7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-06-30 2014-03-31 2013-03-31 2012-06-30 2012-03-31 2011-09-30 2011-06-30 2011-03-31 2010-09-30 2010-06-30 2010-03-31 2009-09-30 2009-06-30 2009-03-31 2008-06-30 2008-03-31 2007-06-30 2007-03-31 2006-10-04 2006-09-30 2006-06-30 2006-03-31 
      
                                                                     
      cash flows from operating activities
                                                                     
      net income
    29,025,000 25,210,000 18,684,000 23,858,000 45,922,000 46,149,000 -5,602,000 55,278,000 26,808,000 41,389,000 29,031,000 57,476,000 111,439,000 162,807,000 30,485,000 19,317,000 33,637,000 12,139,000 -4,297,000 4,442,000 18,192,000 75,973,000 3,075,000 -880,000 14,893,000 14,371,000 6,794,000 52,170,000 -14,464,000 6,022,000 58,675,000 18,161,000 14,460,000 1,991,000 22,505,000 -65,662,000 -156,583,000 -8,543,000 -7,835,000 -2,905,000 8,146,000 7,614,000 30,409,000 -12,278,000 57,154,000 14,335,000 18,515,000 -1,400,000 1,858,000 -848,000 8,293,000 7,162,000 -1,091,000 15,028,000 2,059,000 978,000 18,863,000 -1,254,000 8,619,000 610,000 32,875,000 11,059,000 6,234,000 3,480,000 12,688,000 
      adjustments to reconcile net income to net cash from operating activities:
                                                                     
      depreciation and amortization
    35,236,000 36,124,000 35,905,000 36,180,000 35,753,000 35,266,000 32,486,000 29,138,000 27,507,000 26,797,000 26,648,000 26,224,000 26,920,000 24,951,000 26,701,000 26,069,000 25,692,000 25,505,000 24,975,000 24,707,000 24,773,000 24,880,000 25,775,000 26,648,000 27,234,000 26,105,000 28,205,000 27,428,000 27,586,000 25,342,000 26,482,000 26,229,000 26,510,000 26,549,000 26,364,000 25,468,000 28,525,000 29,280,000 28,669,000 29,802,000 30,809,000 26,768,000 28,472,000 21,469,000 19,706,000 16,691,000 12,181,000 9,216,000 7,619,000 7,601,000 7,505,000 5,167,000 3,904,000 3,662,000 3,689,000 3,747,000 3,713,000 3,619,000 3,492,000 1,962,000 1,164,000 1,121,000 1,029,000 994,000 966,000 
      amortization of deferred financing fees
    1,935,000 1,785,000 1,873,000 1,873,000 1,872,000 1,873,000 1,831,000 1,517,000 1,423,000 1,364,000 1,347,000 1,348,000 1,347,000 1,347,000 1,390,000 1,221,000 1,211,000 1,255,000 1,344,000 1,345,000 1,329,000 1,306,000 1,261,000 1,261,000 1,223,000 1,211,000 1,343,000 1,343,000 1,343,000 1,343,000 1,343,000 1,349,000 1,340,000 1,420,000 1,535,000 1,552,000 1,519,000 1,519,000 1,429,000 1,486,000 1,486,000 1,468,000 1,459,000 1,284,000 1,283,000 1,571,000 1,396,000 1,314,000 1,246,000 1,107,000 1,097,000 920,000 621,000 387,000 290,000 289,000 289,000 191,000 190,000 105,000 105,000  98,000 94,000 106,000 
      bad debt expense
    297,000 301,000 493,000 -36,000 88,000 100,000 -172,000 213,000 146,000 458,000 38,000 434,000 -48,000 -306,000 51,000 -31,000 73,000 -25,000 -68,000 335,000 15,000 137,000 223,000 43,000 178,000 130,000 209,000 163,000 -25,000 138,000 312,000 -411,000 -233,000 103,000 752,000 181,000 50,000 475,000 409,000 253,000 35,000 106,000 250,000 1,479,000 90,000 90,000 90,000 90,000 1,590,000 90,000 90,000 190,000 365,000 515,000 640,000         
      unit-based compensation expense
    3,360,000 3,324,000 3,455,000 4,060,000 4,721,000 4,115,000 2,596,000 4,944,000 2,500,000 2,067,000 1,094,000 1,179,000 815,000 502,000 204,000 144,000 -48,000 352,000 259,000 266,000 224,000 299,000 288,000 300,000 76,000 795,000 795,000 -775,000 1,228,000 1,048,000 1,237,000 1,340,000 790,000 742,000 -117,000 1,051,000 944,000 1,075,000 1,075,000    945,000                       
      write-off of financing fees
       1,440,000                   1,828,000                           
      net gain on sale and disposition of assets
    -136,000 271,000 -2,490,000 1,115,000 -7,805,000 -303,000 -2,501,000 -485,000 -897,000    292,000 -76,849,000 -4,911,000     -348,000 691,000       40,000 940,000 3,033,000 1,867,000                                   
      long-lived asset impairment
    20,000              192,000   203,000                                             
      (income) income from equity method investments
    -655,000 -2,350,000 -66,000                                                               
      dividends received on equity method investments
       204,000                                                           
      loss on early extinguishment of debt
    176,000                                                                
      changes in operating assets and liabilities:
                                                                     
