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Acceder

Golar LNG Partners LP Series A Pref

GMLPF

Closed
$ 9.02
-0.58
-6.04%
+

Golar LNG Partners LP Series A Pref Balance Sheet

Concept
Total Assets
Current Assets
Cash, Cash Equivalents & Short Term Investments
Cash & Equivalents
Other Short Term Investments
Receivables
Inventory
Other Current Assets
Total non-current assets
Property, Plant & Equipment
Long-Term Investments
Total Liabilities
Current Liabilities
Accounts Payable
Current Debt
Deferred Revenue
Total Non Current Liabilities Net Minority Interest
Long-Term Debt
Other Long-Term Liabilities
Common Stock Equity
Working Capital
Invested Capital
Total Debt
Net Debt
2020
2019
2018
2017
2016
2015
2014
2013
2012
2011
2010
2009
2,028M
147M
49M
0M
3M
3M
2M
37M
1,881M
0M
186M
1,402M
832M
2M
705M
10M
570M
417M
31M
625M
-685M
1,663M
1,244M
1,195M
2,106M
133M
48M
0M
2M
7M
3M
29M
1,972M
0M
193M
1,453M
309M
3M
227M
8M
1,144M
992M
31M
653M
-176M
1,786M
1,340M
1,292M
2,241M
165M
97M
0M
0M
31M
2M
35M
2,076M
0M
206M
1,481M
324M
6M
264M
11M
1,158M
1,197M
8M
760M
28M
1,952M
1,392M
1,295M
2,427M
311M
247M
0M
0M
8M
4M
26M
2,116M
0M
0M
1,580M
180M
5M
120M
10M
1,400M
0M
0M
0M
0M
0M
1,499M
1,252M
2,253M
161M
66M
0M
0M
47M
1M
47M
2,092M
0M
0M
1,648M
215M
2M
79M
14M
1,433M
0M
0M
-5M
0M
0M
1,492M
1,427M
2,245M
132M
41M
0M
0M
31M
1M
59M
2,113M
0M
0M
1,649M
266M
4M
122M
13M
1,383M
0M
0M
-10M
0M
0M
1,488M
1,447M
1,956M
142M
99M
0M
0M
11M
0M
17M
1,815M
0M
0M
1,354M
386M
3M
253M
21M
968M
0M
0M
-2M
0M
0M
1,204M
1,105M
1,721M
141M
103M
0M
24M
24M
1M
12M
1,581M
0M
0M
1,151M
241M
2M
156M
18M
910M
0M
0M
-2M
0M
0M
1,048M
945M
1,511M
107M
66M
0M
31M
4M
2M
6M
1,404M
0M
0M
1,269M
170M
3M
71M
13M
1,100M
0M
0M
-9M
0M
0M
1,152M
1,086M
1,075M
77M
70M
0M
25M
3M
1M
3M
999M
0M
0M
986M
129M
0M
53M
0M
857M
0M
0M
-5M
0M
0M
669M
623M
921M
48M
46M
0M
16M
2M
1M
0M
873M
0M
0M
709M
98M
1M
36M
7M
611M
0M
0M
157M
0M
0M
601M
572M
1,062M
53M
51M
0M
24M
2M
1M
0M
1,009M
0M
0M
845M
95M
0M
35M
16M
749M
0M
0M
168M
0M
0M
757M
730M
Concept
Total Assets
Current Assets
Cash, Cash Equivalents & Short Term Investments
Cash & Equivalents
Other Short Term Investments
Receivables
Inventory
Other Current Assets
Total non-current assets
Property, Plant & Equipment
Long-Term Investments
Total Liabilities
Current Liabilities
Accounts Payable
Current Debt
Deferred Revenue
Total Non Current Liabilities Net Minority Interest
Long-Term Debt
Other Long-Term Liabilities
Common Stock Equity
Working Capital
Invested Capital
Total Debt
Net Debt
4Q2020
3Q2020
2Q2020
1Q2020
3Q2019
2Q2019
1Q2019
4Q2018
3Q2018
2Q2018
1Q2018
3Q2017
2Q2017
1Q2017
3Q2016
2Q2016
1Q2016
3Q2015
2Q2015
1Q2015
3Q2014
2Q2014
1Q2014
4Q2013
3Q2013
2Q2013
1Q2013
4Q2012
3Q2012
1Q2012
3Q2011
2Q2011
4Q2010
2,028M
147M
49M
0M
0M
3M
2M
37M
1,881M
0M
0M
1,402M
832M
2M
705M
10M
570M
0M
0M
625M
0M
0M
1,244M
1,195M
2,041M
140M
42M
0M
0M
35M
3M
59M
1,902M
0M
0M
1,432M
729M
0M
592M
0M
703M
0M
0M
609M
0M
0M
1,264M
1,222M
2,051M
138M
33M
0M
0M
42M
2M
61M
1,913M
0M
0M
1,454M
740M
0M
605M
0M
714M
0M
0M
597M
0M
0M
1,288M
1,255M
2,106M
133M
48M
0M
