0001061219-15-000045.txt : 20151110 0001061219-15-000045.hdr.sgml : 20151110 20151105174154 ACCESSION NUMBER: 0001061219-15-000045 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20150930 FILED AS OF DATE: 20151106 DATE AS OF CHANGE: 20151105 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ENTERPRISE PRODUCTS PARTNERS L P CENTRAL INDEX KEY: 0001061219 STANDARD INDUSTRIAL CLASSIFICATION: NATURAL GAS TRANSMISSION [4922] IRS NUMBER: 760568219 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-14323 FILM NUMBER: 151201862 BUSINESS ADDRESS: STREET 1: 1100 LOUISIANA 10TH FLOOR CITY: HOUSTON STATE: TX ZIP: 77002 BUSINESS PHONE: 7133816500 MAIL ADDRESS: STREET 1: 1100 LOUISIANA 10TH FLOOR CITY: HOUSTON STATE: TX ZIP: 77002 10-Q 1 form10q.htm QUARTERLY REPORT  

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549

FORM 10-Q

  QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934

For the quarterly period ended September 30, 2015

OR

  TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from ___  to  ___.

Commission file number:  1-14323

ENTERPRISE PRODUCTS PARTNERS L.P.
(Exact Name of Registrant as Specified in Its Charter)

Delaware
 
76-0568219
(State or Other Jurisdiction of
Incorporation or Organization)
 
(I.R.S. Employer Identification No.)
 
1100 Louisiana Street, 10th Floor
Houston, Texas 77002
    (Address of Principal Executive Offices, including Zip Code)
 
(713) 381-6500
(Registrant’s Telephone Number, including Area Code)

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.

Yes    No

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).

Yes    No

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company.  See definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

Large accelerated filer
Accelerated filer
Non-accelerated filer    (Do not check if a smaller reporting company)
Smaller reporting company

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).
 
Yes    No

There were 2,005,753,801 common units of Enterprise Products Partners L.P. outstanding at the close of business on October 30, 2015.  Our common units trade on the New York Stock Exchange under the ticker symbol “EPD.”

ENTERPRISE PRODUCTS PARTNERS L.P.
TABLE OF CONTENTS

 
 
Page No.
 
 
 
 
 
 
 
 
 
 
 
10
 
13 
 
21 
 
22 
 
24 
  25 
 
28 
 
30 
 
32 
 
36 
 
39 
 
41 
 
41 
 
44 
 
46 
54 
81 
84 
 
 
 
84 
85 
85 
86 
86 
86 
86 
 
 
 
95 

PART I.  FINANCIAL INFORMATION.

Item 1. Financial Statements.

ENTERPRISE PRODUCTS PARTNERS L.P.
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS
(Dollars in millions)

   
September 30,
2015
   
December 31,
2014
 
ASSETS
       
Current assets:
 
   
 
Cash and cash equivalents
 
$
80.5
   
$
74.4
 
Restricted cash
   
46.2
     
--
 
Accounts receivable – trade, net of allowance for doubtful accounts
of $12.9 at September 30, 2015 and $13.9 at December 31, 2014
   
2,802.0
     
3,823.0
 
Accounts receivable – related parties
   
1.7
     
2.8
 
Inventories
   
1,085.4
     
1,014.2
 
Derivative assets
   
241.8
     
226.0
 
Prepaid and other current assets
   
402.4
     
350.3
 
Total current assets
   
4,660.0
     
5,490.7
 
Property, plant and equipment, net
   
31,214.1
     
29,881.6
 
Investments in unconsolidated affiliates
   
2,625.3
     
3,042.0
 
Intangible assets, net of accumulated amortization of $1,192.2 at
September 30, 2015 and $1,246.3 at December 31, 2014 (see Note 9)
   
4,082.1
     
4,302.1
 
Goodwill (see Note 9)
   
5,749.2
     
4,300.2
 
Other assets
   
197.1
     
184.4
 
Total assets
 
$
48,527.8
   
$
47,201.0
 
 
               
LIABILITIES AND EQUITY
               
Current liabilities:
               
Current maturities of debt (see Note 10)
 
$
1,619.4
   
$
2,206.4
 
Accounts payable – trade
   
844.9
     
773.8
 
Accounts payable – related parties
   
80.3
     
118.9
 
Accrued product payables
   
2,547.9
     
3,853.3
 
Accrued liability related to EFS Midstream acquisition (see Note 8)
   
997.7
     
--
 
Accrued interest
   
198.9
     
335.5
 
Other current liabilities
   
589.8
     
585.8
 
Total current liabilities
   
6,878.9
     
7,873.7
 
Long-term debt (see Note 10)
   
20,840.7
     
19,157.4
 
Deferred tax liabilities
   
53.4
     
66.6
 
Other long-term liabilities
   
401.9
     
411.1
 
Commitments and contingencies (see Note 15)
               
Equity:
               
Partners’ equity:
               
Limited partners:
               
Common units (2,005,785,601 units outstanding at September 30, 2015
and 1,937,324,817 units outstanding at December 31, 2014)
   
20,392.8
     
18,304.8
 
Accumulated other comprehensive loss
   
(230.7
)
   
(241.6
)
Total  partners’ equity
   
20,162.1
     
18,063.2
 
Noncontrolling interests
   
190.8
     
1,629.0
 
Total equity
   
20,352.9
     
19,692.2
 
Total liabilities and equity
 
$
48,527.8
   
$
47,201.0
 




See Notes to Unaudited Condensed Consolidated Financial Statements.

ENTERPRISE PRODUCTS PARTNERS L.P.
UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED OPERATIONS
 (Dollars in millions, except per unit amounts)

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Revenues:
 
   
   
   
 
Third parties
 
$
6,294.0
   
$
12,319.2
   
$
20,845.6
   
$
37,697.1
 
Related parties
   
13.9
     
11.0
     
27.3
     
63.8
 
Total revenues (see Note 12)
   
6,307.9
     
12,330.2
     
20,872.9
     
37,760.9
 
Costs and expenses:
                               
Operating costs and expenses:
                               
Third parties
   
5,167.9
     
11,198.1
     
17,642.6
     
34,198.9
 
Related parties
   
284.7
     
216.7
     
783.9
     
735.5
 
Total operating costs and expenses
   
5,452.6
     
11,414.8
     
18,426.5
     
34,934.4
 
General and administrative costs:
                               
Third parties
   
20.8
     
18.1
     
57.9
     
60.0
 
Related parties
   
28.2
     
31.9
     
85.3
     
90.9
 
Total general and administrative costs
   
49.0
     
50.0
     
143.2
     
150.9
 
Total costs and expenses (see Note 12)
   
5,501.6
     
11,464.8
     
18,569.7
     
35,085.3
 
Equity in income of unconsolidated affiliates
   
103.1
     
72.3
     
302.5
     
179.1
 
Operating income
   
909.4
     
937.7
     
2,605.7
     
2,854.7
 
Other income (expense):
                               
Interest expense
   
(243.7
)
   
(229.8
)
   
(723.2
)
   
(679.6
)
Change in fair value of Liquidity Option Agreement (see Note 15)
   
(4.3
)
   
--
     
(15.8
)
   
--
 
Other, net
   
1.8
     
(1.0
)
   
2.6
     
(0.2
)
Total other expense, net
   
(246.2
)
   
(230.8
)
   
(736.4
)
   
(679.8
)
Income before income taxes
   
663.2
     
706.9
     
1,869.3
     
2,174.9
 
Provision for income taxes
   
(5.5
)
   
(7.7
)
   
(4.4
)
   
(22.5
)
Net income
   
657.7
     
699.2
     
1,864.9
     
2,152.4
 
Net income attributable to noncontrolling interests (see Note 11)
   
(8.4
)
   
(8.1
)
   
(28.5
)
   
(24.8
)
Net income attributable to limited partners
 
$
649.3
   
$
691.1
   
$
1,836.4
   
$
2,127.6
 
 
                               
Earnings per unit: (see Note 14)
                               
Basic earnings per unit
 
$
0.33
   
$
0.38
   
$
0.94
   
$
1.16
 
Diluted earnings per unit
 
$
0.32
   
$
0.37
   
$
0.92
   
$
1.13
 
















See Notes to Unaudited Condensed Consolidated Financial Statements.

ENTERPRISE PRODUCTS PARTNERS L.P.
UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED
COMPREHENSIVE INCOME
(Dollars in millions)

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
 
 
   
   
   
 
Net income
 
$
657.7
   
$
699.2
   
$
1,864.9
   
$
2,152.4
 
Other comprehensive income (loss):
                               
Cash flow hedges:
                               
Commodity derivative instruments:
                               
Changes in fair value of cash flow hedges
   
85.8
     
58.1
     
112.3
     
16.1
 
Reclassification of losses (gains) to net income
   
(46.8
)
   
(18.0
)
   
(128.1
)
   
12.9
 
Interest rate derivative instruments:
                               
Reclassification of losses to net income
   
8.9
     
8.0
     
26.3
     
23.9
 
Total cash flow hedges
   
47.9
     
48.1
     
10.5
     
52.9
 
Other
   
--
     
--
     
0.4
     
--
 
Total other comprehensive income
   
47.9
     
48.1
     
10.9
     
52.9
 
Comprehensive income
   
705.6
     
747.3
     
1,875.8
     
2,205.3
 
Comprehensive income attributable to noncontrolling interests
   
(8.4
)
   
(8.1
)
   
(28.5
)
   
(24.8
)
Comprehensive income attributable to limited partners
 
$
697.2
   
$
739.2
   
$
1,847.3
   
$
2,180.5
 
 






























See Notes to Unaudited Condensed Consolidated Financial Statements.

ENTERPRISE PRODUCTS PARTNERS L.P.
UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED CASH FLOWS
(Dollars in millions)

 
 
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
 
Operating activities:
 
   
 
Net income
 
$
1,864.9
   
$
2,152.4
 
Reconciliation of net income to net cash flows provided by operating activities:
               
Depreciation, amortization and accretion
   
1,147.7
     
992.4
 
Non-cash asset impairment charges (see Note 4)
   
139.1
     
18.2
 
Equity in income of unconsolidated affiliates
   
(302.5
)
   
(179.1
)
Distributions received from unconsolidated affiliates
   
362.4
     
260.7
 
Net losses (gains) attributable to asset sales and insurance recoveries (see Note 16)
   
14.7
     
(99.0
)
Gains on early extinguishment of debt
   
(1.4
)
   
--
 
Deferred income tax expense (benefit)
   
(13.3
)
   
2.6
 
Changes in fair value of Liquidity Option Agreement
   
15.8
     
--
 
Changes in fair market value of derivative instruments
   
(7.7
)
   
(3.8
)
Net effect of changes in operating accounts (see Note 16)
   
(627.9
)
   
(435.8
)
Other operating activities
   
(0.6
)
   
(4.2
)
Net cash flows provided by operating activities
   
2,591.2
     
2,704.4
 
Investing activities:
               
Capital expenditures
   
(2,630.5
)
   
(1,879.5
)
Contributions in aid of construction costs
   
11.4
     
20.0
 
Decrease (increase) in restricted cash
   
(46.2
)
   
59.0
 
Cash used for business combinations, net of cash received (see Note 8)
   
(1,045.1
)
   
--
 
Investments in unconsolidated affiliates
   
(130.7
)
   
(583.3
)
Proceeds from asset sales and insurance recoveries (see Note 16)
   
1,537.3
     
121.5
 
Other investing activities
   
(4.4
)
   
(5.8
)
Cash used in investing activities
   
(2,308.2
)
   
(2,268.1
)
Financing activities:
               
Borrowings under debt agreements
   
17,113.7
     
7,167.5
 
Repayments of debt
   
(16,139.2
)
   
(4,856.3
)
Debt issuance costs
   
(23.9
)
   
(18.1
)
Cash distributions paid to limited partners (see Note 11)
   
(2,185.1
)
   
(1,948.2
)
Cash payments made in connection with distribution equivalent rights
   
(5.6
)
   
(2.4
)
Cash distributions paid to noncontrolling interests
   
(33.2
)
   
(29.4
)
Cash contributions from noncontrolling interests
   
37.4
     
4.0
 
Net cash proceeds from the issuance of common units
   
1,011.4
     
304.9
 
Other financing activities
   
(52.4
)
   
(53.6
)
Cash provided by (used in) financing activities
   
(276.9
)
   
568.4
 
Net change in cash and cash equivalents
   
6.1
     
1,004.7
 
Cash and cash equivalents, January 1
   
74.4
     
56.9
 
Cash and cash equivalents, September 30
 
$
80.5
   
$
1,061.6
 












See Notes to Unaudited Condensed Consolidated Financial Statements.

ENTERPRISE PRODUCTS PARTNERS L.P.
UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED EQUITY
(See Note 11 for Unit History, Accumulated Other Comprehensive
Income (Loss) and Noncontrolling Interests)
(Dollars in millions)

 
 
Partners’ Equity
   
   
 
 
 
Limited
Partners
   
Accumulated
Other
Comprehensive
Income (Loss)
   
Noncontrolling
Interests
   
Total
 
Balance, December 31, 2014
 
$
18,304.8
   
$
(241.6
)
 
$
1,629.0
   
$
19,692.2
 
Net income
   
1,836.4
     
--
     
28.5
     
1,864.9
 
Cash distributions paid to limited partners
   
(2,185.1
)
   
--
     
--
     
(2,185.1
)
Cash payments made in connection with distribution equivalent rights
   
(5.6
)
   
--
     
--
     
(5.6
)
Cash distributions paid to noncontrolling interests
   
--
     
--
     
(33.2
)
   
(33.2
)
Cash contributions from noncontrolling interests
   
--
     
--
     
37.4
     
37.4
 
Common units issued in connection with Step 2 of Oiltanking acquisition
   
1,408.7
     
--
     
(1,408.7
)
   
--
 
Transfer of noncontrolling interests in connection with sale of Offshore Business
   
--
     
--
     
(62.1
)
   
(62.1
)
Net cash proceeds from the issuance of common units
   
1,011.4
     
--
     
--
     
1,011.4
 
Amortization of fair value of equity-based awards
   
72.9
     
--
     
--
     
72.9
 
Cash flow hedges
   
--
     
10.5
     
--
     
10.5
 
Other
   
(50.7
)
   
0.4
     
(0.1
)
   
(50.4
)
Balance, September 30, 2015
 
$
20,392.8
   
$
(230.7
)
 
$
190.8
   
$
20,352.9
 

 
 
Partners’ Equity
   
   
 
 
 
Limited
Partners
   
Accumulated
Other
Comprehensive
Income (Loss)
   
Noncontrolling
Interests
   
Total
 
Balance, December 31, 2013
 
$
15,573.8
   
$
(359.0
)
 
$
225.6
   
$
15,440.4
 
Net income
   
2,127.6
     
--
     
24.8
     
2,152.4
 
Cash distributions paid to limited partners
   
(1,948.2
)
   
--
     
--
     
(1,948.2
)
Cash payments made in connection with distribution equivalent rights
   
(2.4
)
   
--
     
--
     
(2.4
)
Cash distributions paid to noncontrolling interests
   
--
     
--
     
(29.4
)
   
(29.4
)
Cash contributions from noncontrolling interests
   
--
     
--
     
4.0
     
4.0
 
Net cash proceeds from the issuance of common units
   
304.9
     
--
     
--
     
304.9
 
Amortization of fair value of equity-based awards
   
61.6
     
--
     
--
     
61.6
 
Cash flow hedges
   
--
     
52.9
     
--
     
52.9
 
Other
   
(53.7
)
   
--
     
(0.6
)
   
(54.3
)
Balance, September 30, 2014
 
$
16,063.6
   
$
(306.1
)
 
$
224.4
   
$
15,981.9
 



















See Notes to Unaudited Condensed Consolidated Financial Statements.
6

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
With the exception of per unit amounts, or as noted within the context of each disclosure,
the dollar amounts presented in the tabular data within these disclosures are
stated in millions of dollars.

KEY REFERENCES USED IN THESE
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Unless the context requires otherwise, references to “we,” “us,” “our,” “Enterprise” or “Enterprise Products Partners” are intended to mean the business and operations of Enterprise Products Partners L.P. and its consolidated subsidiaries.  References to “EPO” mean Enterprise Products Operating LLC, which is a wholly owned subsidiary of Enterprise, and its consolidated subsidiaries, through which Enterprise Products Partners L.P. conducts its business.  Enterprise is managed by its general partner, Enterprise Products Holdings LLC (“Enterprise GP”), which is a wholly owned subsidiary of Dan Duncan LLC, a privately held Texas limited liability company.

The membership interests of Dan Duncan LLC are owned by a voting trust, the current trustees (“DD LLC Trustees”) of which are: (i) Randa Duncan Williams, who is also a director and Chairman of the Board of Enterprise GP; (ii) Dr. Ralph S. Cunningham; and (iii) Richard H. Bachmann.  Each of the DD LLC Trustees also currently serves as one of the three managers of Dan Duncan LLC.

References to “EPCO” mean Enterprise Products Company, a privately held Texas corporation, and its privately held affiliates.  A majority of the outstanding voting capital stock of EPCO is owned by a voting trust, the current trustees (“EPCO Trustees”) of which are:  (i) Ms. Williams, who serves as Chairman of EPCO; (ii) Dr. Cunningham, who serves as a Vice Chairman of EPCO; and (iii) Mr. Bachmann, who serves as the President and Chief Executive Officer (“CEO”) of EPCO.  Each of the EPCO Trustees is also a director of EPCO.
  