      accounts receivable
    42,185,000 13,249,000 -105,416,000 -657,000 130,220,000 -40,372,000 -9,998,000 -30,498,000 -90,833,000 6,970,000 40,579,000 -49,190,000 85,150,000 11,221,000 -114,955,000 -50,235,000 -11,051,000 -35,746,000 -86,794,000 11,744,000 -6,579,000 -42,992,000 222,995,000 -77,486,000 37,975,000 29,641,000 -69,108,000 72,597,000 15,713,000 -5,706,000 -706,000 -85,913,000 -69,800,000 51,305,000 108,294,000 -140,533,000 77,134,000 -49,783,000 2,945,000 64,990,000 -1,245,000 38,785,000 52,186,000 98,442,000 41,898,000  92,481,000 97,863,000 -22,631,000 63,713,000 71,883,000 -51,577,000 15,737,000 67,375,000 -5,288,000 37,197,000 20,445,000 -31,721,000 68,852,000   -46,104,000 12,324,000 11,626,000 57,435,000 
      accounts receivable-affiliate
    2,081,000 -1,798,000 916,000 -143,000 4,114,000 -4,579,000 2,500,000 -4,163,000 6,766,000 -6,710,000 -1,655,000 1,090,000 -1,820,000 588,000 -1,099,000 1,252,000 -173,000 2,302,000 -2,110,000 2,872,000 2,214,000 2,630,000 -2,303,000 -391,000 -2,701,000 142,000 562,000 -125,000 -1,253,000 -366,000 82,000 1,874,000 -1,801,000 -889,000 186,000 -808,000 1,527,000 -380,000 -904,000                           
      inventories
    16,870,000 21,831,000 76,317,000 -95,098,000 65,617,000 -163,674,000 -7,257,000 -3,156,000 -46,983,000 41,384,000 180,867,000 -139,442,000 4,319,000 80,808,000 2,229,000 -96,163,000 78,411,000 -22,113,000 -84,024,000 -55,874,000 15,320,000 -129,837,000 235,979,000 -57,066,000 32,285,000 38,569,000 -78,578,000 94,759,000 -136,544,000 54,294,000 -42,287,000 -67,295,000 89,700,000 63,383,000 87,379,000 -84,115,000 3,269,000 -41,122,000 -13,920,000 -5,074,000 45,214,000   -30,043,000 112,328,000 202,606,000 167,774,000 3,705,000     -37,000 22,664,000   12,494,000  155,523,000 -97,169,000 145,759,000    110,161,000 
      broker margin deposits
    3,280,000 -5,451,000 1,707,000 -1,653,000 2,771,000 -7,809,000 -665,000 12,665,000 -9,797,000 3,403,000 4,381,000 5,150,000 7,372,000 17,610,000 -19,905,000 1,659,000 -10,213,000 6,244,000 -9,687,000 1,794,000 8,841,000 -11,161,000 13,331,000 -9,750,000 -4,762,000 -11,000 -5,177,000 460,000 -8,355,000 7,420,000 -4,610,000 2,773,000 -3,041,000 9,473,000 8,767,000 -8,972,000 20,682,000 -508,000 -7,528,000 -5,665,000 -6,672,000   -4,982,000 6,599,000 26,297,000 7,381,000 6,960,000   934,000   7,758,000            
      prepaid expenses, all other current assets and other assets
    6,816,000 9,082,000 -12,249,000 -8,533,000 -4,238,000 9,051,000 1,555,000 -10,524,000 -3,104,000 -1,988,000 -3,580,000 -183,000 -5,738,000 9,306,000 10,658,000 -4,019,000 -4,755,000 -236,000 33,628,000 -25,517,000 2,568,000 15,267,000 -27,813,000 13,793,000 -6,840,000 6,694,000 766,000 -9,137,000 -1,165,000 360,000 -5,970,000 5,726,000 18,461,000 -21,844,000 -16,017,000 9,213,000 -3,949,000 7,675,000 -9,952,000 -5,629,000 14,406,000 -6,408,000 10,157,000   11,154,000        2,554,000      -1,465,000 8,714,000    5,780,000 
