During the three and 12 months ended 31st December , 2024, Cheniere Energy generated revenues of around $4.4 bill and $15.7 bill, respectively.
In addition, net income was about $1 bill and $3.3 bill, consolidated adjusted EBITDA was around $1.6 bill and $6.2 bill, and distributable cash flow amounted to $1.1 bill and $3.7 bill, for the two periods.
| Subscriber content | ||
![]() This content is available only to subscribers please log in below or subscribe now / request a free trial |
||
|
|
||