Hess Midstream Reaffirms 2024 Guidance For Net Income Of $670M - $720M, Adjusted EBITDA Of $1.125B – $1.175B And Adjusted Free Cash Flow Of $685M - $735M; Continues To Target At Least 5% Annual Distribution Growth Per Class A Share Through 2026
Hess Midstream Reaffirms 2024 Guidance For Net Income Of $670M - $720M, Adjusted EBITDA Of $1.125B – $1.175B And Adjusted Free Cash Flow Of $685M - $735M; Continues To Target At Least 5% Annual Distribution Growth Per Class A Share Through 2026
Guidance
Hess Midstream continues to target at least 5% annual distribution growth per Class A share through 2026 from this new higher level and continues to prioritize financial strength with a long-term leverage target of 3x Adjusted EBITDA. For 2025 and 2026, Hess Midstream continues to expect organic throughput volume growth across all systems relative to 2024 volume guidance.
Hess Midstream is reaffirming its full year 2024 guidance as follows:
Year Ending | ||
December 31, 2024 | ||
(Unaudited) | ||
Financials (in millions) | ||
Net income | $ | 670 - 720 |
Adjusted EBITDA | $ | 1,125 - 1,175 |
Capital expenditures | $ | 250 - 275 |
Adjusted free cash flow | $ | 685 - 735 |
Guidance
指導
Hess Midstream continues to target at least 5% annual distribution growth per Class A share through 2026 from this new higher level and continues to prioritize financial strength with a long-term leverage target of 3x Adjusted EBITDA. For 2025 and 2026, Hess Midstream continues to expect organic throughput volume growth across all systems relative to 2024 volume guidance.
Hess Midstream繼續將目標設定到2026年,在新的更高水平上實現每股A類股票的年分配增長至少5%,並繼續優先考慮財務實力,長期槓桿率目標是調整後息稅折舊攤銷前利潤的3倍。對於2025年和2026年,Hess Midstream繼續預計,與2024年的產量預期相比,所有系統的有機吞吐量將增長。
Hess Midstream is reaffirming its full year 2024 guidance as follows:
Hess Midstream重申其2024年全年指導方針如下:
Year Ending | ||
December 31, 2024 | ||
(Unaudited) | ||
Financials (in millions) | ||
Net income | $ | 670 - 720 |
Adjusted EBITDA | $ | 1,125 - 1,175 |
Capital expenditures | $ | 250 - 275 |
Adjusted free cash flow | $ | 685 - 735 |
年底 | ||
2024年12月31日 | ||
(未經審計) | ||
財務 (以百萬計) | ||
淨收入 | $ | 670-720 |
調整後 EBITDA | $ | 1,125-1,175 |
資本支出 | $ | 250-275 |
調整後的自由現金流 | $ | 685-735 |
譯文內容由第三人軟體翻譯。
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