      accounts payable
    -104,009,000 69,947,000 10,430,000 55,497,000 -103,361,000 82,387,000 -173,265,000 90,489,000 159,580,000 113,431,000 -245,723,000 -18,524,000 -24,160,000 107,349,000 112,979,000 38,347,000 67,311,000 9,647,000 30,118,000 21,079,000 23,443,000 17,653,000 -227,688,000 63,018,000 27,241,000 -60,071,000 34,219,000 -27,551,000 79,762,000 -15,030,000 -41,614,000 71,688,000 45,989,000 -36,390,000 -88,137,000 89,021,000 -54,637,000 31,008,000 -47,982,000 -8,931,000 -17,524,000     185,103,000                    
      trustee taxes payable
    -19,929,000 8,780,000 7,883,000 -2,769,000 -8,105,000 9,708,000 521,000 6,719,000 4,687,000 7,765,000 5,255,000 4,628,000 1,028,000 -6,565,000 -342,000 4,368,000 -10,134,000 9,059,000 4,332,000 6,521,000 -13,662,000 7,657,000 -6,850,000 7,295,000 -4,569,000 748,000 -3,155,000 4,879,000 -5,965,000 5,739,000 -19,734,000 12,464,000 -4,473,000 3,375,000 -2,211,000 17,283,000 -12,481,000 8,359,000 -7,259,000 14,615,000 -13,038,000   14,241,000 701,000   7,115,000   2,930,000               
      change in derivatives
    9,574,000 4,127,000 -773,000 15,367,000 -24,891,000 3,435,000 11,153,000 -39,709,000 38,552,000 -1,342,000 -8,002,000 -4,835,000 -33,650,000 2,137,000 14,178,000 -7,594,000 672,000 14,507,000 16,918,000 32,069,000 3,912,000 28,029,000 -76,645,000 9,424,000 -4,802,000 -1,360,000 26,768,000 -28,559,000 4,704,000 -716,000 -7,193,000 4,110,000 7,776,000 -4,284,000 -5,256,000 6,102,000 5,430,000 11,972,000 16,714,000 -9,395,000 -23,706,000 8,111,000 16,121,000                       
      accrued expenses, all other current liabilities and other long-term liabilities
    -7,577,000 28,882,000 -88,259,000 43,905,000 -20,608,000 48,653,000 -38,907,000 54,073,000 -18,937,000 30,112,000 -47,477,000 6,557,000 18,447,000 27,659,000 -35,035,000 15,866,000 -17,826,000 28,990,000 -30,102,000 16,299,000 6,802,000 32,665,000 -24,454,000 10,080,000 11,411,000 -2,869,000 -31,952,000 23,862,000 5,955,000 4,121,000 -19,450,000 13,753,000 23,440,000 -6,104,000 -15,283,000 27,759,000 6,798,000 -209,000 -17,607,000          -6,303,000                 
      net cash from operating activities
    19,026,000 216,320,000 -51,590,000 67,247,000   -182,702,000 169,416,000 97,088,000 265,262,000 -19,325,000 -96,910,000 191,713,000 362,565,000 22,628,000 -48,839,000 152,615,000 52,425,000 -105,983,000 62,237,000 88,286,000 24,086,000 137,917,000 -15,123,000 143,017,000 53,545,000 -87,037,000 214,758,000 -29,676,000 87,488,000 -103,714,000 -13,999,000 152,514,000 92,362,000 117,565,000 -134,046,000 74,143,000 -6,467,000 -53,516,000 67,898,000 51,840,000   -3,512,000 53,146,000 282,778,000       5,070,000 45,494,000 5,597,000 -91,049,000 111,230,000  97,817,000 -39,431,000 140,728,000   -44,350,000 56,589,000 
      cash flows from investing activities
                                                                     
