Reported Q: Q1 2025 Rev YoY: -14.2% EPS YoY: -193.3% Move: -0.45%
NGL Energy Partners LP
NGL-PB
$24.39 -0.45%
Exchange NYSE Sector Energy Industry Oil Gas Midstream
Q1 2025
Published: Aug 8, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for NGL-PB

Reported

Report Date

Aug 8, 2024

Quarter Q1 2025

Revenue

1.39B

YoY: -14.2%

EPS

-0.14

YoY: -193.3%

Market Move

-0.45%

Previous quarter: Q4 2024

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Earnings Highlights

  • Revenue of $1.39B down 14.2% year-over-year
  • EPS of $-0.14 decreased by 193.3% from previous year
  • Gross margin of 12.1%
  • Net income of 9.68M
  • "Not available in the provided transcript dataset for QQ1 2025." - N/A
NGL-PB
Company NGL-PB

Executive Summary

NGL Energy Partners LLC posted QQ1 2025 results that reflect a challenging near-term revenue environment combined with a structurally leveraged balance sheet. Revenue totaled $1.387 billion, down 14.16% year-over-year and 14.87% quarter-over-quarter, while gross profit was $168.1 million (gross margin ~12.1%). EBITDA stood at $137.7 million with an operating income of $74.95 million, producing a net income of $9.68 million and EPS of -0.14. The company generated negative operating cash flow of $18.1 million and free cash flow of about -$77.98 million, driven by working capital movements, ongoing capex, and substantial cash dividends. Dividends paid of $218.09 million in the period underscore a distribution policy that continues to weigh on free cash flow generation, especially given the modest operating cash flow and high leverage. Net debt stood at approximately $3.12 billion with a total debt load of $3.12 billion and a debt-to-capitalization of roughly 0.80, indicating a heavily leveraged capital structure. Interest coverage remained tepid at about 1.08x, signaling heightened sensitivity to interest costs in a volatile energy environment.

Management commentary is not available in the provided transcript dataset for QQ1 2025, limiting direct quotes about strategy and near-term guidance. Given the top-line decline and leverage profile, the quarter highlights a pivotal choice point: sustain the current distribution while seeking volume/margin stabilization or recalibrate capital allocation toward deleveraging and cash flow optimization. The following sections dissect performance, leverage, liquidity, and strategic implications for investors.

Key Performance Indicators

Revenue
Decreasing
1.39B
QoQ: -14.87% | YoY: -14.16%
Gross Profit
Increasing
168.13M
12.12% margin
QoQ: 4.89% | YoY: 0.20%
Operating Income
Increasing
74.95M
QoQ: 191.11% | YoY: 4.07%
Net Income
Decreasing
9.68M
QoQ: 104.09% | YoY: -49.83%
EPS
Decreasing
-0.14
QoQ: 92.18% | YoY: -193.33%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 622.16 0.04 -61.8% View
Q3 2025 1,549.07 -0.12 -17.2% View
Q2 2025 1,352.68 -0.21 -26.5% View
Q1 2025 1,387.26 -0.14 -14.2% View
Q4 2024 1,629.59 -1.79 -20.5% View