07/29/2026 | Press release | Distributed by Public on 07/29/2026 15:21
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Public Offering
Price(1) |
| |
Underwriting
Discount |
| |
Proceeds to
Us(1) |
| |||||||||
|
Per Note due 2036
|
| | | | 99.925% | | | | | | 0.450% | | | | | | 99.475% | | |
|
Total
|
| | | $ | 1,149,137,500 | | | | | $ | 5,175,000 | | | | | $ | 1,143,962,500 | | |
|
Per Note due 2056
|
| | | | 99.297% | | | | | | 0.750% | | | | | | 98.547% | | |
|
Total
|
| | | $ | 595,782,000 | | | | | $ | 4,500,000 | | | | | $ | 591,282,000 | | |
| | BofA Securities | | |
CIBC Capital
Markets |
| |
PNC Capital
Markets LLC |
| |
RBC Capital
Markets |
| |
Wells Fargo Securities
|
|
| |
BMO Capital
Markets |
| |
IMI - Intesa Sanpaolo
|
| |
MUFG
|
| |
Scotiabank
|
| |
Truist
Securities |
|
| |
Summary
|
| | | | S-1 | | |
| |
Risk Factors
|
| | | | S-4 | | |
| |
Use of Proceeds
|
| | | | S-5 | | |
| |
Capitalization
|
| | | | S-6 | | |
| |
Description of Notes
|
| | | | S-7 | | |
| |
Material U.S. Federal Income Tax Consequences
|
| | | | S-11 | | |
| |
Underwriting
|
| | | | S-16 | | |
| |
Validity of the Notes
|
| | | | S-24 | | |
| |
Experts
|
| | | | S-24 | | |
| | Prospectus | | | | | | | |
| |
About This Prospectus
|
| | | | 1 | | |
| |
Where You Can Find More Information
|
| | | | 1 | | |
| |
Kinder Morgan, Inc.
|
| | | | 2 | | |
| |
Risk Factors
|
| | | | 2 | | |
| |
Cautionary Statement Regarding Forward-Looking Statements
|
| | | | 2 | | |
| |
Use of Proceeds
|
| | | | 4 | | |
| |
Description of Debt Securities
|
| | | | 4 | | |
| |
Cross Guarantee
|
| | | | 15 | | |
| |
Description of Our Capital Stock
|
| | | | 17 | | |
| |
Description of Depositary Shares
|
| | | | 21 | | |
| |
Plan of Distribution
|
| | | | 21 | | |
| |
Validity of the Securities
|
| | | | 23 | | |
| |
Experts
|
| | | | 23 | | |
| | | |
June 30, 2026
|
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| | | |
Historical
|
| |
As Adjusted
|
| ||||||
| | | |
(Unaudited)
(Dollars in millions) |
| |||||||||
|
Cash and cash equivalents
|
| | | $ | 89 | | | | | $ | 1,106 | | |
| Outstanding debt(1) | | | | | | | | | | | | | |
|
Credit facility
|
| | | $ | - | | | | | $ | - | | |
|
Commercial paper outstanding(2)
|
| | | | 338 | | | | | | - | | |
|
4.15% notes due August 2026(3)
|
| | | | 375 | | | | | | - | | |
|
1.75% notes due November 2026
|
| | | | 500 | | | | | | 500 | | |
|
7.50% notes due November 2026
|
| | | | 200 | | | | | | 200 | | |
|
6.70% notes due February 2027
|
| | | | 7 | | | | | | 7 | | |
|
2.25% notes due March 2027
|
| | | | 571 | | | | | | 571 | | |
|
7.00% notes due March 2027
|
| | | | 300 | | | | | | 300 | | |
|
Other current debt
|
| | | | 152 | | | | | | 152 | | |
|
Current portion of long-term debt
|
| | | | 2,443 | | | | | | 1,730 | | |
|
Long-term debt, excluding current portion
|
| | | | 29,701 | | | | | | 29,701 | | |
|
Notes offered hereby
|
| | | | - | | | | | | 1,750 | | |
|
Total outstanding debt
|
| | | | 32,144 | | | | | | 33,181 | | |
|
Stockholders' equity
|
| | | | 31,681 | | | | | | 31,681 | | |
|
Accumulated other comprehensive loss
|
| | | | (50) | | | | | | (50) | | |
|
Noncontrolling interests
|
| | | | 1,248 | | | | | | 1,248 | | |
|
Total stockholders' equity
|
| | | | 32,879 | | | | | | 32,879 | | |
|
Total capitalization
|
| | | $ | 65,023 | | | | | $ | 66,060 | | |
|
Underwriters
|
| |
Principal Amount
of Notes due 2036 |
| |
Principal Amount
of Notes due 2056 |
| ||||||
|
BofA Securities, Inc.
|
| | | $ | 152,375,000 | | | | | $ | 79,500,000 | | |
|
CIBC World Markets Corp.
|
| | | $ | 152,375,000 | | | | | $ | 79,500,000 | | |
|
PNC Capital Markets LLC
|
| | | $ | 152,375,000 | | | | | $ | 79,500,000 | | |
|
RBC Capital Markets, LLC
|
| | | $ | 152,375,000 | | | | | $ | 79,500,000 | | |
|
Wells Fargo Securities, LLC
|
| | | $ | 152,375,000 | | | | | $ | 79,500,000 | | |
|
BMO Capital Markets Corp.
|
| | | $ | 77,625,000 | | | | | $ | 40,500,000 | | |
|
Intesa Sanpaolo IMI Securities Corp.
|
| | | $ | 77,625,000 | | | | | $ | 40,500,000 | | |
|
MUFG Securities Americas Inc.
|
| | | $ | 77,625,000 | | | | | $ | 40,500,000 | | |
|
Scotia Capital (USA) Inc.
|
| | | $ | 77,625,000 | | | | | $ | 40,500,000 | | |
|
Truist Securities, Inc.
|
| | | $ | 77,625,000 | | | | | $ | 40,500,000 | | |
|
Total
|
| | | $ | 1,150,000,000 | | | | | $ | 600,000,000 | | |
| | | |
Underwriting
Discount |
| |
Total
|
| ||||||
|
Per Note due 2036
|
| | | | 0.450% | | | | | $ | 5,175,000 | | |
|
Per Note due 2056
|
| | | | 0.750% | | | | | $ | 4,500,000 | | |
| |
About This Prospectus
|
| | | | 1 | | |
| |
Where You Can Find More Information
|
| | | | 1 | | |
| |
Kinder Morgan, Inc.
|
| | | | 2 | | |
| |
Risk Factors
|
| | | | 2 | | |
| |
Cautionary Statement Regarding Forward-Looking Statements
|
| | | | 2 | | |
| |
Use of Proceeds
|
| | | | 4 | | |
| |
Description of Debt Securities
|
| | | | 4 | | |
| |
Cross Guarantee
|
| | | | 15 | | |
| |
Description of Our Capital Stock
|
| | | | 17 | | |
| |
Description of Depositary Shares
|
| | | | 21 | | |
| |
Plan of Distribution
|
| | | | 21 | | |
| |
Validity of the Securities
|
| | | | 23 | | |
| |
Experts
|
| | | | 23 | | |