Plains GP Holdings
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Plains GP Holdings (PAGP) investor relations material

Plains GP Holdings Investor presentation summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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Investor presentation summary9 Aug, 2026

Financial and operating highlights

  • Enterprise value of approximately $27 billion with a 7% distribution yield and a 3.3x leverage ratio as of June 2026.

  • Over 9 million barrels per day of total pipeline tariff volume and more than 120 million barrels per month of liquids storage capacity.

  • Investment grade credit ratings (BBB/BBB/Baa2) and long-term leverage target range of 3.25x–3.75x.

  • Adjusted EBITDA guidance for 2026 is $2,880 million (+/- $75 million), with distributable cash flow of $1,900 million and a coverage ratio of ~160%.

  • Cumulative adjusted free cash flow since 2022 projected at $5.5 billion, excluding NGL sale proceeds.

Strategic positioning and growth

  • Multi-year EBITDA growth with a 5-year CAGR of 7%, driven by improving crude oil fundamentals and a premier North American asset footprint.

  • Permian region contributes about 60% of regional EBITDA, with weighted average contract terms of ~5 years.

  • Bolt-on acquisitions since 2022 total $4.3 billion in net investment, targeting 13–15%+ returns and enhancing financial metrics.

  • Growth CAPEX for 2026 is $400–$450 million, focused on high-return projects and operational efficiencies.

  • Multiple levers for efficient growth include organic/inorganic expansion, cost streamlining, and capital optimization.

Distribution and return of capital

  • Annual distribution per unit increased from $0.83 in 2022 to $1.67 in 2026, with a multi-year growth target of $0.15 per unit annually.

  • Distribution coverage ratio remains robust, targeting 150% before further increases.

  • Leading distribution yield across sectors at approximately 7%, outperforming S&P 500 and other sectors.

  • Return of capital strategy supported by durable free cash flow and disciplined capital allocation.

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Q3 20264 Nov, 2026
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