In addition to owning our general partner, EPCO and its privately held affiliates owned approximately 33.7% of our limited partner interests at September 30, 2015.

References to “Oiltanking” and “Oiltanking GP” mean Oiltanking Partners, L.P. and OTLP GP, LLC, the general partner of Oiltanking, respectively.  In October 2014, we acquired approximately 65.9% of the limited partner interests of Oiltanking, all of the member interests of Oiltanking GP and the incentive distribution rights (“IDRs”) held by Oiltanking GP from Oiltanking Holding Americas, Inc. (“OTA”) as the first step of a two-step acquisition of Oiltanking.  In February 2015, we completed the second step of this acquisition.  See Note 11 for additional information regarding this acquisition.

References to “TEPPCO” mean TEPPCO Partners, L.P. prior to its merger with one of our wholly owned subsidiaries in October 2009.

References to “Offshore Business” refer to the Gulf of Mexico operations we sold to Genesis Energy, L.P. (“Genesis”) in July 2015.  See Note 6 for information regarding this sale.

References to “EFS Midstream” mean EFS Midstream LLC, which we acquired in July 2015 from affiliates of Pioneer Natural Resources Company (“Pioneer”) and Reliance Industries Limited (“Reliance”).  See Note 8 for additional information regarding this acquisition.


Note 1.  Partnership Operations, Organization and Basis of Presentation

General
We are a publicly traded Delaware limited partnership, the common units of which are listed on the New York Stock Exchange (“NYSE”) under the ticker symbol “EPD.”  We were formed in April 1998 to own and operate certain natural gas liquids (“NGLs”) related businesses of EPCO and are now a leading North American provider of midstream energy services to producers and consumers of natural gas, NGLs, crude oil, petrochemicals and refined products. 
7

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Our integrated midstream energy asset network links producers of natural gas, NGLs and crude oil from some of the largest supply basins in the United States (“U.S.”), Canada and the Gulf of Mexico with domestic consumers and international markets.  Our midstream energy operations currently include: natural gas gathering, treating, processing, transportation and storage; NGL transportation, fractionation, storage, and import and export terminals (including liquefied petroleum gas or “LPG”); crude oil gathering, transportation, storage and terminals;  petrochemical and refined products transportation, storage and terminals, and related services; and a marine transportation business that operates primarily on the U.S. inland and Intracoastal Waterway systems and in the Gulf of Mexico.  Our assets currently include approximately 49,000 miles of pipelines; 225 million barrels (“MMBbls”) of storage capacity for NGLs, crude oil, petrochemicals and refined products; and 14 billion cubic feet (“Bcf”) of natural gas storage capacity.  

Our historical operations are reported under five business segments: (i) NGL Pipelines & Services, (ii) Crude Oil Pipelines & Services, (iii) Natural Gas Pipelines & Services, (iv) Petrochemical & Refined Products Services and (v) Offshore Pipelines & Services.

On July 24, 2015, we completed the sale of our Offshore Business to Genesis.  As a result of this sale, we renamed our Onshore Crude Oil Pipelines & Services business segment “Crude Oil Pipelines & Services.”  In addition, we renamed our Onshore Natural Gas Pipelines & Services business segment “Natural Gas Pipelines & Services.”  The operations reported within these two onshore segments did not change due to these name changes.  Our consolidated financial statements reflect ownership of the Offshore Business through July 24, 2015. See Note 12 for additional information regarding our business segments.

As a result of our acquisition of the member interests of EFS Midstream effective July 1, 2015, we began consolidating the financial statements of EFS Midstream as of that date.  See Note 8 for information regarding this acquisition.

We conduct substantially all of our business through EPO and are owned 100% by our limited partners from an economic perspective.  Enterprise GP manages our partnership and owns a non-economic general partner interest in us.  We, Enterprise GP, EPCO and Dan Duncan LLC are affiliates under the collective common control of the DD LLC Trustees and the EPCO Trustees.  Like many publicly traded partnerships, we have no employees.  All of our management, administrative and operating functions are performed by employees of EPCO pursuant to an administrative services agreement (the “ASA”) or by other service providers. See Note 13 for information regarding the ASA and other related party matters.


Note 2.  General Accounting and Disclosure Matters

Our results of operations for the three and nine months ended September 30, 2015 are not necessarily indicative of results expected for the full year of 2015.  In our opinion, the accompanying Unaudited Condensed Consolidated Financial Statements include all adjustments consisting of normal recurring accruals necessary for fair presentation.  Although we believe the disclosures in these financial statements are adequate and make the information presented not misleading, certain information and footnote disclosures normally included in annual financial statements prepared in accordance with U.S. generally accepted accounting principles (“GAAP”) have been condensed or omitted pursuant to the rules and regulations of the U.S. Securities and Exchange Commission (“SEC”).

These Unaudited Condensed Consolidated Financial Statements and Notes thereto should be read in conjunction with the Audited Consolidated Financial Statements and Notes thereto included in our annual report on Form 10-K for the year ended December 31, 2014 (the “2014 Form 10-K”) filed with the SEC on March 2, 2015.
8

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Contingencies
Certain conditions may exist as of the date our consolidated financial statements are issued, which may result in a loss to us but which will only be resolved when one or more future events occur or fail to occur.  Management has regular quarterly litigation reviews, including updates from legal counsel, to assess the need for accounting recognition or disclosure of these contingencies, and such assessment inherently involves an exercise in judgment.  In assessing loss contingencies related to legal proceedings that are pending against us or unasserted claims that may result in such proceedings, our management and legal counsel evaluate the perceived merits of any legal proceedings or unasserted claims as well as the perceived merits of the amount of relief sought or expected to be sought therein.

We accrue an undiscounted liability for those contingencies where the incurrence of a loss is probable and the amount can be reasonably estimated.  If a range of amounts can be reasonably estimated and no amount within the range is a better estimate than any other amount, then the minimum of the range is accrued.  We do not record a contingent liability when the likelihood of loss is probable but the amount cannot be reasonably estimated or when the likelihood of loss is believed to be only reasonably possible or remote.  For contingencies where an unfavorable outcome is reasonably possible and the impact would be material to our consolidated financial statements, we disclose the nature of the contingency and, where feasible, an estimate of the possible loss or range of loss.

Loss contingencies considered remote are generally not disclosed unless they involve guarantees, in which case the guarantees would be disclosed.  See Note 15 for additional information regarding our contingencies.

Derivative Instruments
We use derivative instruments such as futures, swaps, options, forward contracts and other arrangements to manage price risks associated with inventories, firm commitments, interest rates and certain anticipated future commodity transactions.  To qualify for hedge accounting, the hedged item must expose us to risk and the related derivative instrument must reduce the exposure to that risk and meet specific hedge documentation requirements related to designation dates, expectations for hedge effectiveness and the probability that hedged future transactions will occur as forecasted.  We formally designate derivative instruments as hedges and document and assess their effectiveness at inception of the hedge and on a monthly basis thereafter.  Forecasted transactions are evaluated for the probability of occurrence and are periodically back-tested once the forecasted period has passed to determine whether similarly forecasted transactions are probable of occurring in the future.

For certain physical forward commodity derivative contracts, we apply the normal purchase/normal sale exception, whereby changes in the mark-to-market values of such contracts are not recognized in income.  As a result, the revenues and expenses associated with such physical transactions are recognized during the period when volumes are physically delivered or received.  Physical forward commodity contracts subject to this exception are evaluated for the probability of future delivery and are periodically back-tested once the forecasted period has passed to determine whether similar forward contracts are probable of physical delivery in the future.  See Note 4 for additional information regarding our derivative instruments.

Estimates
Preparing our consolidated financial statements in conformity with U.S. GAAP requires us to make estimates that affect amounts presented in the financial statements.  Our most significant estimates relate to (i) the useful lives and depreciation/amortization methods used for fixed and identifiable intangible assets; (ii) measurement of fair value and projections used in impairment testing of fixed and intangible assets (including goodwill); (iii) contingencies; and (iv) revenue and expense accruals.

Actual results could differ materially from our estimates.  On an ongoing basis, we review our estimates based on currently available information.  Any changes in the facts and circumstances underlying our estimates may require us to update such estimates, which could have a material impact on our consolidated financial statements.

Income Taxes
Provision for income taxes primarily reflects our state tax obligations under the Revised Texas Franchise Tax (the “Texas Margin Tax”).
9

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Restricted Cash
Restricted cash represents amounts held in segregated bank accounts by our clearing brokers as margin in support of our commodity derivative instruments portfolio and related physical purchases and sales of natural gas, NGLs, crude oil and refined products.  Additional cash may be restricted to maintain our commodity derivative instruments portfolio as prices fluctuate or deposit requirements change.  At September 30, 2015, our restricted cash amounts were $46.2 million.  We did not have any restricted cash as of December 31, 2014.  See Note 4 for information regarding our derivative instruments and hedging activities.


Note 3.  Equity-based Awards

An allocated portion of the fair value of EPCO’s equity-based awards is charged to us under the ASA.  The following table summarizes compensation expense we recognized in connection with equity-based awards for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Equity-classified awards:
               
Restricted common unit awards
 
$
3.1
   
$
8.7
   
$
13.1
   
$
29.3
 
Phantom unit awards
   
20.3
     
12.9
     
60.2
     
32.3
 
Liability-classified awards
   
--
     
0.1
     
0.2
     
0.4
 
Total
 
$
23.4
   
$
21.7
   
$
73.5
   
$
62.0
 

The fair value of equity-classified awards is amortized into earnings over the requisite service or vesting period.  Equity-classified awards are expected to result in the issuance of common units upon vesting.  Compensation expense for liability-classified awards is recognized over the requisite service or vesting period based on the fair value of the award remeasured at each reporting date.  Liability-classified awards are settled in cash upon vesting.

At September 30, 2015, EPCO’s significant long-term incentive plans applicable to us were the Enterprise Products 1998 Long-Term Incentive Plan (“1998 Plan”) and the 2008 Enterprise Products Long-Term Incentive Plan (Third Amendment and Restatement) (“2008 Plan”).  Up to 14,000,000 of our common units may be issued as awards under the 1998 Plan.  The maximum number of common units available for issuance under the 2008 Plan was 30,000,000 at September 30, 2015.  This amount will automatically increase under the terms of the 2008 Plan by 5,000,000 common units on January 1, 2016 and will continue to automatically increase annually on January 1 thereafter during the term of the 2008 Plan; provided, however, that in no event shall the maximum aggregate number exceed 70,000,000 common units.  After giving effect to awards granted under the 1998 Plan and 2008 Plan through September 30, 2015, a total of 3,040,506 and 16,277,823 additional common units were available for issuance under these plans, respectively.

Restricted Common Unit Awards
Restricted common unit awards allow recipients to acquire our common units (at no cost to the recipient apart from fulfilling service and other conditions) once a defined vesting period expires, subject to customary forfeiture provisions.  Restricted common unit awards generally vest at a rate of 25% per year beginning one year after the grant date and are non-vested until the required service periods expire.  Restricted common units are included in the number of common units outstanding as presented on our Unaudited Condensed Consolidated Balance Sheets.

The fair value of a restricted common unit award is based on the market price per unit of our common units on the date of grant.  Compensation expense is recognized based on the grant date fair value, net of an allowance for estimated forfeitures, over the requisite service or vesting period.

10

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

The following table presents information regarding restricted common unit awards for the period indicated:

 
 
Number of
Units
   
Weighted-
Average Grant
Date Fair Value
per Unit (1)
 
Restricted common units at December 31, 2014
   
4,229,790
   
$
26.96
 
Vested
   
(1,997,194
)
 
$
25.99
 
Forfeited
   
(157,750
)
 
$
27.64
 
Restricted common units at September 30, 2015
   
2,074,846
   
$
27.85
 
    
(1)    Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
 

Each recipient of a restricted common unit award is entitled to nonforfeitable cash distributions equal to the product of the number of restricted common units outstanding for the participant and the cash distribution per unit paid to our common unitholders.  These distributions are included in “Cash distributions paid to limited partners” as presented on our Unaudited Condensed Statements of Consolidated Cash Flows.

The following table presents supplemental information regarding our restricted common unit awards for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Cash distributions paid to restricted common unitholders
 
$
0.8
   
$
1.6
   
$
3.2
   
$
5.7
 
Total intrinsic value of restricted common unit awards that vested during period
   
1.5
     
1.3
     
66.9
     
85.4
 

For the EPCO group of companies, the unrecognized compensation cost associated with restricted common unit awards was an aggregate $11.5 million at September 30, 2015, of which our share of the cost is currently estimated to be $9.6 million.  Due to the graded vesting provisions of these awards, we expect to recognize our share of the unrecognized compensation cost for these awards over a weighted-average period of 1.1 years.

Phantom Unit Awards
Phantom unit awards allow recipients to acquire our common units (at no cost to the recipient apart from fulfilling service and other conditions) once a defined vesting period expires, subject to customary forfeiture provisions.  Phantom unit awards generally vest at a rate of 25% per year beginning one year after the grant date and are non-vested until the required service periods expire.

At September 30, 2015, substantially all of our phantom unit awards are expected to result in the issuance of common units upon vesting; therefore, the applicable awards are accounted for as equity-classified awards.  The grant date fair value of a phantom unit award is based on the market price per unit of our common units on the date of grant.  Compensation expense is recognized based on the grant date fair value, net of an allowance for estimated forfeitures, over the requisite service or vesting period.

The following table presents phantom unit award activity for the period indicated:

 
 
Number of
Units
   
Weighted-
Average Grant
Date Fair Value
per Unit (1)
 
Phantom unit awards at December 31, 2014
   
3,342,390
   
$
33.13
 
Granted (2)
   
3,491,040
   
$
33.97
 
Vested
   
(933,890
)
 
$
33.13
 
Forfeited
   
(275,356
)
 
$
33.51
 
Phantom unit awards at September 30, 2015
   
5,624,184
   
$
33.63
 
  
 
(1)    Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
 
(2)    The aggregate grant date fair value of phantom unit awards issued during 2015 was $118.6 million based on a grant date market price of our common units ranging from $27.31 to $34.40 per unit. An estimated annual forfeiture rate of 3.5% was applied to these awards.
 

11

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
Our long-term incentive plans provide for the issuance of distribution equivalent rights (“DERs”) in connection with phantom unit awards.  A DER entitles the participant to nonforfeitable cash payments equal to the product of the number of phantom unit awards outstanding for the participant and the cash distribution per common unit paid to our common unitholders.  Cash payments made in connection with DERs are charged to partners’ equity when the phantom unit award is expected to result in the issuance of common units; otherwise, such amounts are expensed.

The following table presents supplemental information regarding our phantom unit awards and DERs for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Cash payments made in connection with DERs
 
$
2.2
   
$
1.2
   
$
5.6
   
$
2.4
 
Total intrinsic value of phantom unit awards that vested during period
   
2.3
     
0.1
     
31.0
     
1.3
 

For the EPCO group of companies, the unrecognized compensation cost associated with phantom unit awards was $100.4 million at September 30, 2015, of which our share of the cost is currently estimated to be $91.7 million.  Due to the graded vesting provisions of these awards, we expect to recognize our share of the unrecognized compensation cost for these awards over a weighted-average period of 2.0 years.

Unit Option Awards
EPCO’s long-term incentive plans provide for the issuance of non-qualified incentive options denominated in our common units.  In general, unit option awards have a vesting period of four years from the date of grant and expire at the end of the calendar year following the year of vesting (e.g., an option vesting on May 29, 2014 will expire on December 31, 2015).  However, unit option awards only become exercisable at certain times during the calendar year following the year in which they vest (typically the months of February, May, August and November).

The following table presents unit option award activity for the period indicated:

 
 
Number of
Units (1)
   
Weighted-
Average
Strike Price
(dollars/unit)
   
Weighted-
Average
Remaining
Contractual
Term
(in years)
   
Aggregate
Intrinsic
Value (2)
 
Unit option awards at December 31, 2014
   
1,270,000
   
$
16.14
         
Exercised
   
(1,080,000
)
 
$
16.14
   
   
 
Unit option awards at September 30, 2015
   
190,000
   
$
16.14
     
0.3
   
$
1.7
 
  
 
(1)    All of the unit option awards outstanding at September 30, 2015 were exercisable. None of the unit option awards outstanding at December 31, 2014 were exercisable.
(2)   Aggregate intrinsic value reflects fully vested unit option awards at the dates indicated.
 

In order to fund its unit option award-related obligations, EPCO may purchase common units at fair value either in the open market or directly from us.  When employees exercise unit option awards, we reimburse EPCO for the cash difference between the strike price paid by the employee and the actual purchase price paid by EPCO for the units issued to the employee.

The following table presents supplemental information regarding unit option awards during the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Total intrinsic value of unit option awards exercised during period
 
$
0.2
   
$
--
   
$
19.8
   
$
57.5
 
Cash received from EPCO in connection with the exercise of unit option awards
   
0.2
     
--
     
11.5
     
33.4
 
Unit option award-related cash reimbursements to EPCO
   
0.2
     
--
     
19.8
     
57.5
 

As of September 30, 2015, all compensation expense related to unit option awards had been recognized.
12

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
Note 4.  Derivative Instruments, Hedging Activities and Fair Value Measurements

In the normal course of our business operations, we are exposed to certain risks, including changes in interest rates and commodity prices.  In order to manage risks associated with assets, liabilities and certain anticipated future transactions, we use derivative instruments such as futures, forward contracts, swaps, options and other instruments with similar characteristics.  Substantially all of our derivatives are used for non-trading activities.