      acquisition of terminals
                                                                     
      equity method investments
    -4,645,000 -3,594,000 -16,677,000 -5,241,000 -3,821,000 -404,000 -9,659,000                                                           
      capital expenditures
    -19,704,000 -15,069,000 -17,884,000 -46,801,000 -24,274,000 -15,609,000 -16,614,000 -34,107,000 -17,454,000 -22,106,000 -15,180,000 -40,968,000 -23,412,000 -25,324,000 -17,093,000 -36,160,000 -26,804,000 -21,852,000 -16,901,000 -36,689,000 -17,898,000 -10,056,000 -11,690,000 -30,370,000 -22,520,000 -19,745,000 -10,229,000 -25,713,000 -16,293,000 -17,611,000 -9,557,000 -18,220,000 -12,338,000 -10,930,000 -8,378,000 -16,541,000 -15,892,000 -22,395,000 -16,451,000 -36,406,000 -23,356,000                         
      free cash flows
    -678,000 201,251,000 -69,474,000 20,446,000   -199,316,000 135,309,000 79,634,000 243,156,000 -34,505,000 -137,878,000 168,301,000 337,241,000 5,535,000 -84,999,000 125,811,000 30,573,000 -122,884,000 25,548,000 70,388,000 14,030,000 126,227,000 -45,493,000 120,497,000 33,800,000 -97,266,000 189,045,000 -45,969,000 69,877,000 -113,271,000 -32,219,000 140,176,000 81,432,000 109,187,000 -150,587,000 58,251,000 -28,862,000 -69,967,000 31,492,000 28,484,000                         
      seller note issuances
    389,000 333,000 -191,000 892,000 -4,467,000 -3,471,000 -340,000 -4,275,000 -3,880,000     -1,690,000 -420,000 -649,000 -539,000 -770,000 -640,000 -275,000                                      
      dividends received of equity method investments
    3,070,000 2,017,000 2,659,000 2,173,000 2,172,000 403,000 14,304,000                                                           
      proceeds from sale of property and equipment
    522,000 369,000 3,602,000 2,560,000 27,728,000 4,410,000 13,933,000 792,000 4,720,000 359,000 6,991,000 2,119,000 1,722,000 99,486,000 25,187,000 2,587,000 392,000 418,000 2,994,000 2,153,000 -22,000 4,893,000 1,189,000 5,066,000 1,941,000 5,825,000 4,228,000 3,481,000 7,689,000 6,441,000 800,000 2,983,000 1,566,000 3,989,000 24,249,000 18,809,000 47,235,000 3,094,000 8,588,000 1,783,000 1,297,000 207,000 1,044,000 1,659,000 1,746,000 400,000     4,000 27,000 16,000    4,000 9,000 2,000  3,000 19,000 
      net cash from investing activities
    -20,368,000 -15,944,000 -28,491,000 -46,502,000 1,805,000 -230,667,000 -1,507,000 -370,573,000 -14,234,000 -95,504,000 -12,069,000 -41,491,000 -62,132,000 74,230,000 -206,800,000 -33,573,000 -37,375,000 -21,434,000 -22,668,000 -34,956,000 -17,920,000 -5,812,000 -11,040,000 -26,074,000 -20,579,000 -13,920,000 -6,641,000 -22,303,000 -183,490,000 -11,170,000 -8,757,000 -59,802,000 -10,772,000 -6,941,000 15,871,000 2,268,000 31,343,000 -19,301,000 -7,863,000 -34,623,000 -21,472,000                    9,715,000     
      cash flows from financing activities
                                                                     
