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Business Segments (Tables)
6 Months Ended
Jun. 30, 2011
Business Segments [Abstract]  
Measurement of Total Segment Gross Operating Margin
The following table shows our measurement of total segment gross operating margin for the periods presented:

   
For the Three Months
Ended June 30,
  
For the Six Months
Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Revenues
 $11,216.5  $7,543.4  $21,400.2  $16,087.9 
Less:    Operating costs and expenses
  (10,533.3)  (6,974.2)  (20,070.4)  (14,946.1)
Add:     Equity in income of unconsolidated affiliates
  11.1   11.0   27.3   37.6 
 Depreciation, amortization and accretion in operating costs and expenses (1)
  233.3   227.0   464.1   439.4 
 Non-cash asset impairment charges
  --   --   --   1.5 
 Operating lease expenses paid by EPCO
  0.1   0.1   0.3   0.3 
 Losses (gains) from asset sales and related transactions in operating
costs and expenses (2)
  (5.2)  1.7   (23.6)  (5.6)
Total segment gross operating margin
 $922.5  $809.0  $1,797.9  $1,615.0 
                  
(1)   Amount is a component of “Depreciation, amortization and accretion” as presented on the Unaudited Condensed Statements of Consolidated Cash Flows.
(2)   Amount is a component of “Gains from asset sales and related transactions” as presented on the Unaudited Condensed Statements of Consolidated Cash Flows.
 

Reconciliation of Total Segment Gross Operating Margin to Operating Income and Income Before Provision for Income Taxes
The following table presents a reconciliation of total segment gross operating margin to operating income and further to income before provision for income taxes for the periods presented:

   
For the Three Months
Ended June 30,
  
For the Six Months
Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Total segment gross operating margin
 $922.5  $809.0  $1,797.9  $1,615.0 
Adjustments to reconcile total segment gross operating margin to operating income:
                
Depreciation, amortization and accretion in operating costs and expenses
  (233.3)  (227.0)  (464.1)  (439.4)
Non-cash asset impairment charges
  --   --   --   (1.5)
Operating lease expenses paid by EPCO
  (0.1)  (0.1)  (0.3)  (0.3)
Gains (losses) from asset sales and related transactions in operating costs and expenses
  5.2   (1.7)  23.6   5.6 
General and administrative costs
  (50.4)  (40.5)  (88.3)  (80.8)
Operating income
  643.9   539.7   1,268.8   1,098.6 
Other expense, net
  (188.0)  (178.8)  (371.3)  (336.6)
Income before provision for income taxes
 $455.9  $360.9  $897.5  $762.0 

Information by Business Segments
Information by business segment, together with reconciliations to our consolidated totals, is presented in the following table:

   
Reportable Business Segments
       
   
NGL
Pipelines
& Services
  
Onshore
Natural Gas
Pipelines
& Services
  
Onshore
Crude Oil
Pipelines
& Services
  
Offshore
Pipelines
& Services
  
Petrochemical
& Refined
Products
Services
  
Other
Investments
  
Adjustments
and
Eliminations
  
Consolidated
Total
 
Revenues from third parties:
                        
  Three months ended June 30, 2011
 $3,960.1  $862.5  $4,281.6  $61.1  $1,907.0  $--  $--  $11,072.3 
  Three months ended June 30, 2010
  2,923.8   786.2   2,629.3   85.5   1,002.6   --   --   7,427.4 
  Six months ended June 30, 2011
  8,015.5   1,734.2   7,652.2   121.7   3,482.3   --   --   21,005.9 
  Six months ended June 30, 2010
  6,590.1   1,897.3   5,016.0   172.0   2,064.1   --   --   15,739.5 
Revenues from related parties:
                                
  Three months ended June 30, 2011
  76.8   64.8   --   2.6   --   --   --   144.2 
  Three months ended June 30, 2010
  55.5   58.7   --   1.8   --   --   --   116.0 
  Six months ended June 30, 2011
  278.2   109.7   --   6.4   --   --   --   394.3 
  Six months ended June 30, 2010
  235.5   109.1   (0.1)  3.9   --   --   --   348.4 
Intersegment and intrasegment
   revenues:
                                
  Three months ended June 30, 2011
  3,228.2   253.9   1,477.6   0.1   445.5   --   (5,405.3)  -- 
  Three months ended June 30, 2010
  2,407.7   212.7   223.4   0.3   287.2   --   (3,131.3)  -- 
  Six months ended June 30, 2011
  6,702.8   524.8   2,184.7   1.8   918.6   --   (10,332.7)  -- 
  Six months ended June 30, 2010
  4,954.9   428.3   248.1   0.7   545.0   --   (6,177.0)  -- 
Total revenues:
                                
  Three months ended June 30, 2011
  7,265.1   1,181.2   5,759.2   63.8   2,352.5   --   (5,405.3)  11,216.5 
  Three months ended June 30, 2010
  5,387.0   1,057.6   2,852.7   87.6   1,289.8   --   (3,131.3)  7,543.4 
  Six months ended June 30, 2011
  14,996.5   2,368.7   9,836.9   129.9   4,400.9   --   (10,332.7)  21,400.2 
  Six months ended June 30, 2010
  11,780.5   2,434.7   5,264.0   176.6   2,609.1   --   (6,177.0)  16,087.9 
Equity in income (loss) of
   unconsolidated affiliates:
                                
