Trade

with

Mid-Con Energy Partners LP
(NASDAQ: MCEP)
AdChoices
18.99
+0.50
+2.70%
After Hours :
-
-
-

Open

18.76

Previous Close

18.49

Volume (Avg)

5.70k (101.57k)

Day's Range

18.71-18.99

52Wk Range

14.50-26.92

Market Cap.

388.76M

Dividend Rate (Yield )

2.06 (11.20%)

Beta

1.35

Shares Outstanding

21.13M

P/E Ratio (EPS)

19.65 (0.94)

AdChoices
Fundamentals
  • Key statistics
  • Growth
  • Profitability
  • Financial health
  • Price ratios
  • Trading statistics
Industry Oil & Gas E&P
Highlights
Analyst Recommendation: Buy
    • Revenue

    • 80.06M

    • Net Income

    • 28.19M

    • Market Cap.

    • 388.76M

    • Enterprise Value

    • -

    • Net Profit Margin %

    • 24.10

    • PEG (Price/Earnings Growth) Ratio

    • -

    • Beta

    • 1.35

    • Forward P/E

    • 11.09

    • Price/Sales

    • 4.74

    • Price/Book Value

    • 4.29

    • Price/Cash flow

    • 6.69

      • EBITDA

      • 45.89M

      • Return on Capital %

      • 8.45

      • Return on Equity %

      • 22.94

      • Return on Assets %

      • 8.45

      • Book Value/Share

      • 4.29

      • Shares Outstanding

      • 21.13M

      • Last Split Factor (Date)

      • -

      • Last Dividend (Ex-Date)

      • 0.52 (7/31/2014)

      • Dividend Declaration Date

      • 7/24/2014

      Analyst Recommendation
      10/17/2014
      Buy
        • 1 Year Price Target

        • 25.00

        • Credit Rating

        • -

        • Analysts

        • 3

        • EPS Estimate

        • 1.59

        • Cashflow Estimate

        • 3.04

        Morningstar Consensus estimate data
        • Growth Rate (%)

        • Company

        • Industry

          • Sales (Revenue)

            Q/Q (last year)

          • -14.60

          • 6.98

          • Net Income

            YTD/YTD (last year)

          • -5.60

          • 16.63

          • Net Income

            Q/Q (last year)

          • -63.50

          • -14.56

          • Sales (Revenue)

            5-Year Annual Average

          • -

          • 8.45

          • Net Income

            5-Year Annual Average

          • -

          • -16.45

          • Dividends

            5-Year Annual Average

          • -

          • -

          • Profit Margins (%)

          • Company

          • Industry

            • Gross Margin

            • 66.98

            • 56.59

            • Pre-Tax Margin

            • 24.54

            • 21.07

            • Net Profit Margin

            • 24.10

            • 12.81

            • Average Gross Margin

              5-Year Annual Average

            • -

            • 40.46

            • Average Pre-Tax Margin

              5-Year Annual Average

            • -

            • 14.74

            • Average Net Profit Margin

              5-Year Annual Average

            • -

            • 213.38B

            • Financial Ratios

            • Company

            • Industry

              • Debt/Equity Ratio

              • 1.53

              • 0.36

              • Current Ratio

              • 0.74

              • 1.16

              • Quick Ratio

              • 0.71

              • 0.92

              • Interest Coverage

              • 6.11

              • 9.82

              • Leverage Ratio

              • 2.74

              • 2.03

              • Book Value/Share

              • 4.29

              • 20.55

              • Price Ratios

              • Company

              • Industry

                • Current P/E Ratio

                • 18.83

                • 27.10

                • P/E Ratio 5-Year High

                • 28.90

                • 631.20

                • P/E Ratio 5-Year Low

                • 15.49

                • 119.09

                • Price/Sales Ratio

                • 4.54

                • 2.12

                • Price/Book Value

                • 4.11

                • 1.61

                • Price/Cash Flow Ratio

                • 6.69

                • 5.07

                • Key Metrics

                • Company

                • Industry

                  • Return on Equity %

                    (5-Year Average)

                  • 22.94

                    (-)

                  • 10.83

                    (11.22)

                  • Return on Assets %

                    (5-Year Average)

                  • 8.45

                    (-)

                  • 5.19

                    (5.35)

                  • Return on Capital %

                    (5-Year Average)

                  • 10.85

                    (-)

                  • 7.74

                    (8.13)

                  • Income/Employee

                  • 253.33k

                  • 175.61k

                  • Inventory Turnover

                  • -

                  • 12.99

                  • Asset Turnover

                  • 0.35

                  • 0.40

                  Current Historical
                  Financials
                  • Income Statement
                  • Balance Sheet
                  • Cash Flow
                  Operating Income
                  31.46M
                  Operating Margin
                  39.30
                  Total Equity
                  -
                  Retained Earnings
                  -
                  Free Cashflow
                  -
                  Price/Cashflow
                  6.69
                  Ownership

                  Institutional Ownership

                  55.97%

                  Top 10 Institutions

                  50.84%

                  Mutual Fund Ownership

                  21.98%

                  Float

                  66.05%

                  5% / Insider Ownership

                  4.79%

                  Corporate insiders or major stockholders reporting trading activity in the stock.

