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Equity Investees (Tables)
9 Months Ended
Sep. 30, 2022
Equity Method Investments and Joint Ventures [Abstract]  
Schedule of Consolidated Financial Statements Related to Equity Investees
The following table presents information included in our Unaudited Condensed Consolidated Financial Statements related to our equity investees:
 Three Months Ended
September 30,
Nine Months Ended
September 30,
 2022202120222021
Genesis’ share of operating earnings$16,802 $14,174 $50,950 $56,801 
Amortization of differences attributable to Genesis’ carrying value of equity investments(3,566)(3,873)(10,698)(11,618)
Net equity in earnings$13,236 $10,301 $40,252 $45,183 
Distributions received(1)
$18,483 $17,443 $56,233 $68,873 
(1) Includes distributions attributable to the period and received during or promptly following such period.
Schedule of Balance Sheet Information for Equity Investees
The following tables present the unaudited balance sheets and statements of operations information (on a 100% basis) for Poseidon Oil Pipeline Company, L.L.C. (“Poseidon”) (which we own 64% of and is our most significant equity investment):
September 30, 2022December 31, 2021
BALANCE SHEETS DATA:
Assets
Current assets$27,448 $17,827 
Fixed assets, net150,416 160,379 
Other assets11,958 6,186 
Total assets$189,822 $184,392 
Liabilities and equity
Current liabilities$12,667 $7,668 
Other liabilities234,401 231,970 
Equity (Deficit)(57,246)(55,246)
Total liabilities and equity$189,822 $184,392 
Schedule Of Operations For Equity Investees
 Three Months Ended
September 30,
Nine Months Ended
September 30,
 2022202120222021
STATEMENTS OF OPERATIONS DATA:
Revenues$38,322 $27,262 $104,891 $103,432 
Operating income$27,731 $18,762 $75,540 $75,559 
Net income$25,502 $17,718 $70,850 $72,473