Interest Rate Hedging Activities
We may utilize interest rate swaps, forward starting swaps and similar derivative instruments to manage our exposure to changes in interest rates charged on borrowings under certain consolidated debt agreements.  This strategy may be used in controlling our overall cost of capital associated with such borrowings.  At December 31, 2014, we did not have any interest rate hedging derivative instruments outstanding.  The following table summarizes our portfolio of interest rate swaps at September 30, 2015:

Hedged Transaction
Number and Type
of Derivatives
Outstanding
 
Notional
Amount
 
Period of
Hedge
Rate
Swap
Accounting
Treatment
Senior Notes OO
10 fixed-to-floating swaps
 
$
750.0
 
5/2015 to 5/2018
1.65% to 0.79%
Fair value hedge

Interest rate swaps exchange the stated interest rate paid on a notional amount of existing debt for the fixed or floating interest rate stipulated in the derivative instrument.
13

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Commodity Hedging Activities
The prices of natural gas, NGLs, crude oil, petrochemicals and refined products are subject to fluctuations in response to changes in supply and demand, market conditions and a variety of additional factors that are beyond our control.  In order to manage such price risks, we enter into commodity derivative instruments such as physical forward contracts, futures contracts, fixed-for-float swaps, basis swaps and option contracts.  The following table summarizes our portfolio of commodity derivative instruments outstanding at September 30, 2015 (volume measures as noted):

 
Volume (1)
Accounting
Derivative Purpose
Current (2)
Long-Term (2)
Treatment
Derivatives designated as hedging instruments:
     
Natural gas processing:
     
Forecasted natural gas purchases for plant thermal reduction (Bcf)
4.9
n/a
Cash flow hedge
Forecasted sales of NGLs (MMBbls) (3)
1.1
n/a
Cash flow hedge
Octane enhancement:
     
Forecasted purchases of NGLs (MMBbls)
0.1
n/a
Cash flow hedge
Forecasted sales of octane enhancement products (MMBbls)
0.5
n/a
Cash flow hedge
Natural gas marketing:
     
Forecasted purchases of natural gas for fuel (Bcf)
6.4
n/a
Cash flow hedge
Forecasted sales of natural gas (Bcf)
0.1
n/a
Cash flow hedge
Natural gas storage inventory management activities (Bcf)
10.2
n/a
Fair value hedge
NGL marketing:
     
Forecasted purchases of NGLs and related hydrocarbon products (MMBbls)
34.6
0.5
Cash flow hedge
Forecasted sales of NGLs and related hydrocarbon products (MMBbls)
49.8
n/a
Cash flow hedge
Refined products marketing:
 
   
Forecasted purchases of refined products (MMBbls)
0.4
n/a
Cash flow hedge
Forecasted sales of refined products (MMBbls)
0.7
n/a
Cash flow hedge
Refined products inventory management activities (MMBbls)
0.2
n/a
Fair value hedge
Crude oil marketing:
   
 
Forecasted purchases of crude oil (MMBbls)
9.0
1.6
Cash flow hedge
Forecasted sales of crude oil (MMBbls)
11.9
1.6
Cash flow hedge
Derivatives not designated as hedging instruments:
     
Natural gas risk management activities (Bcf) (4,5)
65.9
9.6
Mark-to-market
NGL risk management activities (MMBbls) (5)
14.9
n/a
Mark-to-market
Crude oil risk management activities (MMBbls) (5)
5.8
0.4
Mark-to-market
 
(1)    Volume for derivatives designated as hedging instruments reflects the total amount of volumes hedged whereas volume for derivatives not designated as hedging instruments reflects the absolute value of derivative notional volumes.
(2)    The maximum term for derivatives designated as cash flow hedges, derivatives designated as fair value hedges and derivatives not designated as hedging instruments is December 2017, April 2016 and March 2018, respectively.
(3)    Forecasted sales of NGL volumes under natural gas processing exclude 0.7 MMBbls of additional hedges executed under contracts that have been designated as normal sales agreements.
(4)    Current and long-term volumes include 38.7 Bcf and 0.9 Bcf, respectively, of physical derivative instruments that are predominantly priced at a marked-based index plus a premium or minus a discount related to location differences.
(5)    Reflects the use of derivative instruments to manage risks associated with transportation, processing and storage assets.

At September 30, 2015, our predominant commodity hedging strategies consisted of (i) hedging anticipated future purchases and sales of commodity products associated with transportation, storage and blending activities, (ii) hedging natural gas processing margins and (iii) hedging the fair value of commodity products held in inventory.  

§
The objective of our anticipated future commodity purchases and sales hedging program is to hedge the margins of certain transportation, storage, blending and operational activities by locking in purchase and sale prices through the use of forward contracts and derivative instruments.

§
The objective of our natural gas processing hedging program is to hedge an amount of gross margin associated with these activities. We achieve this objective by executing forward fixed-price sales of a portion of our expected equity NGL production using forward contracts and commodity derivative instruments.  For certain natural gas processing contracts, the hedging of expected equity NGL production also involves the purchase of natural gas for plant thermal reduction, which is hedged by executing forward fixed-price purchases using forward contracts and derivative instruments.
 
14

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
§
The objective of our inventory hedging program is to hedge the fair value of commodity products currently held in inventory by locking in the sales price of the inventory through the use of forward contracts and derivative instruments.
 
Tabular Presentation of Fair Value Amounts, and Gains and Losses on
Derivative Instruments and Related Hedged Items

The following table provides a balance sheet overview of our derivative assets and liabilities at the dates indicated:

 
Asset Derivatives
 
Liability Derivatives
 
 
September 30, 2015
 
December 31, 2014
 
September 30, 2015
 
December 31, 2014
 
   Balance
Sheet
Location
   
Fair
Value
 
Balance
Sheet
Location
   
Fair
Value 
  Balance
Sheet
Location
   
Fair
Value 
  Balance
Sheet
Location
 
 
Fair
Value 
 
Derivatives designated as hedging instruments  
                               
Interest rate derivatives
Current assets
 
$
7.4
 
Current assets
 
$
--
 
Other current
liabilities
 
$
--
 
Other current
liabilities
 
$
--
 
Interest rate derivatives
Other assets
   
0.2
 
Other assets
   
--
 
Other liabilities
   
--
 
Other liabilities
   
--
 
Total interest rate derivatives
     
7.6
       
--
       
--
       
--
 
Commodity derivatives
Current assets
   
216.9
 
Current assets
   
217.9
 
Other current
liabilities
   
178.5
 
Other current
liabilities
   
145.3
 
Commodity derivatives
Other assets
   
8.3
 
Other assets
   
--
 
Other liabilities
   
8.2
 
Other liabilities
   
--
 
Total commodity derivatives
 
   
225.2
 
 
   
217.9
 
 
   
186.7
 
 
   
145.3
 
Total derivatives designated as hedging instruments
   
$
232.8
     
$
217.9
     
$
186.7
     
$
145.3
 
 
 
       
 
       
 
       
 
       
Derivatives not designated as hedging instruments
 
Commodity derivatives
Current assets
 
$
17.5
 
Current assets
 
$
8.1
 
Other current
liabilities
 
$
9.4
 
Other current
liabilities
 
$
0.7
 
Commodity derivatives
Other assets
   
0.1
 
Other assets
   
0.6
 
Other liabilities
   
1.0
 
Other liabilities
   
1.4
 
Total commodity derivatives
 
 
$
17.6
 
 
 
$
8.7
 
 
 
$
10.4
 
 
 
$
2.1
 

Certain of our commodity derivative instruments are subject to master netting arrangements or similar agreements.  The following tables present our derivative instruments subject to such arrangements at the dates indicated:

 
Offsetting of Financial Assets and Derivative Assets
 
 
Gross
Amounts of
Recognized
Assets
 
Gross
Amounts
Offset in the
Balance Sheet
 
Amounts
of Assets
Presented
in the
Balance Sheet
 
Gross Amounts Not Offset
in the Balance Sheet
 
Amounts That
Would Have
Been Presented
On Net Basis
 
Financial
Instruments
   
Cash
Collateral
Received
   
Cash
Collateral
Paid
 
 
(i)
 
(ii)
 
(iii) = (i) – (ii)
 
(iv)
 
(v) = (iii) + (iv)
 
As of September 30, 2015:
                           
Interest rate derivatives
 
$
7.6
   
$
--
   
$
7.6
   
$
--
   
$
--
   
$
--
   
$
7.6
 
Commodity derivatives
   
242.8
     
--
     
242.8
     
(180.3
)
   
(38.2
)
   
(9.6
)
   
14.7
 
As of December 31, 2014:
                                                       
Commodity derivatives
 
$
226.6
   
$
--
   
$
226.6
   
$
(147.3
)
 
$
(23.9
)
 
$
--
   
$
55.4
 

 
Offsetting of Financial Liabilities and Derivative Liabilities
 
 
Gross
Amounts of
Recognized
Liabilities
 
Gross
Amounts
Offset in the
Balance Sheet
 
Amounts
of Liabilities
Presented
in the
Balance Sheet
 
Gross Amounts Not Offset
in the Balance Sheet
 
Amounts That
Would Have
Been Presented
On Net Basis
 
Financial
Instruments
 
Cash
Collateral
Paid
 
 
(i)
 
(ii)
 
(iii) = (i) – (ii)
 
(iv)
 
(v) = (iii) + (iv)
 
As of September 30, 2015:
                       
Commodity derivatives
 
$
197.1
   
$
--
   
$
197.1
   
$
(180.3
)
 
$
--
   
$
16.8
 
As of December 31, 2014:
                                               
Commodity derivatives
 
$
147.4
   
$
--
   
$
147.4
   
$
(147.3
)
 
$
--
   
$
0.1
 

15

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
Derivative assets and liabilities recorded on our Unaudited Condensed Consolidated Balance Sheets are presented on a gross-basis and determined at the individual transaction level.  The tabular presentation above provides a means for comparing the gross amount of derivative assets and liabilities, excluding associated accounts payable and receivable, to the net amount that would likely be receivable or payable under a default scenario based on the existence of rights of offset in the respective derivative agreements.  Any cash collateral paid or received is reflected in these tables, but only to the extent that it represents variation margins.  Any amounts associated with derivative prepayments or initial margins that are not influenced by the derivative asset or liability amounts or those that are determined solely on their volumetric notional amounts are excluded from these tables.

The following tables present the effect of our derivative instruments designated as fair value hedges on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:

Derivatives in Fair Value
Hedging Relationships
 
Location
 
Gain (Loss) Recognized in
Income on Derivative
 
 
  
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
 
2015
   
2014
   
2015
   
2014
 
Interest rate derivatives
Interest expense
 
$
5.9
   
$
(4.1
)
 
$
5.1
   
$
(9.5
)
Commodity derivatives
Revenue
   
3.6
     
(0.3
)
   
4.0
     
0.6
 
Total
 
 
$
9.5
   
$
(4.4
)
 
$
9.1
   
$
(8.9
)

Derivatives in Fair Value
Hedging Relationships
 
Location
 
Gain (Loss) Recognized in
Income on Hedged Item
 
 
  
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
 
2015
   
2014
   
2015
   
2014
 
Interest rate derivatives
Interest expense
 
$
(5.7
)
 
$
3.9
   
$
(5.2
)
 
$
9.3
 
Commodity derivatives
Revenue
   
(2.5
)
   
1.0
     
7.4
     
(1.4
)
Total
 
 
$
(8.2
)
 
$
4.9
   
$
2.2
   
$
7.9
 

With respect to our derivative instruments designated as fair value hedges, amounts attributable to ineffectiveness and those excluded from the assessment of hedge effectiveness were not material to our consolidated financial statements during the periods presented.

The following tables present the effect of our derivative instruments designated as cash flow hedges on our Unaudited Condensed Statements of Consolidated Operations and Unaudited Condensed Statements of Consolidated Comprehensive Income for the periods indicated:

Derivatives in Cash Flow
Hedging Relationships
 
Change in Value Recognized in
Other Comprehensive Income (Loss)
on Derivative (Effective Portion)
 
 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Commodity derivatives – Revenue (1)
 
$
87.4
   
$
58.8
   
$
113.9
   
$
15.2
 
Commodity derivatives – Operating costs and expenses (1)
   
(1.6
)
   
(0.7
)
   
(1.6
)
   
0.9
 
Total
 
$
85.8
   
$
58.1
   
$
112.3
   
$
16.1
 
 
(1)     The fair value of these derivative instruments will be reclassified to their respective locations on the Unaudited Condensed Statement of Consolidated Operations upon settlement of the underlying derivative transactions, as appropriate.
 
16

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Derivatives in Cash Flow
Hedging Relationships
Location
 
Gain (Loss) Reclassified from
Accumulated Other Comprehensive Income (Loss)
to Income (Effective Portion)
 
 
  
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
 
2015
   
2014
   
2015
   
2014
 
Interest rate derivatives
Interest expense
 
$
(8.9
)
 
$
(8.0
)
 
$
(26.3
)
 
$
(23.9
)
Commodity derivatives
Revenue
   
46.8
     
17.8
     
128.6
     
(14.5
)
Commodity derivatives
Operating costs and expenses
   
--
     
0.2
     
(0.5
)
   
1.6
 
Total
 
 
$
37.9
   
$
10.0
   
$
101.8
   
$
(36.8
)

Derivatives in Cash Flow
Hedging Relationships
Location
 
Gain (Loss) Recognized in Income
on Derivative (Ineffective Portion)
 
 
  
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
 
2015
   
2014
   
2015
   
2014
 
Commodity derivatives
Revenue
 
$
(3.5
)
 
$
0.1
   
$
(3.1
)
 
$
--
 
Commodity derivatives
Operating costs and expenses
   
--
     
(0.1
)
   
--
     
--
 
Total
 
 
$
(3.5
)
 
$
--
   
$
(3.1
)
 
$
--
 

Over the next twelve months, we expect to reclassify $36.8 million of losses attributable to interest rate derivative instruments from accumulated other comprehensive loss to earnings as an increase in interest expense.  Likewise, we expect to reclassify $54.1 million of net gains attributable to commodity derivative instruments from accumulated other comprehensive income to earnings, $55.7 million as an increase in revenue and $1.6 million as an increase in operating costs and expenses.

The following table presents the effect of our derivative instruments not designated as hedging instruments on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:

Derivatives Not Designated
as Hedging Instruments
Location
 
Gain (Loss) Recognized in
Income on Derivative
 
 
  
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
 
2015
   
2014
   
2015
   
2014
 
Interest rate derivatives
Interest expense
 
$
--
   
$
--
   
$
--
   
$
(0.1
)
Commodity derivatives
Revenue
   
--
     
0.8
     
3.9
     
(26.8
)
Commodity derivatives
Operating costs and expenses
   
(0.3
)
   
--
     
--
     
--
 
Total
 
 
$
(0.3
)
 
$
0.8
   
$
3.9
   
$
(26.9
)

Fair Value Measurements
Our fair value estimates are based on either (i) actual market data or (ii) assumptions that other market participants would use in pricing an asset or liability, including estimates of risk, in the principal market of the asset or liability at a specified measurement date.  Recognized valuation techniques employ inputs such as contractual prices, quoted market prices or rates, operating costs, discount factors and business growth rates.  These inputs may be either readily observable, corroborated by market data or generally unobservable.  In developing our estimates of fair value, we endeavor to utilize the best information available and apply market-based data to the highest extent possible.  Accordingly, we utilize valuation techniques (such as the market approach) that maximize the use of observable inputs and minimize the use of unobservable inputs.

A three-tier hierarchy has been established that classifies fair value amounts recognized in the financial statements based on the observability of inputs used to estimate such fair values.  The hierarchy considers fair value amounts based on observable inputs (Levels 1 and 2) to be more reliable and predictable than those based primarily on unobservable inputs (Level 3).  At each balance sheet reporting date, we categorize our financial assets and liabilities using this hierarchy.
17

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Recurring Fair Value Measurements
The following tables set forth, by level within the fair value hierarchy, the carrying values of our financial assets and liabilities at the dates indicated.  These assets and liabilities are measured on a recurring basis and are classified based on the lowest level of input used to estimate their fair value.  Our assessment of the relative significance of such inputs requires judgment.

