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… planned production outage for the turnaround of Petro 2. Cash flows from operating activities in the third quarter of … a decrease of $17.7 million compared to third quarter 2020 cash flows from operating activities of $117.2 million. This decrease in cash flows from operating activities was primarily due to …
… line with fourth quarter 2023 net income of $14.3 million. Cash flows from operating activities in the fourth quarter of … increase of $24.8 million compared to fourth quarter 2023 cash flows from operating activities of $107.7 million, due … three months ended December 31, 2024, MLP distributable cash flow was $15.0 million, a decrease of $1.4 million …
… of $61.0 million; record annual MLP distributable cash flow of $73.2 million Record annual production at OpCo Increased quarterly cash distribution in the fourth quarter by 1.5% sequentially, … (the "Acquisition"), and higher third party sales margins. Cash flows from operating activities in the fourth quarter of …
… to the Partnership of $14.9 million; MLP distributable cash flow of $20.5 million Increased quarterly cash distribution by 1.5% sequentially, or 6% annualized, … 2019 (the “Acquisition”), and higher production volumes. Cash flows from operating activities in the third quarter of …
… expense, partially offset by higher production at OpCo. Cash flows from operating activities in the fourth quarter of … increase of $100.7 million compared to fourth quarter 2021 cash flows from operating activities of $21.9 million, due to higher production at OpCo as well as cash flows from operations in the fourth quarter of 2021 …
… costs, partially offset by lower ethylene production. Cash flows from operating activities in the second quarter of … increase of $12.6 million compared to second quarter 2019 cash flows from operating activities of $100.2 million. This increase in cash flows from operating activities was primarily …
… Petro 1 facility, which occurred on June 25, 2021. Cash flows from operating activities in the second quarter of … increase of $18.9 million compared to second quarter 2020 cash flows from operating activities of $112.8 million. For … the three months ended June 30, 2021, MLP distributable cash flow of $25.5 million increased by $8.6 million from …
… income attributable to the Partnership of $14.9 million. Cash flows from operating activities in the third quarter of … a decrease of $4.3 million compared to third quarter 2019 cash flows from operating activities of $121.5 million. This decrease in cash flows from operating activities was primarily due to an …
… City maintenance turnaround, and higher interest expense. Cash flows from operating activities in the second quarter of … decrease of $22.4 million compared to second quarter 2022 cash flows from operating activities of $120.9 million. The … the three months ended June 30, 2023, MLP distributable cash flow was $15.0 million, a decrease of $4.6 million …
… third-party sales volumes and increased maintenance costs. Cash flows from operating activities in the fourth quarter of … decrease of $83.2 million compared to fourth quarter 2019 cash flows from operating activities of $115.7 million. This decrease in cash flows from operating activities was primarily due to the …