INVESTORS

Distribution Payments

Common Unit Distribution Information (NYSE: DCP)

One of DCP Midstream's primary goals is to provide stable and increasing distributable cash flow to our unitholders. One hundred percent of available cash, as determined by management, is distributed to unitholders of record and the general partner within 45 days following the end of each quarter.

Cash distributions are made to all registered unitholders as of the Record Date. Units must be purchased the business day prior to the Ex-Dividend Date to be entitled to the cash distribution for the previous quarter. The Declaration Date is the date the dividend is declared by DCP Midstream's board of directors.

Declaration DateEx- Dividend DateRecord DatePay DateAmountFrequency
07/24/1808/02/1808/03/1808/14/18$0.7800Quarterly
04/24/1805/07/1805/08/1805/15/18$0.7800Quarterly
01/23/1802/06/1802/07/1802/14/18$0.7800Quarterly
10/19/1711/06/1711/07/1711/14/17$0.7800Quarterly
07/24/1708/04/1708/08/1708/14/17$0.7800Quarterly
04/25/1705/05/1705/09/1705/15/17$0.7800Quarterly
01/26/1702/03/1702/07/1702/14/17$0.7800Quarterly
10/27/1611/04/1611/08/1611/14/16$0.7800Quarterly
07/26/1608/03/1608/05/1608/12/16$0.7800Quarterly
04/26/1605/05/1605/09/1605/13/16$0.7800Quarterly
01/28/1602/04/1602/08/1602/12/16$0.7800Quarterly
10/27/1511/04/1511/06/1511/13/15$0.7800Quarterly
07/28/1508/05/1508/07/1508/14/15$0.7800Quarterly
04/28/1505/06/1505/08/1505/15/15$0.7800Quarterly
01/29/1502/07/1502/09/1502/13/15$0.7800Quarterly
10/28/1411/05/1411/07/1411/14/14$0.7700Quarterly
07/28/1408/06/1408/08/1408/14/14$0.7575Quarterly
04/28/1405/06/1405/08/1405/15/14$0.7450Quarterly
01/28/1402/05/1402/07/1402/14/14$0.7325Quarterly
10/25/1311/05/1311/07/1311/14/13$0.7200Quarterly
07/25/1308/05/1308/07/1308/14/13$0.7100Quarterly
04/25/1305/06/1305/08/1305/15/13$0.7000Quarterly
01/28/1302/05/1302/07/1302/14/13$0.6900Quarterly
10/29/1211/03/1211/07/1211/14/12$0.6800Quarterly
07/26/1208/03/1208/07/1208/14/12$0.6700Quarterly
04/27/1205/04/1205/08/1205/15/12$0.6600Quarterly
01/26/1202/03/1202/07/1202/14/12$0.6500Quarterly
10/26/1111/03/1111/07/1111/14/11$0.6400Quarterly
07/26/1108/03/1108/05/1108/12/11$0.6325Quarterly
04/25/1105/04/1105/06/1105/13/11$0.6250Quarterly
01/27/1102/03/1102/07/1102/14/11$0.6175Quarterly
10/26/1011/03/1011/05/1011/12/10$0.6100Quarterly
07/27/1008/04/1008/06/1008/13/10$0.6100Quarterly
04/27/1005/05/1005/07/1005/14/10$0.6000Quarterly
01/26/1002/03/1002/05/1002/12/10$0.6000Quarterly
10/27/0911/04/0911/06/0911/13/09$0.6000Quarterly
07/28/0908/05/0908/07/0908/14/09$0.6000Quarterly
04/28/0905/06/0905/08/0905/15/09$0.6000Quarterly
01/27/0902/04/0902/06/0902/13/09$0.6000Quarterly
10/23/0811/05/0811/07/0811/14/08$0.6000Quarterly
07/24/0808/05/0808/07/0808/14/08$0.6000Quarterly
04/24/0805/06/0805/08/0805/15/08$0.5900Quarterly
01/24/0802/05/0802/07/0802/14/08$0.5700Quarterly
10/24/0711/05/0711/07/0711/14/07$0.5500Quarterly
07/25/0708/03/0708/07/0708/14/07$0.5300Quarterly
04/25/0705/04/0705/08/0705/15/07$0.4650Quarterly
01/24/0702/05/0702/07/0702/14/07$0.4300Quarterly
10/25/0611/02/0611/06/0611/14/06$0.4050Quarterly
07/27/0608/02/0608/04/0608/14/06$0.3800Quarterly
04/25/0605/03/0605/05/0605/15/06$0.3500Quarterly
01/25/0602/01/0602/03/0602/13/06$0.0950Unknown

Series A Preferred Unit Distribution Information (not listed on an exchange)

Distributions on Series A Preferred Units are paid semi-annually in arrears on the 15th day of each June and December through and including December 15, 2022, and, after December 15, 2022, quarterly in arrears on the 15th day of March, June, September and December of each year to all registered holders as of the Record Date as of the close of business on the first Business Day of the month of the applicable Distribution Payment Date.

The distribution rate for the Series A Preferred Units from and including the date of original issue to, but not including, December 15, 2022 will be 7.375% per annum of the $1,000.00 liquidation preference per unit.

DeclaredRecord DatePay DateAmount
04/24/201806/01/201806/15/2018$ 41.9965 (a)

(a) The initial semi-annual Series A preferred unit distribution of $41.9965 per unit includes the distribution attributable to the partial-period from and including the date of original issue date of November 20, 2017.

Series B Preferred Unit Distribution Information (NYSE: DCP-PB)

Distributions on Series B Preferred Units are paid Quarterly in arrears on the 15th day of March, June, September and December of each year (each a “Distribution Payment Date”) to all registered holders as of the Record Date as of the close of business on the first Business Day of the month of the applicable Distribution Payment Date.

The distribution rate for the Series B Preferred Units from and including the date of original issue to, but not including, June 15, 2023 will be 7.875% per annum of the $25.00 liquidation preference per unit.

DeclaredRecord DatePay DateAmount
07/24/201809/04/201809/17/2018$ 0.6781 (a)

(a) The initial quarterly Series B preferred unit distribution of $0.6781 per unit includes the distribution attributable to the partial-period from and including the original issue date of May 11, 2018.