      net borrowings from working capital revolving credit facility
      125,200,000    209,200,000    93,900,000    23,900,000           -13,400,000 116,200,000          -50,800,000 33,600,000 87,100,000                           
      net payments on revolving credit facility
    36,600,000      -380,000,000         10,000,000        -5,000,000 -3,000,000      -10,700,000                                 
      proceeds from senior notes
    -169,000   441,301,000                                                          
      repayment of senior notes
    -39,684,000                                                                
      redemption of series a preferred units
                                                                   
      repurchase of common units
    -3,814,000 -3,025,000 -532,000 -3,012,000 -3,259,000   -2,845,000    -331,000                       -1,450,000                         
      ltip units withheld for tax obligations
    -2,629,000 -10,810,000 -1,818,000 -469,000 -1,553,000 -6,000 -2,173,000 -10,000 -26,000 -4,000 -243,000 -5,000 -25,000 -11,000 -614,000   -29,000                                      
      distribution equivalent rights
    -595,000 -3,422,000 -1,000 -565,000 411,000 -411,000 -149,000                                                       
      distributions to limited partners and general partner
    -31,856,000 -31,569,000 -31,085,000 -30,392,000 -29,802,000 -30,684,000 -30,729,000 -29,754,000 -28,635,000 -27,473,000 -58,858,000 -26,114,000 -25,223,000 -24,781,000 -24,337,000 -23,904,000 -23,879,000 -23,130,000 -21,006,000 -18,973,000 -17,370,000 -15,109,000 -19,905,000 -19,230,000 -19,006,000 -19,393,000 -18,997,000                                       
      net cash from financing activities
    3,177,000 -191,757,000 79,351,000 -33,104,000 -118,061,000 147,613,000 237,389,000 209,501,000 -82,600,000 -165,784,000 34,424,000 126,955,000 -121,476,000 -440,248,000 184,157,000 77,896,000 -106,052,000 -36,412,000 130,535,000 -22,428,000 -75,863,000 -62,305,000 -84,530,000 47,459,000 -127,104,000 -37,817,000 94,195,000 -196,785,000 218,135,000 -80,529,000 109,306,000 77,804,000 -136,809,000 -93,625,000 -129,338,000 126,863,000 -99,137,000 17,293,000 77,332,000 -32,924,000 -40,790,000 123,349,000 533,501,000     234,586,000 -46,115,000 2,290,000 65,631,000           5,799,000    
      cash and cash equivalents
                                                                     
      increase in cash and cash equivalents
    1,835,000 8,619,000 -730,000  6,453,000 -58,708,000 53,180,000 8,344,000    -11,446,000   -15,000 -4,516,000   1,884,000   -44,031,000 42,347,000   1,808,000 517,000     4,003,000 4,933,000 -8,204,000 4,098,000 -4,915,000 6,349,000 -8,475,000 15,953,000   4,842,000 1,107,000 3,680,000 3,847,000 6,961,000 -2,901,000 3,134,000 3,349,000 1,676,000 3,486,000 321,000 3,521,000 88,000  -27,000 2,044,000 -1,104,000 1,414,000   1,810,000    
      cash and cash equivalents at beginning of period
    8,208,000  19,642,000  4,040,000  10,849,000  9,714,000  12,042,000  8,121,000  14,858,000  10,028,000  1,116,000  5,238,000 9,217,000 5,977,000 4,328,000 2,361,000 662,000 945,000 2,110,000 3,861,000 1,769,000 
      cash and cash equivalents at end of period
    1,835,000 8,619,000 7,478,000  6,453,000 -58,708,000 72,822,000  254,000 3,974,000 7,070,000  8,105,000 -3,453,000 10,834,000  9,188,000 -5,421,000 11,598,000  -5,497,000 -44,031,000 54,389,000  -4,666,000 1,808,000 8,638,000  4,969,000 -4,211,000 11,693,000  4,933,000 -8,204,000 14,126,000  6,349,000 -8,475,000 17,069,000  -10,422,000 4,842,000 6,345,000 3,680,000 13,064,000 12,938,000 -2,901,000 7,462,000 3,349,000 1,676,000 5,847,000 321,000 3,521,000 750,000 -2,278,000 -27,000 2,989,000 -1,104,000 3,524,000 540,000 1,987,000 1,810,000 1,111,000 117,000 823,000 
      supplemental information
                                                                     
