Financing Activity $ -144,501 $ 4,568 $ -481,329 $ -820,246
Net Cash Provided By (Used For) Financing Activities $ -399,867 $ 1,276,272 $ -211,324 $ -29,229
Effect of Exchange Rate Changes $ -1,210 $ 1,720 $ 2,721 $ -12,729
Cash at Beginning of Period $ 24,292 $ 35,942 $ 118,862 $ 87,912
Cash at End of Period $ 13,644 $ 24,292 $ 35,942 $ 118,862
Net Change in Cash $ -10,648 $ -11,650 $ -82,920 $ 30,950
Free Cash Flow
Operating cash flow $ 544,207 $ 406,799 $ 436,761 $ 524,937
Capital expenditure $ -457,452 $ -384,638 $ -204,358 $ -324,808
Free Cash Flow $ 86,755 $ 22,161 $ 232,403 $ 200,129