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Fair-Value Measurements (Tables)
9 Months Ended
Sep. 30, 2021
Fair Value Disclosures [Abstract]  
Schedule of Placement of Assets and Liabilities Within the Fair Value Hierarchy Levels
The following table sets forth by level within the fair value hierarchy our financial assets and liabilities that were accounted for at fair value on a recurring basis as of September 30, 2021 and December 31, 2020. 
 Fair Value atFair Value at
September 30, 2021December 31, 2020
Recurring Fair Value MeasuresLevel 1Level 2Level 3Level 1Level 2Level 3
Commodity derivatives:
Assets$1,873 $— $— $1,754 $616 $— 
Liabilities$(3,814)$(55)$— $(5,459)$— $— 
Preferred Distribution Rate Reset Election$— $— $(83,414)$— $— $(52,372)
Schedule of Reconciliation of Changes in Fair Value of Derivatives Classified as Level 3 The following table provides a reconciliation of changes in fair value at the beginning and ending balances for our derivatives classified as level 3:
 Nine Months Ended
September 30,
2021
Balance as of December 31, 2020$(52,372)
Unrealized loss for the period included in earnings(31,042)
Balance as of September 30, 2021$(83,414)