The project is projected to generate substantial long-term gross revenues, but investor returns will depend on commercial assumptions, operating costs and the capital structure around the assets.
Current economic baseline
Projected gross direct revenues 2026-2055
$0B
Phase 2 projected gross direct revenues
$0B
Phase 1 projected gross direct revenues
$0B
Phase 2 base / upside throughput cases
0MT
/0MT
The current revenue forecast represents gross direct revenues generated through port and terminal/operator activity. These revenues do not represent distributable cash flow or investor returns, which will depend on operating costs, financing, ownership economics and capital recovery.
Projected gross direct revenue by phase
Phase
BPA port revenues
Terminal operators revenues
Total gross direct
revenues
Phase 1
$674M
$1.895B
$2.569B
Phase 2
$2.299B
$3.633B
$5.932B
Total
$2.973B
$5.528B
$8.501B
Current Ownership & Operating Concept
Project sponsor and intended owner of the core infrastructure.
Intended operator / licensee, with commercial agreements for terminal services.
Investor / lender
Define investment vehicle, asset perimeter, rights and cash-flow entitlement.