 
 
September 30, 2015
Fair Value Measurements Using
   
 
 
 
Quoted Prices
in Active
Markets for
Identical Assets
and Liabilities
(Level 1)
   
Significant
Other
Observable
Inputs
(Level 2)
   
Significant
Unobservable
Inputs
(Level 3)
   
Total
 
Financial assets:
 
   
   
   
 
Interest rate derivatives
 
$
--
   
$
7.6
   
$
--
   
$
7.6
 
Commodity derivatives
   
84.1
     
157.7
     
1.0
     
242.8
 
Total
 
$
84.1
   
$
165.3
   
$
1.0
   
$
250.4
 
 
                               
Financial liabilities:
                               
Liquidity Option Agreement
 
$
--
   
$
--
   
$
235.5
   
$
235.5
 
Commodity derivatives
   
37.4
     
142.7
     
17.0
     
197.1
 
Total
 
$
37.4
   
$
142.7
   
$
252.5
   
$
432.6
 

 
 
December 31, 2014
Fair Value Measurements Using
   
 
 
 
Quoted Prices
in Active
Markets for
Identical Assets
and Liabilities
(Level 1)
   
Significant
Other
Observable
Inputs
(Level 2)
   
Significant
Unobservable
Inputs
(Level 3)
   
Total
 
Financial assets:
 
   
   
   
 
Commodity derivatives
 
$
37.8
   
$
187.8
   
$
1.0
   
$
226.6
 
 
                               
Financial liabilities:
                               
Liquidity Option Agreement
 
$
--
   
$
--
   
$
219.7
   
$
219.7
 
Commodity derivatives
   
13.8
     
133.0
     
0.6
     
147.4
 
Total
 
$
13.8
   
$
133.0
   
$
220.3
   
$
367.1
 

18

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
The following table sets forth a reconciliation of changes in the fair values of our recurring Level 3 financial assets and liabilities on a combined basis for the periods indicated:

 
  
 
For the Nine Months
Ended September 30,
 
 
Location  
2015
   
2014
 
Financial asset (liability) balance, net, January 1
 
 
$
(219.3
)
 
$
3.2
 
Total gains (losses) included in:
 
               
Net income (1)
Revenue
   
(0.4
)
   
4.6
 
Other comprehensive income
Commodity derivative instruments – changes in fair value of cash flow hedges
   
(1.5
)
   
--
 
Settlements
Revenue
   
(0.5
)
   
(0.1
)
Transfers out of Level 3
     
0.1
     
--
 
Financial asset (liability) balance, net, March 31
 
   
(221.6
)
   
7.7
 
Total gains (losses) included in:
 
               
Net income (1)
Revenue
   
(0.4
)
   
(3.3
)
Net income
Other expense, net
   
(11.5
)
   
--
 
Other comprehensive income
Commodity derivative instruments – changes in fair value of cash flow hedges
   
(1.0
)
   
--
 
Settlements
Revenue
   
0.2
     
(1.8
)
Transfers out of Level 3
     
1.5
     
--
 
Financial asset (liability) balance, net, June 30
 
   
(232.8
)
   
2.6
 
Total gains (losses) included in:
                 
Net income (1)
Revenue
   
(0.3
)
   
(0.9
)
Net income
Other expense, net
   
(4.3
)
   
--
 
Other comprehensive income
Commodity derivative instruments – changes in fair value of cash flow hedges
   
(15.5
)
   
(2.5
)
Settlements
Revenue
   
0.3
     
0.1
 
Transfers out of Level 3
     
1.1
     
--
 
Financial asset (liability) balance, net, September 30
   
$
(251.5
)
 
$
(0.7
)
 
(1)   There were $1.1 million of unrealized losses included in these amounts for the nine months ended September 30, 2015. There were unrealized gains of $0.8 million and $1.3 million included in these amounts for the three and nine months ended September 30, 2014, respectively.
 

The following table provides quantitative information about our recurring Level 3 fair value measurements at September 30, 2015:

 
 
Fair Value
 
 
 
   
 
 
Financial
Assets
   
Financial
Liabilities
 
Valuation
Techniques
Unobservable
Input
Range
Commodity derivatives – Crude oil
 
$
0.7
   
$
1.3
 
Discounted cash flow
Forward commodity prices
$44.47-$50.74/barrel
Commodity derivatives – Natural gasoline
   
0.3
     
15.6
 
Discounted cash flow
Forward commodity prices
$0.93-$1.00/gallon
Commodity derivatives – Propane
   
--
     
0.1
 
Discounted cash flow
Forward commodity prices
$0.50/gallon
Total
 
$
1.0
   
$
17.0
         

With respect to commodity derivatives, we believe forward commodity prices are the most significant unobservable inputs in determining our Level 3 recurring fair value measurements at September 30, 2015.  In general, changes in the price of the underlying commodity increases or decreases the fair value of a commodity derivative depending on whether the derivative was purchased or sold.  We generally expect changes in the fair value of our derivative instruments to be offset by corresponding changes in the fair value of our hedged exposures.

As described in Note 15, we adjusted the expected life of OTA following exercise of the Liquidity Option Agreement to reflect an equal probability of the dissolution of OTA over each of the 30 years in our forecast period.  None of the other key valuation assumptions we listed in our 2014 Form 10-K for the Liquidity Option Agreement have changed.
19

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Nonrecurring Fair Value Measurements
Long-lived assets (including intangible assets with finite useful lives and property, plant and equipment) are reviewed for impairment (i.e., subject to nonrecurring fair value measurements) when events or changes in circumstances indicate that the carrying amount of such assets may not be recoverable. Long-lived assets with carrying values that are not expected to be recovered through future cash flows are written-down to their estimated fair values. The following table summarizes our non-cash impairment charges by segment during each of the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services
 
$
14.6
   
$
1.2
   
$
20.6
   
$
6.6
 
Crude Oil Pipelines & Services
   
--
     
0.4
     
25.9
     
2.2
 
Natural Gas Pipelines & Services
   
--
     
0.4
     
21.5
     
0.7
 
Petrochemical & Refined Products Services
   
12.2
     
3.7
     
12.6
     
8.7
 
Offshore Pipelines & Services
   
--
     
--
     
58.5
     
--
 
Total
 
$
26.8
   
$
5.7
   
$
139.1
   
$
18.2
 

Impairment charges are a component of “Operating costs and expenses” on our Unaudited Condensed Statements of Consolidated Operations.

Our non-cash asset impairment charges for the third quarter of 2015 primarily relate to the planned abandonment of natural gas processing assets in southern Louisiana and the reclassification of certain marine vessels to held for sale status.  Our non-cash asset impairment charges for the nine months ended September 30, 2015 primarily reflect the $54.8 million charge we recorded in connection with the sale of our Offshore Business (see Note 6) and the abandonment of certain natural gas and crude oil pipeline assets in Texas. Our non-cash asset impairment charges for the nine months ended September 30, 2014 primarily reflect the abandonment of assets classified as property, plant and equipment.

The following table presents categories of long-lived assets that were subject to non-recurring fair value measurements during the nine months ended September 30, 2015:

 
 
   
Fair Value Measurements
at the End of the Reporting Period Using
   
 
 
 
Carrying
Value at
September 30,
2015
   
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
   
Significant
Other
Observable
Inputs
(Level 2)
   
Significant
Unobservable
Inputs
(Level 3)
   
Total
Non-Cash
Impairment
Loss
 
Long-lived assets disposed of other than by sale
 
$
0.4
   
$
--
   
$
--
   
$
0.4
   
$
69.9
 
Long-lived assets held for sale
   
34.2
     
--
     
--
     
34.2
     
14.2
 
Long-lived assets disposed of by sale (1)
   
--
     
--
     
--
     
--
     
55.0
 
Total
                                 
$
139.1
 
                                                  
(1)   Primarily represents the impairment charge recorded in second quarter of 2015 upon reclassification of our Offshore Business to held for sale status.
 
20

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

The following table presents categories of long-lived assets that were subject to non-recurring fair value measurements during the nine months ended September 30, 2014:

 
 
Fair Value Measurements
at the End of the Reporting Period Using
 
 
 
Carrying
Value at
September 30,
2014
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Other
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Total
Non-Cash
Impairment
Loss
 
Long-lived assets disposed of other than by sale
 
$
--
   
$
--
   
$
--
   
$
--
   
$
11.7
 
Long-lived assets held for sale
   
1.1
     
--
     
--
     
1.1
     
6.5
 
Total
                                 
$
18.2
 

Other Fair Value Information
The carrying amounts of cash and cash equivalents (including restricted cash balances), accounts receivable, commercial paper notes and accounts payable approximate their fair values based on their short-term nature.  The estimated total fair value of our fixed-rate debt obligations was $20.77 billion and $22.16 billion at September 30, 2015 and December 31, 2014, respectively.  The aggregate carrying value of these debt obligations was $20.88 billion and $20.48 billion at September 30, 2015 and December 31, 2014, respectively.  These values are based on quoted market prices for such debt or debt of similar terms and maturities (Level 2), our credit standing and the credit standing of our counterparties.  Changes in market rates of interest affect the fair value of our fixed-rate debt.  The amounts reported for fixed-rate debt obligations as of September 30, 2015, exclude those amounts hedged using fixed-to-floating interest rate swaps. See “Interest Rate Hedging Activities” within this Note 4 for additional information.  The carrying values of our variable-rate long-term debt obligations approximate their fair values since the associated interest rates are market-based.  We do not have any long-term investments in debt or equity securities recorded at fair value.


Note 5.  Inventories

Our inventory amounts by product type were as follows at the dates indicated:

 
 
September 30,
2015
   
December 31,
2014
 
NGLs
 
$
740.5
   
$
579.1
 
Petrochemicals and refined products
   
158.0
     
295.6
 
Crude oil
   
152.2
     
97.8
 
Natural gas
   
34.7
     
41.7
 
Total
 
$
1,085.4
   
$
1,014.2
 

Due to fluctuating commodity prices, we recognize lower of cost or market adjustments when the carrying value of our available-for-sale inventories exceeds their net realizable value.  The following table presents our total cost of sales amounts and lower of cost or market adjustments for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Cost of sales (1)
 
$
4,419.9
   
$
10,455.1
   
$
15,355.9
   
$
32,213.1
 
Lower of cost or market adjustments
   
2.1
     
6.7
     
6.1
     
14.6
 
 
(1)   Cost of sales is a component of “Operating costs and expenses” as presented on our Unaudited Condensed Statements of Consolidated Operations. Fluctuations in these amounts are primarily due to changes in energy commodity prices and sales volumes associated with our marketing activities.
 


21

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
Note 6.  Property, Plant and Equipment

The historical costs of our property, plant and equipment and related accumulated depreciation balances were as follows at the dates indicated:

 
 
Estimated
Useful Life
in Years
   
September 30,
2015
   
December 31,
2014
 
Plants, pipelines and facilities (1)
 
3-45 (6)
 
 
$
31,686.3
   
$
30,834.9
 
Underground and other storage facilities (2)
 
5-40 (7)
 
   
2,847.7
     
2,584.2
 
Platforms and facilities (3)
 
20-31
     
--
     
659.7
 
Transportation equipment (4)
 
3-10
     
164.8
     
154.2
 
Marine vessels (5)
 
15-30
     
787.5
     
796.4
 
Land
           
261.3
     
262.6
 
Construction in progress
           
3,777.2
     
2,754.7
 
Total historical cost of property, plant and equipment
           
39,524.8
     
38,046.7
 
    Less accumulated depreciation
           
8,310.7
     
8,165.1
 
Total property, plant and equipment, net
         
$
31,214.1
   
$
29,881.6
 
  
 
(1)   Plants, pipelines and facilities include processing plants; NGL, natural gas, crude oil and petrochemical and refined products pipelines; terminal loading and unloading facilities; office furniture and equipment; buildings; laboratory and shop equipment and related assets.
 
(2)   Underground and other storage facilities include underground product storage caverns; above ground storage tanks; water wells and related assets.
 
(3)   Platforms and facilities included offshore platforms and related facilities and other associated assets located in the Gulf of Mexico prior to the sale of our Offshore Business (see below).
 
(4)   Transportation equipment includes tractor-trailer tank trucks and other vehicles and similar assets used in our operations.
 
(5)   Marine vessels include tow boats, barges and related equipment used in our marine transportation business.
 
(6)   In general, the estimated useful lives of major assets within this category are: processing plants, 20-35 years; pipelines and related equipment, 5-45 years; terminal facilities, 10-35 years; office furniture and equipment, 3-20 years; buildings, 20-40 years; and laboratory and shop equipment, 5-35 years.
 
(7)   In general, the estimated useful lives of assets within this category are: underground storage facilities, 5-35 years; storage tanks, 10-40 years; and water wells, 5-35 years.
 

The following table summarizes our depreciation expense and capitalized interest amounts for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Depreciation expense (1)
 
$
286.2
   
$
283.2
   
$
870.1
   
$
822.1
 
Capitalized interest (2)
   
40.3
     
17.2
     
105.6
     
53.4
 
    
(1)  Depreciation expense is a component of “Costs and expenses” as presented on our Unaudited Condensed Statements of Consolidated Operations.
 
(2)  We capitalize interest costs incurred on funds used to construct property, plant and equipment while the asset is in its construction phase. The capitalized interest is recorded as part of the asset to which it relates and is amortized over the asset’s estimated useful life as a component of depreciation expense. When capitalized interest is recorded, it reduces interest expense from what it would be otherwise.
 

Sale of Offshore Business
On July 24, 2015, we consummated a sale to Genesis of our Offshore Business, which primarily consisted of our Offshore Pipelines & Services business segment, for approximately $1.53 billion in cash. Our Offshore Business served drilling and development regions, including deepwater production fields, in the northern Gulf of Mexico offshore Texas, Louisiana, Mississippi and Alabama. As of December 31, 2014, our Offshore Business included approximately 2,350 miles of offshore natural gas and crude oil pipelines and six offshore hub platforms. Our results of operations reflect ownership of the Offshore Business through July 24, 2015.
22

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

We viewed our Offshore Business as an extension of our midstream energy services network. As such, the sale of these assets did not represent a strategic shift in our consolidated operations, and their sale does not have a major effect on our financial results. At December 31, 2014 and June 30, 2015, segment assets for our Offshore Pipelines & Services segment represented 4.3% and 4.1%, respectively, of consolidated total segment assets. Likewise, gross operating margin from this business segment represented only 3.1% and 3.4% of our consolidated total gross operating margin for the year ended December 31, 2014 and six months ended June 30, 2015, respectively. The sale of this non-strategic business allowed us to redeploy capital to other business opportunities that we believe will generate a higher rate of return for us in the future (e.g., our recent acquisition of EFS Midstream (see Note 8)). Also, proceeds from the closing of this sale will reduce our need to issue additional equity and debt to support our ongoing capital spending program.

We recorded a non-cash asset impairment charge at June 30, 2015 of approximately $54.8 million, which reflects the excess of the carrying value of net assets of the Offshore Business at June 30, 2015 over their comparable estimated fair value based on the transaction price. The carrying value of the net assets of the Offshore Business at June 30, 2015 totaled approximately $1.59 billion, which included current assets of $26.9 million, property plant and equipment of $1.14 billion, investments in unconsolidated affiliates of $482.4 million, intangible assets of $37.1 million and goodwill of $82.0 million. Total liabilities were $116.4 million and noncontrolling interests were $62.2 million at that date. The fair value of the Offshore Business based on the transaction price was approximately $1.53 billion.

Upon closing of the transaction, we recorded a loss on the sale of $12.6 million based on the difference between the proceeds received and the carrying value of the net assets at July 24, 2015.

Operating costs and expenses for the nine months ended September 30, 2015 include $40.1 million of depreciation expense associated with the Offshore Business.  Likewise, for the three and nine months ended September 30, 2014, we recognized $21.5 million and $62.3 million, respectively, of depreciation expense associated with these assets.

Asset Retirement Obligations
We record asset retirement obligations (“AROs”) in connection with legal requirements to perform specified retirement activities under contractual arrangements and/or governmental regulations.  Our contractual AROs primarily result from right-of-way agreements associated with our pipeline operations and real estate leases associated with our plant sites.  In addition, we record AROs in connection with governmental regulations associated with the abandonment or retirement of above-ground brine storage pits and certain marine vessels.  We also record AROs in connection with regulatory requirements associated with the renovation or demolition of certain assets containing hazardous substances such as asbestos.  We typically fund our AROs using cash flow from operations.

Property, plant and equipment at September 30, 2015 and December 31, 2014 includes $17.8 million and $31.3 million, respectively, of asset retirement costs capitalized as an increase in the associated long-lived asset.

The following table presents information regarding our AROs since December 31, 2014:

ARO liability balance, December 31, 2014
 
$
98.3
 
Liabilities incurred
   
2.7
 
Liabilities settled
   
(5.9
)
Revisions in estimated cash flows
   
49.0
 
Accretion expense
   
4.2
 
    AROs related to Offshore Business sold in July 2015
   
(91.1
)
ARO liability balance, September 30, 2015
 
$
57.2
 

Revisions to estimated cash flows include a $39.5 million adjustment made in the second quarter of 2015 related to the Matagorda Gathering System, which was a component of the Offshore Business.  In June 2015, we were notified by the U.S. Army Corps of Engineers (the “CoE”) to fully remove two pipeline segments included in this system that we had originally requested to abandon in-place.  As a result, we adjusted the ARO liabilities for those pipeline segments under CoE jurisdiction to account for the estimated cost of removal.  All ARO liabilities related to our Offshore Business (including those of the Matagorda Gathering System) were removed from our Unaudited Condensed Consolidated Balance Sheet upon the sale of the Offshore Business on July 24, 2015.
23

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Certain of our unconsolidated affiliates have AROs recorded at September 30, 2015 and December 31, 2014 relating to contractual agreements and regulatory requirements.  These amounts are immaterial to our consolidated financial statements.


Note 7.  Investments in Unconsolidated Affiliates

The following table presents our investments in unconsolidated affiliates by business segment at the dates indicated.  We account for these investments using the equity method.

 
 
Ownership
Interest at
September 30,
2015
   
September 30,
2015
   
December 31,
2014
 
NGL Pipelines & Services:
 
   
   
 
Venice Energy Service Company, L.L.C.
 
13.1%
 
 
$
26.4
   
$
27.7
 
K/D/S Promix, L.L.C.
 