      cash paid during the period for interest
    36,782,000 16,067,000 54,407,000  52,300,000 5,772,000 29,578,000  29,432,000 4,141,000 29,259,000  27,936,000 2,189,000 29,524,000      16,642,000 13,850,000 18,526,000 27,606,000 4,991,000 16,648,000 18,191,000 17,861,000 5,746,000 15,493,000 16,344,000 25,620,000 14,280,000 5,347,000 17,265,000 14,564,000 26,532,000 5,784,000 17,232,000 17,709,000 16,938,000 6,257,000 18,860,000 12,543,000 9,587,000 8,176,000 9,319,000 9,242,000 7,975,000 8,181,000 7,749,000 5,817,000 4,129,000 4,071,000 3,708,000 3,386,000 3,903,000 4,083,000 6,237,000 2,084,000 3,422,000  3,333,000 1,738,000 2,332,000 
      net (payments on) borrowings from working capital revolving credit facility
               153,400,000 -70,700,000         7,800,000 -115,000,000         87,500,000 -109,900,000 -77,800,000 -97,700,000                               
      deferred income taxes
                                                                     
      loss (income) from equity method investments
       -358,000 147,000                                                             
      acquisitions of terminals
                                                                     
      acquisitions
              -978,000 -40,442,000 68,000 -214,894,000 -10,963,000 -7,071,000         204,000            587,000                         
      net borrowings from (payments on) working capital revolving credit facility
       10,300,000 -62,000,000           101,800,000 -90,000,000 -9,500,000 168,000,000         -154,400,000 109,700,000 -53,700,000 125,000,000                                   
      net (payments on) borrowings from revolving credit facility
                      -88,600,000     -4,300,000           -16,000,000 35,900,000 -32,600,000                             
      decrease (increase) in cash and cash equivalents
                               -4,330,000                                      
      cash and cash equivalents at beginning of year
                                                                     
      cash and cash equivalents at end of year
                                                                     
      cash paid during the year for interest
                   1,934,000 34,444,000 2,096,000 16,235,000                                               
      net cash paid during the year for income taxes
                                                                     
      net cash from (provided by) operating activities
                                                                     
      income from equity method investments
          1,379,000                                                           
      net proceeds from issuance of series b preferred units
                   72,167,000                                               
      net borrowings from (payments on) revolving credit facility
               -24,000,000 -105,000,000 184,600,000        50,000,000     -24,200,000                                      
      net cash paid (received) during the year for income taxes
                                                                     
      income from equity method investment
            -1,180,000                                                         
      dividends received from equity method investment
                                                                     
      equity method investment
                                                                    
      net payments on working capital revolving credit facility
            -23,700,000                                                         
      net borrowings from revolving credit facility
                                          6,100,000                           
      increase increase in cash and cash equivalents
             3,974,000 3,030,000                                                       
      net gain loss on sale and disposition of assets
              -2,128,000                                                       
      net (gain) loss on sale and disposition of assets
                   169,000   -475,000     -2,478,000 323,000       5,667,000 2,190,000 2,381,000 -11,862,000                               
      noncontrolling interest capital contribution
                       400,000              357,000 680,000 1,880,000 1,800,000 2,400,000                     
      acquisition of noncontrolling interest
                                                                    
      decrease in cash and cash equivalents
                                                                     
      amortization of senior notes discount
                           129,000 389,000 384,000 380,000 377,000 374,000 370,000 366,000 363,000 360,000 356,000 354,000 349,000 347,000 343,000 340,000 338,000 232,000 179,000 105,000 105,000 53,000                    
      net cash (received) during the year for income taxes
                                                                     
      amortization of leasehold interests
                            1,000 335,000 73,000 73,000 72,000 109,000 69,000 34,000 218,000 310,000 313,000 313,000 313,000 313,000 313,000 309,000                         
      gain on trustee taxes
                               -52,627,000                                   
      changes in operating assets and liabilities, excluding net assets acquired:
                                                                     
      net proceeds from issuance of series a preferred units
                                                                    
      net cash (received) paid during the year for income taxes
                                                                     
      changes in operating assets and liabilities
                                                                     
      net income on sale and disposition of assets
                          743,000    553,000         6,529,000                              
      goodwill and long-lived asset impairment
                           1,379,000                                       
      distribution to noncontrolling interest
                                     -1,203,000 -595,000 -1,000,000 -680,000                         
      net cash (received) paid during the period for income taxes
                                                                     