  Three months ended June 30, 2011
  6.2   1.5   (1.6)  6.6   (4.3)  2.7   --   11.1 
  Three months ended June 30, 2010
  3.7   0.9   3.6   11.1   (2.6)  (5.7)  --   11.0 
  Six months ended June 30, 2011
  12.1   2.7   (2.1)  14.9   (9.3)  9.0   --   27.3 
  Six months ended June 30, 2010
  7.0   2.2   5.9   22.9   (5.3)  4.9   --   37.6 
Gross operating margin:
                                
  Three months ended June 30, 2011
  497.7   161.1   67.8   53.4   139.8   2.7   --   922.5 
  Three months ended June 30, 2010
  441.0   106.9   25.9   82.8   158.1   (5.7)  --   809.0 
  Six months ended June 30, 2011
  1,002.1   320.3   99.6   114.7   252.2   9.0   --   1,797.9 
  Six months ended June 30, 2010
  878.3   237.2   52.6   163.9   278.1   4.9   --   1,615.0 
Segment assets:
                                
  At June 30, 2011
  7,673.7   8,276.2   923.6   1,954.7   3,755.4   1,241.8   2,923.1   26,748.5 
  At December 31, 2010
  7,665.5   8,184.8   917.5   2,004.9   3,758.7   1,436.8   1,607.2   25,575.4 
Property, plant and equipment, net:
   (see Note 6)
                                
  At June 30, 2011
  6,851.5   6,727.7   432.3   1,355.7   2,508.6   --   2,923.1   20,798.9 
  At December 31, 2010
  6,813.1   6,595.0   427.9   1,390.9   2,498.8   --   1,607.2   19,332.9 
Investments in unconsolidated
   affiliates: (see Note 7)
                                
  At June 30, 2011
  131.7   31.4   174.1   434.0   72.9   1,241.8   --   2,085.9 
  At December 31, 2010
  131.5   32.6   172.2   443.2   76.8   1,436.8   --   2,293.1 
Intangible assets, net: (see Note 8)
                                
  At June 30, 2011
  349.3   1,206.0   6.0   82.9   112.4   --   --   1,756.6 
  At December 31, 2010
  379.7   1,246.1   6.2   88.7   121.0   --   --   1,841.7 
Goodwill: (see Note 8)
                                
  At June 30, 2011
  341.2   311.1   311.2   82.1   1,061.5   --   --   2,107.1 
  At December 31, 2010
  341.2   311.1   311.2   82.1   1,062.1   --   --   2,107.7 

Consolidated Revenues and Expenses
The following table provides additional information regarding our consolidated revenues and costs and expenses for the periods presented:

   
For the Three Months
Ended June 30,
  
For the Six Months
Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
NGL Pipelines & Services:
            
Sales of NGLs
 $3,831.5  $2,804.4  $7,888.6  $6,468.5 
Sales of other petroleum and related products
  0.7   0.7   1.3   1.2 
Midstream services
  204.7   174.2   403.8   355.9 
Total
  4,036.9   2,979.3   8,293.7   6,825.6 
Onshore Natural Gas Pipelines & Services:
                
Sales of natural gas
  719.5   655.6   1,432.2   1,630.8 
Midstream services
  207.8   189.3   411.7   375.6 
Total
  927.3   844.9   1,843.9   2,006.4 
Onshore Crude Oil Pipelines & Services:
                
Sales of crude oil
  4,257.9   2,603.4   7,606.1   4,970.7 
Midstream services
  23.7   25.9   46.1   45.2 
Total
  4,281.6   2,629.3   7,652.2   5,015.9 
Offshore Pipelines & Services:
                
Sales of natural gas
  0.3   0.4   0.6   0.8 
Sales of crude oil
  2.5   1.9   5.8   4.0 
Midstream services
  60.9   85.0   121.7   171.1 
Total
  63.7   87.3   128.1   175.9 
Petrochemical & Refined Products Services:
                
Sales of other petroleum and related products
  1,718.7   871.7   3,101.5   1,804.3 
Midstream services
  188.3   130.9   380.8   259.8 
Total
  1,907.0   1,002.6   3,482.3   2,064.1 
Total consolidated revenues
 $11,216.5  $7,543.4  $21,400.2  $16,087.9 
                  
Consolidated costs and expenses
                
Operating costs and expenses:
                
Cost of sales related to our marketing activities
 $8,727.5  $5,693.5  $16,657.6  $12,342.7 
Depreciation, amortization and accretion
  233.3   227.0   464.1   439.4 
Losses (gains) from asset sales and related transactions
  (5.2)  1.7   (23.6)  (5.6)
Non-cash asset impairment charges
  --   --   --   1.5 
Other operating costs and expenses
  1,577.7   1,052.0   2,972.3   2,168.1 
General and administrative costs
  50.4   40.5   88.3   80.8 
Total consolidated costs and expenses
 $10,583.7  $7,014.7  $20,158.7  $15,026.9