50%
 
   
42.8
     
38.5
 
Baton Rouge Fractionators LLC
 
32.2%
 
   
18.4
     
18.8
 
Skelly-Belvieu Pipeline Company, L.L.C.
 
50%
 
   
40.3
     
40.1
 
Texas Express Pipeline LLC
 
35%
 
   
343.4
     
349.3
 
Texas Express Gathering LLC
 
45%
 
   
37.2
     
37.9
 
Front Range Pipeline LLC
 
33.3%
 
   
171.7
     
170.0
 
Delaware Basin Gas Processing LLC (1)
 
50%
 
   
28.7
     
--
 
Crude Oil Pipelines & Services:
                     
Seaway Crude Pipeline Company LLC
 
50%
 
   
1,403.1
     
1,431.2
 
Eagle Ford Pipeline LLC
 
50%
 
   
391.4
     
336.5
 
Eagle Ford Terminals Corpus Christi LLC (2)
 
50%
 
   
23.4
     
--
 
Natural Gas Pipelines & Services:
                     
White River Hub, LLC
 
50%
 
   
23.1
     
23.2
 
Petrochemical & Refined Products Services:
                     
Baton Rouge Propylene Concentrator, LLC
 
30%
 
   
5.8
     
6.5
 
Centennial Pipeline LLC (“Centennial”)
 
50%
 
   
67.2
     
66.1
 
Other
 
Various
     
2.4
     
2.5
 
Offshore Pipelines & Services: (3)
                     
Poseidon Oil Pipeline Company, L.L.C.
 
--
     
--
     
31.8
 
Cameron Highway Oil Pipeline Company
 
--
     
--
     
201.3
 
Deepwater Gateway, L.L.C.
 
--
     
--
     
79.6
 
Neptune Pipeline Company, L.L.C.
 
--
     
--
     
34.9
 
Southeast Keathley Canyon Pipeline Company L.L.C.
 
--
     
--
     
146.1
 
Total investments in unconsolidated affiliates
       
$
2,625.3
   
$
3,042.0
 
                          
(1)   New joint venture formed with Oxy Delaware Basin Plant, LLC, a subsidiary of Occidental Petroleum Corporation, in April 2015 that will plan, design and construct a new cryogenic natural gas processing plant to accommodate the growing production of NGL-rich natural gas in the Delaware Basin.
(2)   New joint venture formed with Plains Marketing, L.P., a subsidiary of Plains All American Pipeline, L.P., in March 2015 to construct and operate a marine terminal that will handle crude oil delivered by Eagle Ford Pipeline LLC.
(3)   Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis on July 24, 2015 (see Note 6). At June 30, 2015, the carrying value of these investments was $482.4 million.
 

The following table presents our equity in income (loss) of unconsolidated affiliates by business segment for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services
 
$
18.9
   
$
11.7
   
$
43.0
   
$
19.2
 
Crude Oil Pipelines & Services
   
81.2
     
46.8
     
220.5
     
131.7
 
Natural Gas Pipelines & Services
   
0.9
     
0.9
     
2.8
     
2.7
 
Petrochemical & Refined Products Services
   
(3.3
)
   
(4.2
)
   
(10.4
)
   
(10.3
)
Offshore Pipelines & Services
   
5.4
     
17.1
     
46.6
     
35.8
 
Total
 
$
103.1
   
$
72.3
   
$
302.5
   
$
179.1
 
24

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

The following table presents our unamortized excess cost amounts by business segment at the dates indicated:

 
 
September 30,
2015
   
December 31,
2014
 
NGL Pipelines & Services
 
$
25.6
   
$
26.5
 
Crude Oil Pipelines & Services
   
20.9
     
21.7
 
Petrochemical & Refined Products Services
   
2.4
     
2.4
 
Offshore Pipelines & Services (1)
   
--
     
9.0
 
Total
 
$
48.9
   
$
59.6
 
                 
(1)    Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015.
 

The following table presents our amortization of excess cost amounts by business segment for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services
 
$
0.3
   
$
0.2
   
$
0.9
   
$
0.9
 
Crude Oil Pipelines & Services
   
0.3
     
0.2
     
0.8
     
0.5
 
Petrochemical & Refined Products Services
   
--
     
--
     
--
     
0.1
 
Offshore Pipelines & Services
   
--
     
0.3
     
2.8
     
0.8
 
Total
 
$
0.6
   
$
0.7
   
$
4.5
   
$
2.3
 

Other
Centennial’s credit agreement restricts its ability to pay cash dividends if a default or event of default (as defined in the credit agreement) has occurred and is continuing at the time such payments are scheduled to be paid.  This business was in compliance with the terms of its credit agreement at September 30, 2015.


Note 8. Business Acquisition

Acquisition of Eagle Ford Midstream Assets
In June 2015, we announced the execution of definitive agreements to purchase all of the member interests in EFS Midstream from affiliates of Pioneer and Reliance for approximately $2.1 billion. The purchase price will be paid in two installments. The first installment of approximately $1.1 billion was paid at closing on July 8, 2015 and the final installment of $1.0 billion will be paid no later than the first anniversary of the closing date. The effective date of the acquisition was July 1, 2015. We funded the cash consideration for the first installment using proceeds from the issuance of short-term notes under our commercial paper program and cash on hand.

EFS Midstream provides natural gas gathering, treating and compression and condensate gathering and processing services in the Eagle Ford Shale.  The EFS Midstream system includes approximately 460 miles of natural gas and condensate gathering pipelines, ten central gathering plants, 780 million cubic feet per day (“MMcf/d”) of natural gas treating capacity and 119 thousand barrels per day (“MBPD”) of condensate stabilization capacity.  Under terms of the associated agreements, Pioneer and Reliance have dedicated certain of their Eagle Ford Shale acreage to us under 20-year, fixed-fee gathering agreements that include minimum volume requirement for the first seven years.  Pioneer and Reliance have also entered into related 20-year fee-based agreements with us for natural gas transportation and processing, NGL transportation and fractionation, and for processed condensate and crude oil transportation services.

We account for business acquisitions by applying the acquisition method of accounting.  The acquisition method of accounting requires, among other things, that the assets acquired and liabilities assumed in a business combination be measured at their fair values as of the effective date of the acquisition.  We engaged an independent third party business valuation expert to assist us in estimating the fair values of the tangible and intangible assets of EFS Midstream.
25

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

The following table summarizes the consideration paid in the EFS Midstream acquisition and the amounts of the assets acquired and liabilities assumed as of July 1, 2015:

Consideration:
   
Cash
 
$
1,058.5
 
Accrued liability related to EFS Midstream acquisition
   
997.7
 
Total consideration
 
$
2,056.2
 
         
Identifiable assets acquired in business combination:
       
Current assets, including cash of $13.4 million
 
$
64.0
 
Property, plant and equipment
   
636.0
 
Customer relationship intangible assets
   
1,409.8
 
Total assets acquired
   
2,109.8
 
Liabilities assumed in business combination:
       
Current liabilities
   
(9.6
)
Long-term debt
   
(125.0
)
Other long-term liabilities
   
(1.3
)
Total liabilities assumed
   
(135.9
)
Total assets acquired less liabilities assumed
   
1,973.9
 
Total consideration given for EFS Midstream
   
2,056.2
 
Goodwill
 
$
82.3
 

The estimated fair value of the acquired property, plant and equipment was determined using the cost approach. Of the $636 million of fair value assigned to property, plant and equipment, $366 million was assigned to pipelines and rights of way, $112 million to processing equipment, $84 million to electrical and metering equipment, $42 million to pumps and compressors and $32 million to other assets.

The estimated fair value of the acquired customer relationship intangible assets was determined using an income approach, specifically a discounted cash flow analysis.   Of the total assets acquired, $1.41 billion, or 67%, was assigned to customer relationship intangible assets.  In the context of EFS Midstream, a customer relationship intangible asset is broadly defined as a relationship between an asset network and the underlying production fields and producers (e.g., Pioneer and Reliance) supported by that network.  The customer relationships we acquired in this transaction provide us with long-term access to the natural gas, NGL and condensate resources supported by the EFS Midstream assets.

Infrastructure such as that owned by EFS Midstream requires a significant investment, both in terms of initial construction costs and ongoing maintenance, and is generally supported by long-term contracts with producers that establish a customer base.  The level of expenditures involved in constructing such asset networks can create significant economic barriers to entry that effectively limit competition (i.e., akin to a franchise).  The long-term nature of the underlying producer contracts and limited risk of competition ensure a long commercial relationship with existing producers.

The discounted cash flow analysis used to estimate the fair value of the EFS Midstream customer relationships relied on Level 3 fair value inputs. Level 3 fair values are based on unobservable inputs. Unobservable inputs are used to measure fair value to the extent that observable inputs are not available, thereby allowing for situations in which there is little, if any, market activity for the asset at the measurement date. With respect to the EFS Midstream customer relationships, the Level 3 inputs include long-range cash flow forecasts that extend for the estimated economic life of the hydrocarbon resource base served by the asset network, anticipated contract renewals and resource base depletion rates. A discount rate of 15% was applied to the resulting cash flows.

We recorded $82.3 million of goodwill in connection with this transaction.  In general, we attribute this goodwill to our ability to leverage the acquired business with our existing asset base to create future business opportunities.

In connection with the agreements to acquire EFS Midstream, we are obligated to spend up to an aggregate of $270 million on specified midstream gathering assets for Pioneer and Reliance, if requested by these producers, over a ten year period. If constructed, these new assets would be owned by us and be a component of the EFS Midstream asset network.
26

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Our consolidated revenues and net income included $56.7 million and $23.8 million, respectively, from EFS Midstream for the three months ended September 30, 2015.

Since the effective date of the EFS Midstream acquisition was July 1, 2015, our Unaudited Condensed Statements of Consolidated Operations do not include earnings from this business prior to this date.  The following table presents selected unaudited pro forma earnings information for the nine months ended September 30, 2015 and 2014 as if the acquisition had been completed on January 1, 2014.  This pro forma information was prepared using historical financial data for EFS Midstream and reflects certain estimates and assumptions made by our management.  Our unaudited pro forma financial information is not necessarily indicative of what our consolidated financial results would have been for the periods presented had we acquired EFS Midstream on January 1, 2014.

 
For the Three
Months Ended
September 30, 2014
   
For the Nine Months
Ended September 30,
 
 
     
2015
   
2014
 
Pro forma earnings data:
           
Revenues
 
$
12,388.7
   
$
20,993.5
   
$
37,927.5
 
Costs and expenses
   
11,502.6
     
18,645.5
     
35,195.2
 
Operating income
   
958.4
     
2,650.5
     
2,911.4
 
Net income
   
715.3
     
1,900.9
     
2,195.5
 
Net income attributable to noncontrolling interests
   
8.1
     
28.5
     
24.8
 
Net income attributable to limited partners
   
707.2
     
1,872.4
     
2,170.7
 
                         
Basic earnings per unit:
                       
As reported basic earnings per unit
 
$
0.38
   
$
0.94
   
$
1.16
 
Pro forma basic earnings per unit
 
$
0.38
   
$
0.96
   
$
1.18
 
Diluted earnings per unit:
                       
As reported diluted earnings per unit
 
$
0.37
   
$
0.92
   
$
1.13
 
Pro forma diluted earnings per unit
 
$
0.38
   
$
0.94
   
$
1.15
 


27

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Note 9.  Intangible Assets and Goodwill

Intangible Assets
The following table summarizes our intangible assets by business segment at the dates indicated:

 
 
September 30, 2015
   
December 31, 2014
 
 
 
Gross
Value
   
Accumulated
Amortization
   
Carrying
Value
   
Gross
Value
   
Accumulated
Amortization
   
Carrying
Value
 
NGL Pipelines & Services:
 
   
   
   
   
   
 
Customer relationship intangibles
 
$
550.8
   
$
(183.8
)
 
$
367.0
   
$
340.8
   
$
(183.2
)
 
$
157.6
 
Contract-based intangibles
   
283.0
     
(189.6
)
   
93.4
     
277.7
     
(178.7
)
   
99.0
 
IDRs (1)
   
--
     
--
     
--
     
432.6
     
--
     
432.6
 
Segment total
   
833.8
     
(373.4
)
   
460.4
     
1,051.1
     
(361.9
)
   
689.2
 
Crude Oil Pipelines & Services:
                                               
Customer relationship intangibles
   
2,204.4
     
(28.1
)
   
2,176.3
     
1,108.0
     
(7.7
)
   
1,100.3
 
Contract-based intangibles
   
281.4
     
(55.4
)
   
226.0
     
281.4
     
(13.5
)
   
267.9
 
IDRs (1)
   
--
     
--
     
--
     
855.4
     
--
     
855.4
 
Segment total
   
2,485.8
     
(83.5
)
   
2,402.3
     
2,244.8
     
(21.2
)
   
2,223.6
 
Natural Gas Pipelines & Services:
                                               
Customer relationship intangibles
   
1,246.9
     
(327.8
)
   
919.1
     
1,163.6
     
(308.9
)
   
854.7
 
Contract-based intangibles
   
466.0
     
(359.4
)
   
106.6
     
466.0
     
(347.8
)
   
118.2
 
Segment total
   
1,712.9
     
(687.2
)
   
1,025.7
     
1,629.6
     
(656.7
)
   
972.9
 
Petrochemical & Refined Products Services:
                                               
Customer relationship intangibles
   
185.5
     
(37.3
)
   
148.2
     
198.4
     
(43.3
)
   
155.1
 
Contract-based intangibles
   
56.3
     
(10.8
)
   
45.5
     
56.3
     
(7.8
)
   
48.5
 
IDRs (1)
   
--
     
--
     
--
     
171.2
     
--
     
171.2
 
Segment total
   
241.8
     
(48.1
)
   
193.7
     
425.9
     
(51.1
)
   
374.8
 
Offshore Pipelines & Services: (2)
                                               
Customer relationship intangibles
   
--
     
--
     
--
     
195.8
     
(154.9
)
   
40.9
 
Contract-based intangibles
   
--
     
--
     
--
     
1.2
     
(0.5
)
   
0.7
 
Segment total
   
--
     
--
     
--
     
197.0
     
(155.4
)
   
41.6
 
Total intangible assets
 
$
5,274.3
   
$
(1,192.2
)
   
4,082.1
   
$
5,548.4
   
$
(1,246.3
)
 
$
4,302.1
 
                                                   
(1)   At December 31, 2014, we had indefinite-lived intangible assets outstanding with a carrying value of $1.46 billion recorded in connection with our acquisition of the Oiltanking IDRs in October 2014. The IDRs represented contractual rights to future cash incentive distributions to be paid by Oiltanking. In February 2015 (following completion of Step 2 of the Oiltanking acquisition), the Oiltanking IDRs were cancelled and the carrying value of the IDRs were reclassified to goodwill.
(2)   Our intangible assets classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015 (see Note 6).
 

We acquired $1.41 billion of customer relationship intangible assets as part of the EFS Midstream acquisition (see Note 8).  We assigned $1.1 billion of these intangible assets to our Crude Oil Pipelines & Services segment, $230.1 million to our NGL Pipelines & Services segment and $83.3 million to our Natural Gas Pipelines & Services segment based on the nature of the services provided in connection with these relationships.  These customer relationships have estimated economic lives ranging from 26 to 29 years.  Amortization expense attributable to these customer relationships is recorded using a units-of-production method that closely resembles the pattern in which the economic benefits we derive from such assets are expected to be consumed or otherwise used.

The following table presents the amortization expense of our intangible assets by business segment for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services
 
$
9.7
   
$
8.1
   
$
24.9
   
$
25.4
 
Crude Oil Pipelines & Services
   
29.0
     
0.3
     
62.3
     
0.9
 
Natural Gas Pipelines & Services
   
10.7
     
11.1
     
30.5
     
34.2
 
Petrochemical & Refined Products Services
   
2.3
     
1.5
     
7.0
     
4.6
 
Offshore Pipelines & Services
   
--
     
2.5
     
4.5
     
7.6
 
Total
 
$
51.7
   
$
23.5
   
$
129.2
   
$
72.7
 

28

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
The following table presents a forecast of amortization expense associated with our intangible assets for the periods indicated:

Remainder
of 2015
   
2016
   
2017
   
2018
   
2019
 
$
50.3
   
$
218.8
   
$
223.5
   
$
220.4
   
$
208.6
 

Goodwill
Goodwill represents the excess of the purchase price of an acquired business over the amounts assigned to assets acquired and liabilities assumed in the transaction.  The following table presents changes in the carrying amount of goodwill since December 31, 2014:

 
 
NGL
Pipelines
& Services
   
Crude Oil
Pipelines
& Services
   
Natural Gas
Pipelines
& Services
   
Petrochemical
& Refined
Products
Services
   
Offshore
Pipelines
& Services
   
Consolidated
Total
 
Balance at December 31, 2014
 
$
2,210.2
   
$
918.7
   
$
296.3
   
$
793.0
   
$
82.0
   
$
4,300.2
 
Reclassification of Oiltanking IDR balances to goodwill in connection with the cancellation of such rights in February 2015 and other adjustments
   
432.6
     
850.7
     
--
     
170.8
     
--
     
1,454.1
 
Reduction in goodwill related to the sale of assets
   
--
     
--
     
--
     
--
     
(82.0
)
   
(82.0
)
Addition to goodwill related to the acquisition of EFS Midstream
   
8.9
     
73.4
     
--
     
--
     
--
     
82.3
 
Goodwill reclassified to assets held-for-sale
   
--
     
--
     
--
     
(5.4
)
   
--
     
(5.4
)
Balance at September 30, 2015
 
$
2,651.7
   
$
1,842.8
   
$
296.3
   
$
958.4
   
$
--
   
$
5,749.2
 

Upon completion of Step 2 of the Oiltanking acquisition in February 2015, the IDRs of Oiltanking were cancelled and the associated carrying values were reclassified from intangible assets to goodwill and allocated to the appropriate business segments.

