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Consolidated Balance Sheets - USD ($)
$ in Thousands
Sep. 30, 2020
Dec. 31, 2019
Capital Units, Value $ 364,821 $ 381,103
Current assets:    
Cash and cash equivalents (Cushing Connect VIEs: $9,288 and $6,842, respectively) 18,091 13,287
Accounts receivable:    
Trade (Cushing Connect VIEs: $712 and $79, respectively) 13,857 18,731
Affiliates 46,504 49,716
Total accounts receivable 60,361 68,447
Prepaid and other current assets 6,282 7,629
Total current assets 84,734 89,363
Properties and equipment, net (Cushing Connect VIEs: $32,092 and $2,916, respectively) 1,447,924 1,467,099
Operating lease right-of-use assets 3,164 3,255
Net Investment in Lease, Noncurrent 167,238 134,886
Intangible assets, net 90,817 101,322
Goodwill 234,684 270,336
Equity method investments (Cushing Connect VIEs: $39,658 and $37,084, respectively) 122,046 120,071
Other assets 11,278 12,900
Assets 2,161,885 2,199,232
Accounts payable:    
Trade (Cushing Connect VIEs: $6,421 and $2,082, respectively) 21,022 17,818
Affiliates 6,922 16,737
Total accounts payable 27,944 34,555
Accrued interest 4,691 13,206
Deferred revenue 11,020 10,390
Accrued property taxes 8,972 3,799
Current maturities of operating leases 1,199 1,126
Current maturities of finance leases 3,459 3,224
Other current liabilities 2,849 2,305
Total current liabilities 60,134 68,605
Long-term debt 1,439,874 1,462,031
Noncurrent operating lease liabilities 2,333 2,482
Noncurrent finance lease liabilities 69,180 70,475
Other long-term liabilities 13,861 12,808
Deferred revenue 41,376 45,681
Class B unit $ 51,956 $ 49,392
Partners’ equity:    
Common unitholders (105,440,201 units issued and outstanding at September 30, 2020 and December 31, 2019) 105,440,000 105,440,000
Noncontrolling interest $ 118,350 $ 106,655
Total Equity 483,171 487,758
Total liabilities and equity 2,161,885 2,199,232
Total partners’ equity 364,821 381,103
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $ 18,091 $ 13,287