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Supplemental financial statement information (Tables)
12 Months Ended
Jul. 31, 2025
Supplemental financial statement information  
Schedule of inventories

    

July 31, 2025

    

July 31, 2024

Propane gas and related products

$

66,052

$

74,122

Appliances, parts and supplies, and other

 

21,755

 

21,910

Inventories

$

87,807

$

96,032

Schedule of property, plant and equipment, net

    

Estimated useful lives

    

July 31, 2025

    

July 31, 2024

Land

 

Indefinite

$

43,318

$

42,698

Land improvements

 

2-20

 

16,986

 

16,470

Buildings and improvements

 

20

 

90,945

 

91,092

Vehicles, including transport trailers (1)

 

8-20

 

137,032

 

125,751

Bulk equipment and district facilities

 

5-30

 

123,306

 

121,327

Tanks, cylinders and customer equipment

 

2-30

 

857,142

 

848,551

Computer and office equipment

 

2-5

 

95,140

 

96,568

Construction in progress

 

n/a

 

14,206

 

16,003

 

1,378,075

 

1,358,460

Less: accumulated depreciation

 

775,383

 

753,506

Property, plant and equipment, net

$

602,692

$

604,954

(1)Includes 35 and 11 vehicles under failed sale-leaseback transactions as of July 31, 2025 and 2024, respectively. See the Certain cash flow and non-cash activities section in Note E “Supplemental financial statement information” and Note K “Leases” for additional information.
Schedule of prepaid expenses and other current assets

    

July 31, 2025

    

July 31, 2024

Broker margin deposit assets

$

6,222

$

6,911

Price risk management asset

3,244

5,925

Other prepaid expenses

13,458

13,748

Other

 

7,547

 

7,799

Prepaid expenses and other current assets

$

30,471

$

34,383

Schedule of other assets, net

    

July 31, 2025

    

July 31, 2024

Finance lease ROU assets

$

37,803

$

24,789

Other

 

30,899

 

37,024

Other assets, net

$

68,702

$

61,813

Schedule of other current liabilities

    

July 31, 2025

    

July 31, 2024

Accrued interest

$

28,318

$

29,392

Customer deposits and advances

 

31,640

 

34,500

Accrued payroll

 

31,072

 

27,054

Accrued insurance

 

15,314

 

15,307

Broker margin deposit liability

2,193

3,111

Accrued senior preferred units distributions

17,280

17,538

Accrued miscellaneous

47,578

11,048

Other

 

41,759

 

46,071

Other current liabilities

$

215,154

$

184,021

Schedule of shipping and handling expenses

For the year ended July 31, 

    

2025

    

2024

    

2023

Operating expense - personnel, vehicle, plant and other

$

295,763

$

283,627

$

291,268

Depreciation and amortization expense

 

16,662

 

13,231

 

15,807

Operating expense - equipment lease expense

 

10,410

 

13,775

 

13,165

Shipping and handling expenses

$

322,835

$

310,633

$

320,240

Schedule of cash, cash equivalents and restricted cash

    

July 31, 2025

    

July 31, 2024

Cash and cash equivalents

$

96,883

$

113,482

Restricted cash

 

 

10,678

Cash, cash equivalents and restricted cash

$

96,883

$

124,160

Schedule of cash flow supplemental disclosures

For the year ended July 31, 

    

2025

    

2024

    

2023

Cash paid for:

 

  

 

  

 

  

Interest

$

96,072

$

89,151

$

90,349

Income taxes

$

1,345

$

699

$

1,092

Non-cash investing and financing activities:

 

  

 

  

Liabilities incurred in connection with acquisitions

$

635

$

1,585

$

3,435

Change in accruals for property, plant and equipment additions

$

(274)

$

1,168

$

80

Lease liabilities arising from operating ROU assets

$

13,415

$

14,204

$

10,189

Lease liabilities arising from finance ROU assets

$

23,371

$

5,356

$

671

Accrued senior preferred units distributions

$

17,280

$

17,538

$

17,452

Acquisition of assets in failed sale-leaseback

$

5,032

$

2,496

$

Liability in connection with failed sale-leaseback

$

3,946

$

2,353

$

Ferrellgas, L.P.  
Supplemental financial statement information  
Schedule of inventories

    

July 31, 2025

    

July 31, 2024

Broker margin deposit assets

$

6,222

$

6,911

Price risk management asset

3,244

5,925

Other prepaid expenses

13,458

13,748

Other

 

7,465

7,779

Prepaid expenses and other current assets

$

30,389

$

34,363

Schedule of other current liabilities

    

July 31, 2025

    

July 31, 2024

Accrued interest

$

28,318

$

29,392

Customer deposits and advances

 

31,640

 

34,500

Accrued payroll

 

31,072

 

27,054

Accrued insurance

 

15,314

 

15,307

Broker margin deposit liability

2,193

3,111

Accrued senior preferred units distributions

17,280

17,538

Accrued miscellaneous

47,578

11,048

Other

 

41,167

 

45,946

Other current liabilities

$

214,562

$

183,896

Schedule of cash, cash equivalents and restricted cash

    

July 31, 2025

    

July 31, 2024

Cash and cash equivalents

$

96,582

$

113,054

Restricted cash

 

 

10,678

Cash, cash equivalents and restricted cash

$

96,582

$

123,732

Schedule of cash flow supplemental disclosures

For the year ended July 31, 

    

2025

    

2024

    

2023

Cash paid for:

Interest

$

96,072

$

89,151

$

90,349

Income taxes

$

1,291

$

647

$

1,087

Non-cash investing and financing activities:

 

  

 

  

 

  

Liabilities incurred in connection with acquisitions

$

635

$

1,585

$

3,435

Change in accruals for property, plant and equipment additions

$

(274)

$

1,168

$

80

Lease liabilities arising from operating ROU assets

$

13,415

$

14,204

$

10,189

Lease liabilities arising from finance ROU assets

$

23,371

$

5,356

$

671

Accrued senior preferred units distributions

$

17,280

$

17,538

$

17,452

Acquisition of assets in failed sale-leaseback

$

5,032

$

2,496

$

Liability in connection with failed sale-leaseback

$

3,946

$

2,353

$