      proceeds from sale-leaseback
                                       -7,000                             
      cash paid during the period for income taxes
                                                                     
      distributions to partners
                                -16,325,000 -15,829,000 -15,694,000 -15,690,000 -15,693,000 -15,639,000 -15,638,000 -15,630,000 -15,737,000 -15,523,000 -15,630,000 -26,337,000 -26,040,000                         
      (decrease ) increase in cash and cash equivalents
                                  -3,165,000                                   
      proceeds from issuance of common units
                                                                   
      proceeds from senior notes, net of discount
                                           213,000     67,900,000                    
      payments on line of credit
                                                                    
      repurchased units withheld for tax obligations
                                                                     
      non-cash exchange of 6.25% senior notes due 2022
                                                                     
      net income on sale and disposition of assets and impairment charges
                                                                     
      loss on sale and disposition of assets and impairment charges
                                          6,105,000                           
      unit—based compensation expense
                                           1,073,000                          
      write—off of financing fees
                                                                     
      gain on sale and disposition of assets
                                                                     
      accounts receivable—affiliate
                                           2,647,000 50,000                    138,000     
      accrued expenses, all other current liabilities and other long—term liabilities
                                           -7,387,000                          
      borrowings from (payments on) working capital revolving credit facility
                                           -6,800,000 -13,300,000 -7,200,000 175,400,000                       
      borrowings from (payments on) revolving credit facility
                                           1,000,000                         
      proceeds from issuance of term loan
                                                                     
      repayment of term loan
                                                                     
      (payments on) borrowings from line of credit
                                                                     
      loss on sale and disposition of assets
                                                                     
      unit‑based compensation expense
                                                                     
      loss on asset sales
                                             213,000 437,000                       
      financing obligation
                                                                     
      accrued expenses, all other current liabilities and other long‑term liabilities
                                                                     
      adjustments to reconcile net income to net cash from in operating activities:
                                                                     
      changes in operating assets and liabilities, excluding assets acquired:
                                                                     
      accounts receivable – affiliate
                                              58,000    19,000 969,000   134,000        1,274,000       
      acquisitions, net of cash acquired =
                                                                     
      borrowings from revolving credit facility
                                              383,600,000                       
      adjustments to reconcile net income to net provided by in operating activities:
                                                                     
      stock-based compensation expense
                                               850,000 851,000 104,000   56,000 204,000 73,000   128,000 663,000 387,000 530,000 195,000 195,000       
      disposition of property and equipment and other
                                                                     
      changes in operating assets and liabilities, exclusive of business combinations:
                                                                     
      change in fair value of forward fixed price contracts
                                               -2,158,000 17,252,000          2,489,000 50,816,000 108,719,000         
      payments on working capital revolving credit facility
                                                                     
      payments on revolving credit facility
                                                                     
      gain on disposition of property and equipment
                                                                     
      curtailment gain
                                                                     
      (payments on) borrowings from revolving credit facility
                                                                     
      borrowings from term loan
                                                 115,000,000                    
      non-cash investing activities
                                                                     
      adjustments to reconcile net income to net provided by (cash used) in operating activities:
                                                                     
      (payments on) borrowings from working capital revolving credit facility
                                                                     
      acquisition of alliance
                                                                     
      proceeds from public offering
                                                    -40,000 69,666,000 -208,000 84,792,000            
      non-cash conversion of subordinated unitholders
                                                    1,623,000               
      effect of acquisition of alliance:
                                                                     
      fair value of tangible assets acquired
                                                  24,659,000 -359,195,000                  
      fair value of liabilities assumed
                                                  76,784,000                  
      fair value of acquired intangible assets
                                                                     
      consideration paid in excess of fair value
                                                                     
      fair value of common units issued
                                                  130,513,000                  
      net cash paid in connection with the acquisition of alliance
                                                  2,607,000 -184,505,000                  
      borrowings from credit facilities
                                                   245,700,000                  
      fair value of intangible assets
                                                                     