0M
7M
3M
29M
1,972M
0M
0M
1,453M
309M
3M
227M
8M
1,144M
0M
0M
653M
0M
0M
1,340M
1,292M
2,122M
133M
52M
0M
2M
8M
3M
20M
1,989M
0M
0M
1,469M
313M
0M
227M
0M
1,156M
0M
0M
653M
0M
0M
1,351M
1,299M
2,160M
139M
62M
0M
2M
4M
4M
27M
2,021M
0M
0M
1,482M
302M
0M
227M
0M
1,180M
0M
0M
678M
0M
0M
1,376M
1,314M
2,203M
150M
74M
0M
0M
4M
2M
25M
2,053M
0M
0M
1,488M
136M
0M
78M
0M
1,353M
0M
0M
715M
0M
0M
1,399M
1,325M
2,241M
165M
97M
0M
0M
31M
2M
35M
2,076M
0M
0M
1,481M
324M
6M
264M
11M
1,158M
0M
0M
760M
0M
0M
1,392M
1,295M
2,263M
156M
76M
0M
0M
27M
3M
50M
2,107M
0M
0M
1,450M
324M
0M
269M
0M
1,127M
0M
0M
813M
0M
0M
1,365M
1,289M
2,309M
197M
143M
0M
0M
6M
4M
16M
2,112M
0M
0M
1,485M
328M
0M
278M
0M
1,157M
0M
0M
824M
0M
0M
1,414M
1,272M
2,427M
311M
247M
0M
0M
8M
4M
26M
2,116M
0M
0M
1,580M
180M
5M
120M
10M
1,400M
0M
0M
0M
0M
0M
1,499M
1,252M
2,382M
249M
207M
0M
0M
22M
2M
18M
2,133M
0M
0M
1,665M
245M
0M
159M
0M
1,419M
0M
0M
0M
0M
0M
1,558M
1,351M
2,416M
368M
301M
0M
0M
3M
4M
43M
2,048M
0M
0M
1,688M
206M
0M
117M
0M
1,482M
0M
0M
0M
0M
0M
1,579M
1,277M
2,253M
161M
66M
0M
0M
47M
1M
47M
2,092M
0M
0M
1,648M
215M
2M
79M
14M
1,433M
0M
0M
-5M
0M
0M
1,492M
1,427M
2,284M
168M
69M
0M
0M
37M
1M
23M
2,116M
0M
0M
1,698M
243M
0M
99M
0M
1,455M
0M
0M
-7M
0M
0M
1,535M
1,465M
2,312M
164M
61M
0M
0M
30M
1M
27M
2,148M
0M
0M
1,746M
271M
0M
99M
0M
1,474M
0M
0M
-9M
0M
0M
1,555M
1,493M
2,245M
132M
41M
0M
0M
31M
1M
59M
2,113M
0M
0M
1,649M
266M
4M
122M
13M
1,383M
0M
0M
-10M
0M
0M
1,488M
1,447M
2,285M
115M
39M
0M
0M
24M
1M
52M
2,170M
0M
0M
1,703M
305M
0M
125M
0M
1,398M
0M
0M
-11M
0M
0M
1,506M
1,468M
2,293M
108M
59M
0M
0M
28M
2M
19M
2,185M
0M
0M
1,698M
258M
0M
115M
0M
1,440M
0M
0M
-6M
0M
0M
1,539M
1,479M
1,956M
142M
99M
0M
0M
11M
0M
17M
1,815M
0M
0M
1,354M
386M
3M
253M
21M
968M
0M
0M
-2M
0M
0M
1,204M
1,105M
1,940M
101M
57M
0M
0M
25M
0M
19M
1,839M
0M
0M
1,339M
246M
0M
141M
0M
1,093M
0M
0M
-2M
0M
0M
1,216M
1,159M
1,967M
108M
48M
0M
0M
25M
0M
34M
1,859M
0M
0M
1,399M
331M
0M
220M
0M
1,068M
0M
0M
-5M
0M
0M
1,270M
1,222M
1,721M
141M
103M
0M
24M
24M
1M
12M
1,581M
0M
0M
1,151M
241M
2M
156M
18M
910M
0M
0M
-2M
0M
0M
1,048M
945M
1,721M
141M
103M
0M
24M
24M
1M
12M
1,581M
0M
0M
1,151M
241M
2M
156M
18M
910M
0M
0M
-2M
0M
0M
1,048M
945M
1,683M
91M
50M
0M
24M
24M
3M
14M
1,592M
0M
0M
1,277M
200M
0M
97M
0M
1,077M
0M
0M
-3M
0M
0M
1,156M
1,106M
1,695M
98M
61M
0M
20M
0M
0M
17M
1,597M
0M
0M
1,290M
210M
0M
97M
0M
1,080M
0M
0M
-2M
0M
0M
1,159M
1,098M
1,511M
107M
66M
0M
37M
4M
2M
6M
1,404M
0M
0M
1,269M
170M
3M
71M
13M
1,100M
0M
0M
-9M
0M
0M
1,152M
1,086M
1,511M
107M
66M
0M
0M
4M
2M
6M
1,404M
0M
0M
1,269M
170M
3M
71M
13M
1,100M
0M
0M
-9M
0M
0M
1,152M
1,086M
1,329M
93M
82M
0M
34M
4M
0M
7M
1,236M
0M
0M
1,129M
150M
0M
64M
0M
979M
0M
0M
-5M
0M
0M
646M
598M
1,075M
77M
70M
0M
25M
4M
1M
2M
999M
0M
0M
986M
129M
0M
53M
9M
857M
0M
0M
-5M
0M
0M
669M
623M
919M
78M
74M
0M
21M
0M
0M
4M
841M
0M
0M
673M
111M
0M
38M
0M
562M
0M
0M
-6M
0M
0M
580M
527M
917M
63M
61M
0M
15M
0M
0M
3M
854M
0M
0M
668M
95M
0M
38M
0M
573M
0M
0M
-5M
0M
0M
591M
546M
921M
48M
46M
0M
16M
2M
1M
0M
873M
0M
0M
709M
98M
1M
36M
7M
611M
0M
0M
157M
0M
0M
601M
572M