During 2015, we retrospectively adjusted our provisional fair value estimate of the Liquidity Option Agreement by $100.3 million, with a corresponding increase to goodwill, which was allocated to the appropriate business segments at December 31, 2014 as follows: $29.8 million to NGL Pipelines & Services; $58.8 million to Crude Oil Pipelines & Services; and $11.7 million to Petrochemical & Refined Products Services. See Note 15 for additional information regarding this change.

In July 2015, in connection with the sale of the Offshore Business, we removed $82.0 million of goodwill, which was allocated to these assets (see Note 6). 

In July 2015, we recorded $82.3 million of goodwill in connection with our acquisition of EFS Midstream.  In general, we attribute this goodwill to our ability to leverage the acquired business with our existing asset base to create future business opportunities.

29

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Note 10.  Debt Obligations

The following table presents our consolidated debt obligations (arranged by company and maturity date) at the dates indicated:

 
 
September 30,
2015
   
December 31,
2014
 
EPO senior debt obligations:
 
   
 
Commercial Paper Notes, variable-rates
 
$
869.5
   
$
906.5
 
Senior Notes I, 5.00% fixed-rate, due March 2015
   
--
     
250.0
 
Senior Notes X, 3.70% fixed-rate, due June 2015
   
--
     
400.0
 
Senior Notes FF, 1.25% fixed-rate, due August 2015
   
--
     
650.0
 
Senior Notes AA, 3.20% fixed-rate, due February 2016
   
750.0
     
750.0
 
364-Day Credit Agreement, variable-rate, due September 2016
   
--
     
--
 
Senior Notes L, 6.30% fixed-rate, due September 2017
   
800.0
     
800.0
 
Senior Notes V, 6.65% fixed-rate, due April 2018
   
349.7
     
349.7
 
Senior Notes OO, 1.65% fixed-rate, due May 2018
   
750.0
     
--
 
Senior Notes N, 6.50% fixed-rate, due January 2019
   
700.0
     
700.0
 
Senior Notes LL, 2.55% fixed-rate, due October 2019
   
800.0
     
800.0
 
Senior Notes Q, 5.25% fixed-rate, due January 2020
   
500.0
     
500.0
 
Senior Notes Y, 5.20% fixed-rate, due September 2020
   
1,000.0
     
1,000.0
 
Multi-Year Revolving Credit Facility, variable-rate, due September 2020
   
--
     
--
 
Senior Notes CC, 4.05% fixed-rate, due February 2022
   
650.0
     
650.0
 
Senior Notes HH, 3.35% fixed-rate, due March 2023
   
1,250.0
     
1,250.0
 
Senior Notes JJ, 3.90% fixed-rate, due February 2024
   
850.0
     
850.0
 
Senior Notes MM, 3.75% fixed-rate, due February 2025
   
1,150.0
     
1,150.0
 
Senior Notes PP, 3.70% fixed-rate, due February 2026
   
875.0
     
--
 
Senior Notes D, 6.875% fixed-rate, due March 2033
   
500.0
     
500.0
 
Senior Notes H, 6.65% fixed-rate, due October 2034
   
350.0
     
350.0
 
Senior Notes J, 5.75% fixed-rate, due March 2035
   
250.0
     
250.0
 
Senior Notes W, 7.55% fixed-rate, due April 2038
   
399.6
     
399.6
 
Senior Notes R, 6.125% fixed-rate, due October 2039
   
600.0
     
600.0
 
Senior Notes Z, 6.45% fixed-rate, due September 2040
   
600.0
     
600.0
 
Senior Notes BB, 5.95% fixed-rate, due February 2041
   
750.0
     
750.0
 
Senior Notes DD, 5.70% fixed-rate, due February 2042
   
600.0
     
600.0
 
Senior Notes EE, 4.85% fixed-rate, due August 2042
   
750.0
     
750.0
 
Senior Notes GG, 4.45% fixed-rate, due February 2043
   
1,100.0
     
1,100.0
 
Senior Notes II, 4.85% fixed-rate, due March 2044
   
1,400.0
     
1,400.0
 
Senior Notes KK, 5.10% fixed-rate, due February 2045
   
1,150.0
     
1,150.0
 
Senior Notes QQ, 4.90% fixed-rate, due May 2046
   
875.0
     
--
 
Senior Notes NN, 4.95% fixed-rate, due October 2054
   
400.0
     
400.0
 
TEPPCO senior debt obligations:
               
TEPPCO Senior Notes, 6.65% fixed-rate, due April 2018
   
0.3
     
0.3
 
TEPPCO Senior Notes, 7.55% fixed-rate, due April 2038
   
0.4
     
0.4
 
Total principal amount of senior debt obligations
   
21,019.5
     
19,856.5
 
EPO Junior Subordinated Notes A, fixed/variable-rate, due August 2066 (1)
   
521.9
     
550.0
 
EPO Junior Subordinated Notes C, fixed/variable-rate, due June 2067 (2)
   
259.5
     
285.8
 
EPO Junior Subordinated Notes B, fixed/variable-rate, due January 2068 (3)
   
682.7
     
682.7
 
TEPPCO Junior Subordinated Notes, fixed/variable-rate, due June 2067 
   
14.2
     
14.2
 
Total principal amount of senior and junior debt obligations
   
22,497.8
     
21,389.2
 
Other, non-principal amounts
   
(37.7
)
   
(25.4
)
Less current maturities of debt (4)
   
(1,619.4
)
   
(2,206.4
)
Total long-term debt
 
$
20,840.7
   
$
19,157.4
 
 
(1)   Fixed rate of 8.375% through August 1, 2016 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 3.7075%. During the third quarter of 2015, EPO retired $28.1 million of these junior notes.
(2)   Fixed rate of 7.0% through September 1, 2017 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 2.7775%. During the third quarter of 2015, EPO retired $26.3 million of these junior notes.
(3)   Fixed rate of 7.034% through January 15, 2018 (i.e., first call date without a make-whole redemption premium); thereafter, the rate will be the greater of 7.034% or a variable rate based on 3-month LIBOR plus 2.68%.
(4)   We expect to refinance the current maturities of our debt obligations at or prior to their maturity.
 

30

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
The following table presents contractually scheduled maturities of our consolidated debt obligations outstanding at September 30, 2015 for the next five years, and in total thereafter:

 
 
   
Scheduled Maturities of Debt
 
 
 
Total
   
Remainder
of 2015
   
2016
   
2017
   
2018
   
2019
   
After
2019
 
Commercial Paper Notes
 
$
869.5
   
$
869.5
   
$
--
   
$
--
   
$
--
   
$
--
   
$
--
 
Senior Notes
   
20,150.0
     
--
     
750.0
     
800.0
     
1,100.0
     
1,500.0
     
16,000.0
 
Junior Subordinated Notes
   
1,478.3
     
--
     
--
     
--
     
--
     
--
     
1,478.3
 
Total
 
$
22,497.8
   
$
869.5
   
$
750.0
   
$
800.0
   
$
1,100.0
   
$
1,500.0
   
$
17,478.3
 

Parent-Subsidiary Guarantor Relationships
Enterprise Products Partners L.P. acts as guarantor of the consolidated debt obligations of EPO, with the exception of the remaining immaterial debt obligations of TEPPCO.  If EPO were to default on any of its guaranteed debt, Enterprise Products Partners L.P. would be responsible for full and unconditional repayment of that obligation.

Issuance of $2.5 Billion of Senior Notes in May 2015
In May 2015, EPO issued $750 million in principal amount of 1.65% senior notes due May 2018 (“Senior Notes OO”), $875 million in principal amount of 3.70% senior notes due February 2026 (“Senior Notes PP”) and $875 million in principal amount of 4.90% senior notes due May 2046 (“Senior Notes QQ”).  Senior Notes OO, PP and QQ were issued at 99.881%, 99.635% and 99.635% of their principal amounts, respectively.

Net proceeds from the issuance of these senior notes were used as follows: (i) the repayment of amounts outstanding under EPO’s commercial paper program, which included amounts we used to repay $250 million in principal amount of Senior Notes I that matured in March 2015, (ii) the repayment of amounts outstanding at the maturity of our $400 million in principal amount of Senior Notes X that matured in June 2015 and (iii) for general company purposes.

Enterprise Products Partners L.P. has unconditionally guaranteed these senior notes on an unsecured and unsubordinated basis.  These senior notes rank equal with EPO’s existing and future unsecured and unsubordinated indebtedness and are senior to any existing and future subordinated indebtedness of EPO.  These senior notes are subject to make-whole redemption rights and were issued under an indenture containing certain covenants, which generally restrict EPO’s ability (with certain exceptions) to incur debt secured by liens and engage in sale and leaseback transactions.

Partial Retirement of Junior Subordinated Notes During Third Quarter of 2015
During the third quarter of 2015, EPO retired $28.1 million of its Junior Subordinated Notes A and $26.3 million of its Junior Subordinated Notes C with cash from operations.  A $1.4 million gain on the extinguishment of these debt obligations is included in “Other, net” on our Unaudited Condensed Statements of Consolidated Operations.

364-Day Credit Agreement
In September 2015, EPO amended its 364-Day Credit Agreement to extend its maturity date to September 2016.  There are currently no principal amounts outstanding under this revolving credit agreement.  Under the terms of the 364-Day Credit Agreement, EPO may borrow up to $1.5 billion (which may be increased by up to $200 million to $1.7 billion at EPO’s election, provided certain conditions are met) at a variable interest rate for a term of 364 days, subject to the terms and conditions set forth therein.  To the extent that principal amounts are outstanding at the maturity date, EPO may elect to have the entire principal balance then outstanding continued as a non-revolving term loan for a period of one additional year, payable in September 2017. The remaining terms of the 364-Day Credit Agreement, as amended, remain materially the same as those reported for the 364-Day Credit Agreement in our 2014 Form 10-K.
31

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Multi-Year Revolving Credit Facility
In September 2015, EPO amended its Multi-Year Revolving Credit Facility to increase its borrowing capacity from $3.5 billion to $4.0 billion and extend its maturity date from June 2018 to September 2020.  The amended agreement also provides that EPO may increase its borrowing capacity to $4.5 billion by allowing existing lenders under the facility to increase their respective commitments or by adding one or more new lenders to the facility. The remaining terms of the Multi-Year Revolving Credit Facility, as amended, remain materially the same as those reported for the Multi-Year Revolving Credit Facility in our 2014 Form 10-K.

Letters of Credit
At September 30, 2015, EPO had $2.5 million of letters of credit outstanding related to operations at our facilities and motor fuel tax obligations.

Lender Financial Covenants
We were in compliance with the financial covenants of our consolidated debt agreements at September 30, 2015.

Information Regarding Variable Interest Rates Paid
The following table presents the range of interest rates and weighted-average interest rates paid on our consolidated variable-rate debt during the nine months ended September 30, 2015:

 
Range of
Interest Rates
Paid
Weighted-Average
Interest Rate
Paid
Commercial Paper Notes
0.35% to 0.78%
0.59%
EPO Multi-Year Revolving Credit Facility
1.15% to 3.25%
1.30%


Note 11.  Equity and Distributions

Partners’ equity reflects the various classes of limited partner interests (i.e., common units, including restricted common units) that we have outstanding.  The following table summarizes changes in the number of our outstanding units since December 31, 2014:

 
Common
Units
(Unrestricted)
 
Restricted
Common
Units
 
Total
Common
Units
Number of units outstanding at December 31, 2014
1,933,095,027
 
4,229,790
 
1,937,324,817
Common units issued in connection with ATM  program
23,258,453
 
--
 
23,258,453
Common units issued in connection with DRIP and EUPP
8,251,315
 
--
 
8,251,315
Common units issued in connection with Step 2 of Oiltanking acquisition
36,827,517
 
--
 
36,827,517
Common units issued in connection with the vesting and exercise of unit options
333,002
 
--
 
333,002
Common units issued in connection with the vesting of phantom unit awards
613,689
 
--
 
613,689
Common units issued in connection with the vesting of restricted common unit awards
1,997,194
 
(1,997,194)
 
--
Forfeiture of restricted common unit awards
--
 
(157,750)
 
(157,750)
Acquisition and cancellation of treasury units in connection with the
vesting of equity-based awards
(680,496)
 
--
 
(680,496)
Other
15,054
 
--
 
15,054
Number of units outstanding at September 30, 2015
2,003,710,755
 
2,074,846
 
2,005,785,601

We may issue additional equity or debt securities to assist us in meeting our future liquidity and capital spending requirements. We have a universal shelf registration statement (the “2013 Shelf”) on file with the SEC. The 2013 Shelf allows Enterprise Products Partners L.P. and EPO (on a standalone basis) to issue an unlimited amount of equity and debt securities.
32

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

On July 1, 2015, we filed a registration statement with the SEC covering the issuance of up to $1.92 billion of our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of such offerings.  Pursuant to this “at-the-market” program (“ATM program”), we may sell common units under an equity distribution agreement between Enterprise Products Partners L.P. and certain broker-dealers from time-to-time by means of ordinary brokers’ transactions through the NYSE at market prices, in block transactions or as otherwise agreed to with the broker-dealer parties to the agreement.  The new registration statement was declared effective on August 3, 2015 and replaced our prior registration statement with respect to the ATM program, which was filed with the SEC in October 2013 and covered the issuance of up to $1.25 billion of our common units.  Immediately prior to the effectiveness of the new registration statement, we had the capacity to issue additional common units under the ATM program up to an aggregate sales price of $424.6 million (after giving effect to sales of common units previously made under the program).  Following the effectiveness of the new registration statement and after taking into account the aggregate sales price of common units sold under our ATM program through September 30, 2015 as described below, we now have the capacity to issue additional common units under our ATM program up to an aggregate sales price of $1.92 billion.

During the nine months ended September 30, 2015, we issued 23,258,453 common units under the ATM program for aggregate gross proceeds of $767.1 million.  This includes 3,225,057 common units sold in March 2015 to a privately held affiliate of EPCO, which generated gross proceeds of $100 million.  After taking into account applicable costs, our transactions under the ATM program resulted in aggregate net cash proceeds of $759.7 million during the nine months ended September 30, 2015.  During the nine months ended September 30, 2014, we issued 1,590,334 common units under this program for aggregate gross cash proceeds of $58.3 million, resulting in total net cash proceeds of $57.7 million.  

We also have registration statements on file with the SEC collectively authorizing the issuance of up to 140,000,000 of our common units in connection with a distribution reinvestment plan (“DRIP”).  We issued a total of 7,965,318 common units under our DRIP during the nine months ended September 30, 2015, which generated net cash proceeds of $242.8 million.  During the nine months ended September 30, 2014, we issued 7,148,778 common units under our DRIP, which generated net cash proceeds of $239.8 million.  Privately held affiliates of EPCO reinvested $50 million and $75 million through the DRIP in each of the nine month periods ending September 30, 2015 and 2014, respectively (this amount being a component of the net cash proceeds presented for both periods).  After taking into account the number of common units issued under the DRIP through September 30, 2015, we have the capacity to issue an additional 19,516,031 common units under this plan.

In addition to the DRIP, we have registration statements on file with the SEC authorizing the issuance of up to 8,000,000 of our common units in connection with our employee unit purchase plan (“EUPP”).  We issued 285,997 common units under our EUPP during the nine months ended September 30, 2015, which generated net cash proceeds of $8.9 million.  During the nine months ended September 30, 2014, we issued 207,126 common units under our EUPP, which generated net cash proceeds of $7.4 million.  After taking into account the number of common units issued under the EUPP through September 30, 2015, we may issue an additional 6,867,071 common units under this plan.

The net cash proceeds we received from the issuance of common units during the nine months ended September 30, 2015 were used to temporarily reduce amounts outstanding under EPO’s commercial paper program and revolving credit facilities and for general company purposes.

Completion of Oiltanking Acquisition
In October 2014, we completed the first step (“Step 1”) of a two-step acquisition of Oiltanking by paying approximately $4.41 billion to OTA for Oiltanking GP, the related IDRs and approximately 65.9% of the limited partner interests of Oiltanking. As a second step (“Step 2”) of the Oiltanking acquisition (separately negotiated by the conflicts committee of Oiltanking GP on behalf of Oiltanking), we entered into an Agreement and Plan of Merger (the “merger agreement”) with Oiltanking in November 2014 that provided for the following:

§
the merger of a wholly owned subsidiary of Enterprise with and into Oiltanking, with Oiltanking surviving the merger as a wholly owned subsidiary of Enterprise; and
33

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

§
all outstanding common units of Oiltanking at the effective time of the merger held by Oiltanking’s public unitholders (which consisted of Oiltanking unitholders other than Enterprise and its subsidiaries) to be cancelled and converted into Enterprise common units based on an exchange ratio of 1.30 Enterprise common units for each Oiltanking common unit.
 