      receivable from ae holdings representing contractual consideration
                                                                     
      income taxes payable
                                                            71,000  109,000       
      payments on (borrowings from) credit facilities
                                                                     
      terminal acquisition
                                                                     
      borrowings from (payments on) credit facilities
                                                     13,500,000 6,300,000               
      accounts receivable — affiliate
                                                            1,422,000         
      gain on disposition of property and equipment and other
                                                             5,000 1,000       
      (payments on) proceeds from credit facilities
                                                                     
      net cash from in financing activities
                                                                     
      payments on credit facilities
                                                                     
      loss on disposition of property and equipment and other
                                                                     
      accrued expenses and all other current liabilities
                                                          593,000 -1,234,000 10,376,000         
      proceeds from (payments on) credit facilities
                                                                     
      payments on note payable, other
                                                                     
      proceeds from credit facilities
                                                                     
      gain on sale of investment
                                                                     
      income taxes
                                                                     
      terminal acquisitions
                                                                     
      proceeds from sale of investment
                                                               15,262,000     
      proceeds from common unit issuance, net of discount and fees
                                                                     
      terminal pre-acquisition deposit and other costs
                                                                     
      operating activities
                                                                     
      change in fair value of forward fixed contracts
                                                               9,516,000 66,172,000     
      investing activities
                                                                     
      financing activities
                                                                     
      maintenance capital expenditures
                                                                     
      capital improvement expenditures
                                                                     
      payments on revolving line of credit
                                                                     
      write-offs and amortization of deferred financing fees
                                                                     
      loss on surrender of split dollar insurance policy
                                                                     
      changes in operating assets and liabilities, net of acquisitions:
                                                                     
      other long-term liabilities
                                                                     
      cash flows from investment activities
                                                                     
      proceeds from the sale of property and equipment
                                                                     
      net cash from investment activities
                                                                     
      proceeds from revolving line of credit
                                                                 11,000,000    
      issuance of common units, net of underwriter discount
                                                                     
      offering costs
                                                                     
      redemptions of common units from the predecessor members as a result of over-allotment option exercise concurrent with initial public offering
                                                                     
      distributions to the predecessor members concurrent with ipo
                                                                     
      payments of deferred financing fees
                                                                     
      (payments on) proceeds from revolving line of credit under former credit facility
                                                                     
      (payment on) proceeds from term loan
                                                                     
      payments to ryttsa
                                                                     
      payments on note payable to bank
                                                                     
      distributions to members
                                                                     
      predecessor:
                                                                     
      balance december 31, 2003
                                                                     
      net income and total comprehensive income
                                                                     
      distribution to members
                                                                     
      effect of ryttsa transaction
                                                                     
      balance december 31, 2004
                                                                     
      net income and total comprehensive income through october 3, 2005
                                                                     
      balance october 3, 2005
                                                                     
      successor:
                                                                     
      consolidated
                                                                     
      allocation of net predecessor investment to unitholders
                                                                     
      proceeds from initial public offering, net of underwriter discount
                                                                     
      distributions to the predecessor members concurrent with initial public offering
                                                                     
      redemption of common units from predecessor members as a result of over-allotment option exercise concurrent with initial public offering
                                                                     
      elimination of intercompany balance concurrent with initial public offering
                                                                     
      net income and total comprehensive income from october 4, 2005 through december 31, 2005
                                                                     
      balance december 31, 2005
                                                                     
      comprehensive income:
                                                                     
      other comprehensive income:
                                                                     
      unrealized gain on nymex shares
                                                                     
      total comprehensive income
                                                                     
      adjustment to initially apply sfas no. 158
                                                                     
      balance december 31, 2006
                                                                     
      disposition of property and equipment
                                                                    
      forward fixed contracts and other liabilities
                                                                     
      accounts payable and income taxes payable
                                                                     
      proceeds from (payments on) revolving line of credit
                                                                     
      changes in operating assets and liabilities, net of acquisition:
                                                                     
      loss on sale of property and equipment
                                                                    11,000 
      purchases of property and equipment
                                                                     
      loss on surrender of split dollar insurance policies
                                                                     
      (gain) loss on sale of property and equipment
                                                                     
      proceeds from term loan
                                                                     
      cash paid during the period for :
                                                                     
      interest
                                                                     
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.