                  Top Mutual Fund Owners

                  Top Institutional Owners

                  Mutual Fund Name

                  Institution Name

                  • Mutual Fund Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Kayne Anderson MLP

                  •  

                    2,352,000

                  • 0.00

                  • 11.15

                  • Cushing® Royalty & Income Fund

                  •  

                    816,059

                  • 7.37

                  • 3.86

                  • Kayne Anderson Energy Total Return

                  •  

                    520,000

                  • 0.00

                  • 2.47

                  • MainStay Cushing® Royalty Energy Inc Fd

                  •  

                    315,017

                  • 29.40

                  • 1.50

                  • Yorkville High Income MLP ETF

                  •  

                    264,978

                  • 0.00

                  • 0.95

                  • Kayne Anderson Energy Development

                  •  

                    171,000

                  • 0.00

                  • 0.81

                  • Arrow Dow Jones Global Yield ETF

                  •  

                    54,022

                  • 44.07

                  • 0.26

                  • Spirit of America Energy Fund

                  •  

                    16,972

                  • 211.87

                  • 0.08

                  • TFS Market Neutral Fund

                  •  

                    11,273

                  • -21.12

                  • 0.05

                  • Institution Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Mid-Con Energy Partners LP

                  •  

                    3,714,659

                  • +147.64%

                  • 17.58

                  • Kayne Anderson Capital Advisors LP

                  •  

                    3,142,542

                  • +3.28%

                  • 14.92

                  • Swank Energy Income Advisors, LP

                  •  

                    1,085,076

                  • +11.92%

                  • 5.15

                  • Cushing Asset Management, LP

                  •  

                    816,059

                  • +7.37%

                  • 3.86

                  • New York Life Investment Management LLC

                  •  

                    315,017

                  • +29.40%

                  • 1.50

                  • UBS Financial Services Inc.

                  •  

                    263,301

                  • +24.99%

                  • 1.25

                  • Index Management Solutions, LLC

                  •  

                    240,661

                  • +11.81%

                  • 1.14

                  • Royal Bank Of Canada

                  •  

                    219,158

                  • +4.83%

                  • 1.04

                  Company Profile

                  Sector

                  Energy

                  Industry

                  Oil & Gas E&P

                  Type

                  Hard Assets

                  Style

                  Small Value

                  Mid-Con Energy Partners LP is a Delaware limited partnership formed in December 2011 to own, operate, acquire, exploit and develop producing oil and natural gas properties in North America. Its management team has industry experience...more, especially with waterflood projects and, as a result, its operations focus mainly on enhancing the development of producing oil properties through waterflooding. It is managed and operated by the board of directors and executive officers of its general partner, Mid-Con Energy GP, LLC. As of December 31, 2013, the total estimated proved reserves were approximately 13.9 MMBoe, of which approximately 98% were oil and 76% were proved developed, both on a Boe basis. As of December 31, 2013, it operated 99% of its properties through its affiliate, Mid-Con Energy Operating an...mored 99% of its properties were being produced under waterflood, in each instance on a Boe basis. The average net production for the month ended December 31, 2013 was approximately 2,496 Boe per day and its total estimated proved reserves had an average reserve-to-production ratio of approximately 15 years. The core areas of operation are Southern Oklahoma, Northeastern Oklahoma and parts of Oklahoma and Colorado within the Hugoton Basin. The company own a 83% working interest across 398 gross producing (377 net) wells, 161 gross injection (152 net) wells, and 170 gross (169 net) wells shut-in or waiting on completion and operate 99% of its properties by value, as calculated using the standardized measure. The Company’s operations are subject to stringent and complex federal, tribal, state and local laws and regulations governing environmental protection as well as the discharge of materials into the environment.lessless

                  Key People

                  Mr. Jeffrey R. Olmstead

                  CEO/Director

                  Mr. Charles R. (Randy) Olmstead

                  Chairman of the Board/Director

                  Mr. Michael D. Peterson

                  CFO

                  Mr. David A. Culbertson

                  Chief Accounting Officer/Vice President

                  Nathan Pekar

                  General Counsel/Vice President/Secretary

                  Incorporated

                  2011

                  Employees

                  75

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