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UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Dec. 31, 2024
Dec. 31, 2023
CASH FLOWS FROM OPERATING ACTIVITIES:        
Net income (loss) $ (460,306,000) $ 18,956,000    
Adjustments to reconcile net income (loss) to net cash provided by operating activities -        
Depreciation and amortization 75,033,000 73,771,000    
Amortization and write-off of debt issuance costs, premium and discount 3,857,000 2,884,000    
Loss from disposal of discontinued operations 432,193,000 0    
Equity in earnings of investments in equity investees (12,492,000) (16,441,000)    
Cash distributions of earnings of equity investees 12,432,000 15,569,000    
Non-cash effect of long-term incentive compensation plans 2,485,000 4,315,000    
Deferred and other tax liabilities (113,000) 509,000    
Unrealized gains on derivative transactions (71,000) (5,081,000)    
Other, net 4,155,000 2,966,000    
Net changes in components of operating assets and liabilities (Note 15) (32,368,000) 28,473,000    
Net cash provided by operating activities 24,805,000 125,921,000    
CASH FLOWS FROM INVESTING ACTIVITIES:        
Payments to acquire fixed and intangible assets (81,567,000) (174,173,000)    
Proceeds from disposal of discontinued operations, net of cash divested 996,642,000 0    
Cash distributions received from equity investees - return of investment 6,152,000 7,546,000    
Investments in equity investees 0 (285,000)    
Proceeds from asset sales 116,000 204,000    
Net cash provided by (used in) investing activities 921,343,000 (166,708,000)    
CASH FLOWS FROM FINANCING ACTIVITIES:        
Borrowings on senior secured credit facility 249,000,000 364,300,000    
Repayments on senior secured credit facility (540,000,000) (279,400,000)    
Repayment of Alkali senior secured notes (Note 10) 0 (2,976,000)    
Debt issuance costs (1,447,000) (1,082,000)    
Contributions from noncontrolling interests 7,767,000 9,000,000    
Distributions to noncontrolling interests (11,151,000) (10,107,000)    
Distributions to common unitholders (20,207,000) (18,370,000)    
Distributions to Class A Convertible Preferred unitholders (26,968,000) (21,894,000)    
Redemption of Class A Convertible Preferred Units (Note 11) (262,500,000) 0    
Other, net 7,166,000 8,129,000    
Net cash provided by (used in) financing activities (598,340,000) 47,600,000    
Net increase in cash, cash equivalents and restricted cash 347,808,000 6,813,000    
Cash, cash equivalents and restricted cash at beginning of period 377,360,000 34,851,000 $ 29,552,000 $ 28,038,000
Cash, cash equivalents, and restricted cash at beginning of period: discontinued operations 22,200,000 21,806,000    
Cash and cash equivalents at beginning of period: continuing operations 7,352,000 6,232,000    
Cash, cash equivalents and restricted cash at end of period 377,360,000 34,851,000 $ 29,552,000 $ 28,038,000
Cash, cash equivalents and restricted cash at end of period: discontinued operations 0 22,123,000    
Cash, cash equivalents, and restricted cash at end of period: continuing operations $ 377,360,000 $ 12,728,000