In accordance with the merger agreement and Oiltanking’s partnership agreement, the merger was submitted to a vote of Oiltanking’s common unitholders, with the required majority of unitholders (including our ownership interests) voting to approve the merger on February 13, 2015.  Upon approval of the merger, a total of 36,827,517 of our common units were issued to Oiltanking’s former public unitholders.  With the completion of Step 2, total consideration paid by Enterprise for Oiltanking was approximately $5.9 billion.

Step 2 of the acquisition was accounted for in accordance with ASC Topic 810, Consolidations – Overall – Changes in Parent’s Ownership Interest in a Subsidiary. Since we had a controlling financial interest in Oiltanking before and after completion of Step 2, the increase in our ownership interest in Oiltanking was accounted for as an equity transaction with no gain or loss recognized. Step 2 represented our acquisition of the noncontrolling interests in Oiltanking; therefore, approximately $1.4 billion of noncontrolling interests attributable to Oiltanking was reclassified to limited partners’ equity to reflect the February 2015 issuance of 36,827,517 new common units.

See Note 15 for information regarding requests from the Federal Trade Commission (“FTC”) and the Attorney General of the State of Texas in connection with the Oiltanking acquisition.

We consider our purchase price allocation for the Oiltanking acquisition to be final.  We finalized the determination of the fair value of the Liquidity Option Agreement during the third quarter of 2015.  Subsequent changes in the fair value of this option will be recorded in earnings each reporting period until the option expires or is exercised.

Noncontrolling Interests
Noncontrolling interests represent third party equity ownership interests in our consolidated subsidiaries, including Enterprise EF78 LLC, Rio Grande Pipeline Company, Tri-States NGL Pipeline L.L.C., Panola Pipeline Company, LLC and Wilprise Pipeline Company LLC.

In July 2015, as part of the sale of our Offshore Business to Genesis, we sold our ownership interests in Independence Hub LLC and no longer report this third party ownership as noncontrolling interests.

As previously described, we reclassified approximately $1.4 billion of noncontrolling interests to limited partners’ equity in connection with completing Step 2 of the Oiltanking acquisition in February 2015. Cash distributions paid in the first quarter of 2015 to the limited partners of Oiltanking other than EPO and its subsidiaries are presented as amounts paid to noncontrolling interests.

In February 2015, we formed a joint venture involving our Panola NGL Pipeline with affiliates of Anadarko Petroleum Corporation (“Anadarko”), DCP Midstream Partners, LP (“DCP”) and MarkWest Energy Partners, L.P. (“MarkWest”).  We will continue to serve as operator of the Panola Pipeline and own 55% of the member interests in the joint venture.  Affiliates of Anadarko, DCP and MarkWest will own the remaining 45% member interests, with each holding a 15% interest.  The Panola Pipeline transports mixed NGLs from points near Carthage, Texas to Mont Belvieu, Texas and supports the Haynesville and Cotton Valley oil and gas production areas.
34

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Accumulated Other Comprehensive Income (Loss)
The following tables present the components of accumulated other comprehensive income (loss) as reported on our Unaudited Condensed Consolidated Balance Sheets at the dates indicated:

 
 
Gains (Losses) on
Cash Flow Hedges
   
   
 
 
 
Commodity
Derivative
Instruments
   
Interest Rate
Derivative
Instruments
   
Other
   
Total
 
Balance, December 31, 2014
 
$
69.9
   
$
(314.8
)
 
$
3.3
   
$
(241.6
)
Other comprehensive income before reclassifications
   
112.3
     
--
     
0.4
     
112.7
 
Amounts reclassified from accumulated other comprehensive loss (income)
   
(128.1
)
   
26.3
     
--
     
(101.8
)
Total other comprehensive income (loss)
   
(15.8
)
   
26.3
     
0.4
     
10.9
 
Balance, September 30, 2015
 
$
54.1
   
$
(288.5
)
 
$
3.7
   
$
(230.7
)

 
 
Gains (Losses) on
Cash Flow Hedges
   
   
 
 
 
Commodity
Derivative
Instruments
   
Interest Rate
Derivative
Instruments
   
Other
   
Total
 
Balance, December 31, 2013
 
$
(14.7
)
 
$
(347.2
)
 
$
2.9
   
$
(359.0
)
Other comprehensive income before reclassifications
   
16.1
     
--
     
--
     
16.1
 
Amounts reclassified from accumulated other comprehensive loss
   
12.9
     
23.9
     
--
     
36.8
 
Total other comprehensive income
   
29.0
     
23.9
     
--
     
52.9
 
Balance, September 30, 2014
 
$
14.3
   
$
(323.3
)
 
$
2.9
   
$
(306.1
)

The following table presents reclassifications out of accumulated other comprehensive income (loss) into net income during the periods indicated:
 
 
  
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
Location  
2015
   
2014
   
2015
   
2014
 
Losses (gains) on cash flow hedges:
                 
Interest rate derivatives
Interest expense
 
$
8.9
   
$
8.0
   
$
26.3
   
$
23.9
 
Commodity derivatives
Revenue
   
(46.8
)
   
(17.8
)
   
(128.6
)
   
14.5
 
Commodity derivatives
Operating costs and expenses
   
--
     
(0.2
)
   
0.5
     
(1.6
)
Total
 
 
$
(37.9
)
 
$
(10.0
)
 
$
(101.8
)
 
$
36.8
 

Cash Distributions
The following table presents our declared quarterly cash distribution rates per common unit with respect to the quarter indicated:

 
 
Distribution Per
Common Unit
 
Record
Date
Payment
Date
2014:
          
1st Quarter
 
$
0.3550
 
4/30/2014
5/7/2014
2nd Quarter
 
$
0.3600
 
7/31/2014
8/7/2014
3rd Quarter
 
$
0.3650
 
10/31/2014
11/7/2014
2015:
       
 
    
1st Quarter
 
$
0.3750
 
4/30/2015
5/7/2015
2nd Quarter
 
$
0.3800
 
7/31/2015
8/7/2015
3rd Quarter
 
$
0.3850
 
10/30/2015
11/6/2015

In November 2010, we completed our merger with Enterprise GP Holdings L.P. (the “Holdings Merger”). In connection with the Holdings Merger, a privately held affiliate of EPCO agreed to temporarily waive the regular cash distributions it would otherwise receive from us with respect to a certain number of our common units it owns (the “Designated Units”). Distributions paid by us to this privately held affiliate of EPCO during 2015 excluded 35,380,000 Designated Units. The temporary distribution waiver expires at the end of calendar year 2015; therefore, distributions to be paid, if any, during calendar year 2016 will include all common units owned by the privately held affiliates of EPCO.

35

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Note 12.  Business Segments

Our historical operations are reported under five business segments: (i) NGL Pipelines & Services, (ii) Crude Oil Pipelines & Services, (iii) Natural Gas Pipelines & Services, (iv) Petrochemical & Refined Products Services and (v) Offshore Pipelines & Services. Our business segments are generally organized and managed according to the types of services rendered (or technologies employed) and products produced and/or sold.

Our consolidated financial statements reflect ownership of the Offshore Business through July 24, 2015, which was the closing date of the sales transaction.  See Note 6 for additional information related to the sale of our Offshore Business.

Segment revenues include intersegment and intrasegment transactions, which are generally based on transactions made at market-based rates.  Our consolidated revenues reflect the elimination of intercompany transactions.  Substantially all of our consolidated revenues are earned in the U.S. and derived from a wide customer base.

We evaluate segment performance based on the non-GAAP financial measure of gross operating margin.  Gross operating margin (either in total or by individual segment) is an important performance measure of the core profitability of our operations.  This measure forms the basis of our internal financial reporting and is used by our executive management in deciding how to allocate capital resources among business segments.  We believe that investors benefit from having access to the same financial measures that our management uses in evaluating segment results.  The GAAP financial measure most directly comparable to total segment gross operating margin is operating income.

In total, gross operating margin represents operating income exclusive of (1) depreciation, amortization and accretion expenses, (2) impairment charges, (3) gains and losses attributable to asset sales and insurance recoveries and (4) general and administrative costs.  Gross operating margin includes equity in income of unconsolidated affiliates and non-refundable deferred transportation revenues relating to the make-up rights of committed shippers associated with certain pipelines.  Gross operating margin by segment is calculated by subtracting segment operating costs and expenses (net of the adjustments noted above) from segment revenues, with both segment totals before the elimination of intercompany transactions.  In accordance with GAAP, intercompany accounts and transactions are eliminated in consolidation.  Gross operating margin is exclusive of other income and expense transactions, income taxes, the cumulative effect of changes in accounting principles and extraordinary charges.  Gross operating margin is presented on a 100% basis before any allocation of earnings to noncontrolling interests.

Segment assets consist of property, plant and equipment, investments in unconsolidated affiliates, intangible assets and goodwill.  The carrying values of such amounts are assigned to each segment based on each asset’s or investment’s principal operations and contribution to the gross operating margin of that particular segment.  Since construction-in-progress amounts (a component of property, plant and equipment) generally do not contribute to segment gross operating margin, such amounts are excluded from segment asset totals until the underlying assets are placed in service.  Intangible assets and goodwill are assigned to each segment based on the classification of the assets to which they relate.  Substantially all of our plants, pipelines and other fixed assets are located in the U.S.
36

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

The following table presents our measurement of non-GAAP total segment gross operating margin for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Revenues
 
$
6,307.9
   
$
12,330.2
   
$
20,872.9
   
$
37,760.9
 
Subtract operating costs and expenses
   
(5,452.6
)
   
(11,414.8
)
   
(18,426.5
)
   
(34,934.4
)
Add equity in income of unconsolidated affiliates
   
103.1
     
72.3
     
302.5
     
179.1
 
Add depreciation, amortization and accretion expense amounts not reflected in gross operating margin
   
351.1
     
322.7
     
1,082.0
     
936.5
 
Add impairment charges not reflected in gross operating margin
   
26.8
     
5.7
     
139.1
     
18.2
 
Add net losses or subtract net gains attributable to asset sales and insurance recoveries not reflected in gross operating margin (see Note 16)
   
12.3
     
(2.6
)
   
14.7
     
(99.0
)
Add non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
   
3.4
     
21.6
     
39.3
     
66.8
 
Subtract subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
   
(10.9
)
   
--
     
(45.3
)
   
--
 
Total segment gross operating margin
 
$
1,341.1
   
$
1,335.1
   
$
3,978.7
   
$
3,928.1
 

The following table presents a reconciliation of total segment gross operating margin to operating income and further to income before income taxes for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Total segment gross operating margin
 
$
1,341.1
   
$
1,335.1
   
$
3,978.7
   
$
3,928.1
 
Adjustments to reconcile total segment gross operating margin to operating income:
                               
Subtract depreciation, amortization and accretion expense amounts not reflected in gross operating margin
   
(351.1
)
   
(322.7
)
   
(1,082.0
)
   
(936.5
)
Subtract impairment charges not reflected in gross operating margin
   
(26.8
)
   
(5.7
)
   
(139.1
)
   
(18.2
)
Add net gains or subtract net losses attributable to asset sales and insurance recoveries not reflected in gross operating margin
   
(12.3
)
   
2.6
     
(14.7
)
   
99.0
 
Subtract non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
   
(3.4
)
   
(21.6
)
   
(39.3
)
   
(66.8
)
Add subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
   
10.9
     
--
     
45.3
     
--
 
Subtract general and administrative costs not reflected in gross operating margin
   
(49.0
)
   
(50.0
)
   
(143.2
)
   
(150.9
)
Operating income
   
909.4
     
937.7
     
2,605.7
     
2,854.7
 
Other expense, net
   
(246.2
)
   
(230.8
)
   
(736.4
)
   
(679.8
)
Income before income taxes
 
$
663.2
   
$
706.9
   
$
1,869.3
   
$
2,174.9
 

37

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
Information by business segment, together with reconciliations to our consolidated financial statement totals, is presented in the following table:

 
 
Reportable Business Segments
   
   
 
 
 
NGL
Pipelines
& Services
   
Crude Oil
Pipelines
& Services
   
Natural Gas
Pipelines
& Services
   
Petrochemical
& Refined Products Services
   
Offshore
Pipelines
& Services
   
Adjustments
and
Eliminations
   
Consolidated
Total
 
Revenues from third parties:
 
   
   
   
   
   
   
 
Three months ended September 30, 2015
 
$
2,284.6
   
$
2,316.4
   
$
705.2
   
$
980.0
   
$
7.8
   
$
--
   
$
6,294.0
 
Three months ended September 30, 2014
   
4,024.0
     
5,435.6
     
1,026.5
     
1,792.0
     
41.1
     
--
     
12,319.2
 
Nine months ended September 30, 2015
   
7,223.2
     
8,080.4
     
2,117.5
     
3,347.6
     
76.9
     
--
     
20,845.6
 
Nine months ended September 30, 2014
   
13,217.2
     
16,236.6
     
3,261.0
     
4,869.9
     
112.4
     
--
     
37,697.1
 
Revenues from related parties:
                                                       
Three months ended September 30, 2015
   
2.2
     
6.2
     
4.5
     
--
     
1.0
     
--
     
13.9
 
Three months ended September 30, 2014
   
2.7
     
1.5
     
5.4
     
--
     
1.4
     
--
     
11.0
 
Nine months ended September 30, 2015
   
6.0
     
8.6
     
10.8
     
--
     
1.9
     
--
     
27.3
 
Nine months ended September 30, 2014
   
10.2
     
31.1
     
16.5
     
--
     
6.0
     
--
     
63.8
 
Intersegment and intrasegment revenues:
                                                       
Three months ended September 30, 2015
   
2,461.0
     
1,142.1
     
180.2
     
267.3
     
0.1
     
(4,050.7
)
   
--
 
Three months ended September 30, 2014
   
3,603.8
     
2,529.5
     
231.0
     
452.2
     
1.2
     
(6,817.7
)
   
--
 
Nine months ended September 30, 2015
   
7,685.1
     
3,958.9
     
519.7
     
875.8
     
0.6
     
(13,040.1
)
   
--
 
Nine months ended September 30, 2014
   
10,789.7
     
10,714.5
     
835.8
     
1,317.6
     
4.8
     
(23,662.4
)
   
--
 
Total revenues:
                                                       
Three months ended September 30, 2015
   
4,747.8
     
3,464.7
     
889.9
     
1,247.3
     
8.9
     
(4,050.7
)
   
6,307.9
 
Three months ended September 30, 2014
   
7,630.5
     
7,966.6
     
1,262.9
     
2,244.2
     
43.7
     
(6,817.7
)
   
12,330.2
 
Nine months ended September 30, 2015
   
14,914.3
     
12,047.9
     
2,648.0
     
4,223.4
     
79.4
     
(13,040.1
)
   
20,872.9
 
Nine months ended September 30, 2014
   
24,017.1
     
26,982.2
     
4,113.3
     
6,187.5
     
123.2
     
(23,662.4
)
   
37,760.9
 
Equity in income (loss) of unconsolidated affiliates:
                                                       
Three months ended September 30, 2015
   
18.9
     
81.2
     
0.9
     
(3.3
)
   
5.4
     
--
     
103.1
 
Three months ended September 30, 2014
   
11.7
     
46.8
     
0.9
     
(4.2
)
   
17.1
     
--
     
72.3
 
Nine months ended September 30, 2015
   
43.0
     
220.5
     
2.8
     
(10.4
)
   
46.6
     
--
     
302.5
 
Nine months ended September 30, 2014
   
19.2
     
131.7
     
2.7
     
(10.3
)
   
35.8
     
--
     
179.1
 
Gross operating margin:
                                                       
Three months ended September 30, 2015
   
695.5
     
254.6
     
192.4
     
191.5
     
7.1
     
--
     
1,341.1
 
Three months ended September 30, 2014
   
711.5
     
190.8
     
195.4
     
190.3
     
47.1
     
--
     
1,335.1
 
Nine months ended September 30, 2015
   
2,041.3
     
704.2
     
588.3
     
547.4
     
97.5
     
--
     
3,978.7
 
Nine months ended September 30, 2014
   
2,172.4
     
534.5
     
618.8
     
482.4
     
120.0
     
--
     
3,928.1
 
Property, plant and equipment, net:
(see Note 6)
                                                       
At September 30, 2015
   
12,192.8
     
3,550.0
     
8,680.6
     
3,013.5
     
--
     
3,777.2
     
31,214.1
 
At December 31, 2014
   
11,766.9
     
2,332.2
     
8,835.5
     
3,047.2
     
1,145.1
     
2,754.7
     
29,881.6
 
Investments in unconsolidated affiliates:
(see Note 7)
                                                       
At September 30, 2015
   
708.9
     
1,817.9
     
23.1
     
75.4
     
--
     
--
     
2,625.3
 
At December 31, 2014
   
682.3
     
1,767.7
     
23.2
     
75.1
     
493.7
     
--
     
3,042.0
 
Intangible assets, net: (see Note 9)
                                                       
At September 30, 2015
   
460.4
     
2,402.3
     
1,025.7
     
193.7
     
--
     
--
     
4,082.1
 
At December 31, 2014
   
689.2
     
2,223.6
     
972.9
     
374.8
     
41.6
     
--
     
4,302.1
 
Goodwill: (see Note 9)
                                                       
At September 30, 2015
   
2,651.7
     
1,842.8
     
296.3
     
958.4
     
--
     
--
     
5,749.2
 
At December 31, 2014
   
2,210.2
     
918.7
     
296.3
     
793.0
     
82.0
     
--
     
4,300.2
 
Segment assets:
                                                       
