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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
CONSOLIDATED STATEMENTS OF CASH FLOWS    
CASH FLOWS FROM OPERATING ACTIVITIES $ 145,686 $ 209,673
Property, plant and equipment:    
Capital expenditures (86,776) (123,846)
Change in accounts payable and accrued liabilities (6,196) 4,331
Proceeds from sale of property, plant and equipment 241 164
Contributions to equity method investments (878) (625)
Oil & gas reserve asset acquisitions (33) (1,822)
Other 580 1,286
Net cash used in investing activities (93,062) (120,512)
CASH FLOWS FROM FINANCING ACTIVITIES:    
Borrowings under securitization facility 4,000 75,000
Payments under securitization facility (4,000) (30,000)
Proceeds from equipment financings   54,626
Payments on equipment financings (3,118) (1,976)
Borrowings under revolving credit facilities   20,000
Payments under revolving credit facilities   (20,000)
Payments on long-term debt (3,516) (4,688)
Payments for purchase of units and tax withholdings related to settlements under deferred compensation plans (7,082) (13,292)
Distributions paid to Partners (90,891) (91,246)
Other (3,701) (3,441)
Net cash used in financing activities (108,308) (15,017)
Effect of exchange rate changes on cash and cash equivalents 35  
NET CHANGE IN CASH AND CASH EQUIVALENTS (55,649) 74,144
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD 136,962 59,813
CASH AND CASH EQUIVALENTS AT END OF PERIOD 81,313 133,957
SUPPLEMENTAL CASH FLOW INFORMATION:    
Cash paid for interest 3,247 3,248
SUPPLEMENTAL NON-CASH ACTIVITY:    
Accounts payable for purchase of property, plant and equipment 17,532 18,917
Right-of-use assets acquired by operating lease 1,571  
Market value of common units distributed under deferred compensation plans before tax withholding requirements $ 17,068 $ 32,566