At September 30, 2015
   
16,013.8
     
9,613.0
     
10,025.7
     
4,241.0
     
--
     
3,777.2
     
43,670.7
 
At December 31, 2014
   
15,348.6
     
7,242.2
     
10,127.9
     
4,290.1
     
1,762.4
     
2,754.7
     
41,525.9
 

38

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
The following table presents additional information regarding our consolidated revenues and costs and expenses for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services:
 
   
   
   
 
Sales of NGLs and related products
 
$
1,844.9
   
$
3,603.4
   
$
5,936.2
   
$
12,029.8
 
Midstream services
   
441.9
     
423.3
     
1,293.0
     
1,197.6
 
Total
   
2,286.8
     
4,026.7
     
7,229.2
     
13,227.4
 
Crude Oil Pipelines & Services:
                               
Sales of crude oil
   
2,147.3
     
5,348.2
     
7,689.3
     
16,003.5
 
Midstream services
   
175.3
     
88.9
     
399.7
     
264.2
 
Total
   
2,322.6
     
5,437.1
     
8,089.0
     
16,267.7
 
Natural Gas Pipelines & Services:
                               
Sales of natural gas
   
455.0
     
775.5
     
1,361.2
     
2,515.7
 
Midstream services
   
254.7
     
256.4
     
767.1
     
761.8
 
Total
   
709.7
     
1,031.9
     
2,128.3
     
3,277.5
 
Petrochemical & Refined Products Services:
                               
Sales of petrochemicals and refined products
   
780.5
     
1,605.4
     
2,764.2
     
4,338.2
 
Midstream services
   
199.5
     
186.6
     
583.4
     
531.7
 
Total
   
980.0
     
1,792.0
     
3,347.6
     
4,869.9
 
Offshore Pipelines & Services:
                               
Sales of natural gas
   
--
     
--
     
--
     
0.2
 
Sales of crude oil
   
0.4
     
2.5
     
3.2
     
7.5
 
Midstream services
   
8.4
     
40.0
     
75.6
     
110.7
 
Total
   
8.8
     
42.5
     
78.8
     
118.4
 
Total consolidated revenues
 
$
6,307.9
   
$
12,330.2
   
$
20,872.9
   
$
37,760.9
 
 
                               
Consolidated costs and expenses
                               
Operating costs and expenses:
                               
Cost of sales
 
$
4,419.9
   
$
10,455.1
   
$
15,355.9
   
$
32,213.1
 
Other operating costs and expenses (1)
   
642.5
     
633.9
     
1,834.8
     
1,865.6
 
Depreciation, amortization and accretion
   
351.1
     
322.7
     
1,082.0
     
936.5
 
Net losses (gains) attributable to asset sales
   and insurance recoveries
   
12.3
     
(2.6
)
   
14.7
     
(99.0
)
Non-cash asset impairment charges
   
26.8
     
5.7
     
139.1
     
18.2
 
General and administrative costs
   
49.0
     
50.0
     
143.2
     
150.9
 
Total consolidated costs and expenses
 
$
5,501.6
   
$
11,464.8
   
$
18,569.7
   
$
35,085.3
 
    
(1)    Represents cost of operating our plants, pipelines and other fixed assets, excluding depreciation, amortization and accretion charges.
 

Fluctuations in our product sales revenues and related cost of sales amounts are explained in part by changes in energy commodity prices.  In general, lower energy commodity prices result in a decrease in our revenues attributable to product sales; however, these lower commodity prices also decrease the associated cost of sales as purchase costs decline.  The same correlation would be true in the case of higher energy commodity sales prices and purchase costs.


Note 13.  Related Party Transactions

The following table summarizes our related party transactions for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Revenues – related parties:
               
Unconsolidated affiliates
 
$
13.9
   
$
11.0
   
$
27.3
   
$
63.8
 
Costs and expenses – related parties:
                               
EPCO and its privately held affiliates
 
$
246.0
   
$
212.8
   
$
703.9
   
$
688.0
 
Unconsolidated affiliates
   
66.9
     
35.8
     
165.3
     
138.4
 
Total
 
$
312.9
   
$
248.6
   
$
869.2
   
$
826.4
 

39

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
The following table summarizes our related party accounts receivable and accounts payable balances at the dates indicated:

 
 
September 30,
2015
   
December 31,
2014
 
Accounts receivable - related parties:
 
   
 
Unconsolidated affiliates
 
$
1.7
   
$
2.8
 
 
               
Accounts payable - related parties:
               
EPCO and its privately held affiliates
 
$
64.6
   
$
98.1
 
Unconsolidated affiliates
   
15.7
     
20.8
 
Total
 
$
80.3
   
$
118.9
 

We believe that the terms and provisions of our related party agreements are fair to us; however, such agreements and transactions may not be as favorable to us as we could have obtained from unaffiliated third parties.

Relationship with EPCO and its Privately Held Affiliates
We have an extensive and ongoing relationship with EPCO and its privately held affiliates (including Enterprise GP, our general partner), which are not a part of our consolidated group of companies.  

At September 30, 2015, EPCO and its privately held affiliates (including Dan Duncan LLC and certain Duncan family trusts) beneficially owned the following limited partner interests in us:

Total Number
 of Units
Percentage of
Total Units
Outstanding
675,259,617
33.7%

Of the total number of units held by EPCO and its privately held affiliates, 118,000,000 have been pledged as security under the credit facilities of certain of the privately held affiliates at September 30, 2015.  These credit facilities contain customary and other events of default, including defaults by us and other affiliates of EPCO.  An event of default, followed by a foreclosure on the pledged collateral, could ultimately result in a change in ownership of these units and affect the market price of our common units.

We and Enterprise GP are both separate legal entities apart from each other and apart from EPCO and its other affiliates, with assets and liabilities that are also separate from those of EPCO and its other affiliates.  EPCO and its privately held affiliates depend on the cash distributions they receive from us and other investments to fund their other activities and to meet their debt obligations.  During the nine months ended September 30, 2015 and 2014, we paid EPCO and its privately held affiliates cash distributions totaling $705.9 million and $652.8 million, respectively.  Distributions paid during the nine months ended September 30, 2015 excluded 35,380,000 Designated Units (see Note 11).  Likewise, distributions paid during the nine months ended September 30, 2014 excluded 45,120,000 Designated Units.

From time-to-time, EPCO and its privately held affiliates elect to reinvest a portion of the cash distributions they receive from us into the purchase of additional common units under our DRIP. These purchases totaled $50 million and $75 million for the nine months ended September 30, 2015 and 2014, respectively. In addition, a total of $50 million of distributions were reinvested in connection with the distribution we paid on November 6, 2015.  In March 2015, a privately held affiliate of EPCO purchased 3,225,057 common units from us under our ATM program for $31.01 per unit. See Note 11 for additional information regarding our DRIP and ATM program.
40

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

We have no employees.  All of our operating functions and general and administrative support services are provided by employees of EPCO pursuant to the ASA or by other service providers. The following table presents our related party costs and expenses attributable to the ASA with EPCO for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Operating costs and expenses
 
$
215.3
   
$
179.0
   
$
612.2
   
$
591.6
 
General and administrative expenses
   
26.4
     
29.6
     
78.8
     
84.5
 
Total costs and expenses
 
$
241.7
   
$
208.6
   
$
691.0
   
$
676.1
 


Note 14.  Earnings Per Unit

The following table presents our calculation of basic and diluted earnings per unit for the periods indicated:

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
BASIC EARNINGS PER UNIT
 
   
   
   
 
Net income attributable to limited partners
 
$
649.3
   
$
691.1
   
$
1,836.4
   
$
2,127.6
 
Undistributed earnings allocated and cash payments on phantom unit awards (1)
   
(2.2
)
   
(1.3
)
   
(6.6
)
   
(4.0
)
Net income available to common unitholders
 
$
647.1
   
$
689.8
   
$
1,829.8
   
$
2,123.6
 
 
                               
Basic weighted-average number of common units outstanding
   
1,969.3
     
1,834.2
     
1,952.3
     
1,831.1
 
 
                               
Basic earnings per unit
 
$
0.33
   
$
0.38
   
$
0.94
   
$
1.16
 
 
                               
DILUTED EARNINGS PER UNIT
                               
Net income attributable to limited partners
 
$
649.3
   
$
691.1
   
$
1,836.4
   
$
2,127.6
 
 
                               
Diluted weighted-average number of units outstanding:
                               
Distribution-bearing common units
   
1,969.3
     
1,834.2
     
1,952.3
     
1,831.1
 
Designated Units
   
35.4
     
45.1
     
35.4
     
45.1
 
Phantom units (1)
   
5.7
     
3.4
     
5.4
     
2.8
 
Incremental option units
   
0.1
     
0.7
     
0.2
     
1.0
 
Total
   
2,010.5
     
1,883.4
     
1,993.3
     
1,880.0
 
 
                               
Diluted earnings per unit
 
$
0.32
   
$
0.37
   
$
0.92
   
$
1.13
 
 
(1)     Each phantom unit award includes a DER, which entitles the recipient to receive cash payments equal to the product of the number of phantom unit awards and the cash distribution per unit paid to our common unitholders. Cash payments made in connection with DERs are nonforfeitable. As a result, the phantom units are considered participating securities for purposes of computing basic earnings per unit. Phantom unit awards were first issued in February 2014.
 


Note 15.  Commitments and Contingencies

Litigation
As part of our normal business activities, we may be named as defendants in legal proceedings, including those arising from regulatory and environmental matters.  Although we are insured against various risks to the extent we believe it is prudent, there is no assurance that the nature and amount of such insurance will be adequate, in every case, to fully indemnify us against losses arising from future legal proceedings.  We will vigorously defend the partnership in litigation matters.
41

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Management has regular quarterly litigation reviews, including updates from legal counsel, to assess the possible need for accounting recognition and disclosure of these contingencies.  We accrue an undiscounted liability for those contingencies where the loss is probable and the amount can be reasonably estimated.  If a range of probable loss amounts can be reasonably estimated and no amount within the range is a better estimate than any other amount, then the minimum amount in the range is accrued.

We do not record a contingent liability when the likelihood of loss is probable but the amount cannot be reasonably estimated or when the likelihood of loss is believed to be only reasonably possible or remote.  For contingencies where an unfavorable outcome is reasonably possible and the impact would be material to our consolidated financial statements, we disclose the nature of the contingency and, where feasible, an estimate of the possible loss or range of loss.  Based on a consideration of all relevant known facts and circumstances, we do not believe that the ultimate outcome of any currently pending litigation directed against us will have a material impact on our consolidated financial statements either individually at the claim level or in the aggregate.

At September 30, 2015 and December 31, 2014, our accruals for litigation contingencies were $4.6 million and $2.4 million, respectively, and were recorded in our Unaudited Condensed Consolidated Balance Sheets as a component of “Other current liabilities.”  Our evaluation of litigation contingencies is based on the facts and circumstances of each case and predicting the outcome of these matters involves uncertainties.  In the event the assumptions we use to evaluate these matters change in future periods or new information becomes available, we may be required to record additional accruals.  In an effort to mitigate expenses associated with litigation, we may settle legal proceedings out of court.

ETP Matter  
In connection with a proposed pipeline project, we and Energy Transfer Partners, L.P. (“ETP”) signed a non-binding letter of intent in April 2011 that disclaimed any partnership or joint venture related to such project absent executed definitive documents and board approvals of the respective companies.  Definitive agreements were never executed and board approval was never obtained for the potential pipeline project.  In August 2011, the proposed pipeline project was cancelled due to a lack of customer support.

In September 2011, ETP filed suit against us and a third party in connection with the cancelled project alleging, among other things, that we and ETP had formed a “partnership.”  The case was tried in the District Court of Dallas County, Texas, 298th Judicial District.  While we firmly believe, and argued during our defense, that no agreement was ever executed forming a legal joint venture or partnership between the parties, the jury found that the actions of the two companies, nevertheless, constituted a legal partnership.  As a result, the jury found that ETP was wrongfully excluded from a subsequent pipeline project involving a third party, and awarded ETP $319.4 million in actual damages on March 4, 2014.  On July 29, 2014, the court entered judgment against us in an aggregate amount of $535.8 million, which includes (i) $319.4 million as the amount of actual damages awarded by the jury, (ii) an additional $150.0 million in disgorgement for the alleged benefit we received due to a breach of fiduciary duties by us against ETP and (iii) prejudgment interest in the amount of $66.4 million.  The court also awarded post-judgment interest on such aggregate amount, to accrue at a rate of 5% per annum, compounded annually.

We do not believe that the verdict or the judgment entered against us is supported by the evidence or the law.  We filed our Brief of the Appellant in the Court of Appeals for the Fifth District of Dallas, Texas on March 30, 2015 and ETP filed its Brief of Appellees on June 29, 2015. We filed our Reply Brief of Appellant on September 18, 2015.  We intend to vigorously oppose the judgment through the appeals process.  As of September 30, 2015, we have not recorded a provision for this matter as management believes payment of damages in this case is not probable.

FTC Matter
On February 23, 2015, we received a Civil Investigative Demand and a related Subpoena Duces Tecum from the FTC requesting specified information relating to the Oiltanking acquisition and Enterprise’s operations.  On April 13, 2015, we received a Civil Investigative Demand issued by the Attorney General of the State of Texas requesting copies of the same information and any correspondence with the FTC.  We are in the process of complying with the requests and are cooperating with the investigations.  Based on the limited information that we have at this time, we are unable to predict the outcome of the investigations.
42

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Contractual Obligations
Scheduled Maturities of Debt 
We have long-term and short-term payment obligations under debt agreements.  See Note 10 for additional information regarding our scheduled future maturities of debt principal.

Operating Lease Obligations 
Consolidated lease and rental expense was $28.8 million and $23.5 million during the third quarters of 2015 and 2014, respectively. For the nine months ended September 30, 2015 and 2014, consolidated lease and rental expense was $76.4 million and $69.2 million, respectively.  Our operating lease commitments at September 30, 2015 did not differ materially from those reported in our 2014 Form 10-K.

Purchase Obligations
Our consolidated purchase obligations at September 30, 2015 did not differ materially from those reported in our 2014 Form 10-K. 

Other Commitments
In connection with the agreements to acquire EFS Midstream (see Note 8), we are obligated to spend up to an aggregate of $270 million on specified midstream gathering assets for Pioneer and Reliance, if requested by these producers, over a ten year period. If constructed, these new assets would be owned by us and be a component of the EFS Midstream asset network.

Liquidity Option Agreement
As described in Note 18 of the Notes to Consolidated Financial Statements included under Part II, Item 8 of our 2014 Form 10-K, we entered into a put option agreement (the “Liquidity Option Agreement”) with OTA and Marquard & Bahls (“M&B”) in connection with the Oiltanking acquisition. Under the Liquidity Option Agreement, we granted M&B the option to sell to us 100% of the issued and outstanding capital stock of OTA at any time within a 90-day period commencing on February 1, 2020. At that time, OTA’s only significant asset is expected to be the Enterprise common units it received in Step 1 of the Oiltanking acquisition, to the extent that such common units are not sold by M&B prior to the option exercise date pursuant to a related registration rights agreement.

During 2015, we retrospectively adjusted our provisional fair value estimate for the Liquidity Option Agreement from $119.4 million to $219.7 million.  The retrospective adjustment was applied in our December 31, 2014 Consolidated Balance Sheet as a $100.3 million increase in goodwill and a corresponding increase in the Liquidity Option Agreement liability, which is a component of “Other long-term liabilities.”  The retrospective adjustment did not impact our historical results of operations, cash flows or other balance sheet amounts.

As described in our 2014 Form 10-K, the provisional estimate represents the present value at October 1, 2014 of estimated federal and state income tax payments that we would make on the taxable income of OTA, a corporation, over a stated period of time following exercise of the option. We expect that OTA’s taxable income would, in turn, be based on an allocation of our partnership’s taxable income to the common units held by OTA and reflect any tax mitigation strategies that we believe could be employed.

Our initial fair value estimate of $119.4 million was based on a variety of assumptions (each a Level 3 input), including a key assumption that a market participant would maintain the OTA corporate structure and not divest of its Enterprise common units for 30 years following exercise of the option in 2020. After further consideration, we revised this key assumption to reflect that a market participant might elect to dissolve the OTA corporate structure and sell the Enterprise common units at earlier dates. Accordingly, for purposes of our discounted cash flow model, we assigned an equal probability to the divesture of OTA and its assets over each of the 30 years in our forecast period. As a result, our provisional fair value estimate at October 1, 2014 increased by $100.3 million to $219.7 million, with a corresponding $100.3 million increase in goodwill which has been retrospectively adjusted as of December 31, 2014. This change is not considered material to our consolidated financial statements. None of the other key valuation assumptions we listed in our 2014 Form 10-K for the Liquidity Option Agreement have changed. We finalized the determination of the initial fair value of the Liquidity Option Agreement during the third quarter of 2015.
43

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Results for the three and nine months ended September 30, 2015 include $4.3 million and $15.8 million, respectively, of non-cash accretion expense associated with the change in fair value of the Liquidity Option Agreement from October 1, 2014 through September 30, 2015.  The carrying value of the Liquidity Option Agreement, which is a component of “Other long-term liabilities” on our Unaudited Condensed Consolidated Balance Sheet, increased to $235.5 million at September 30, 2015 as of result of accretion.


Note 16.  Supplemental Cash Flow Information

The following table presents the net effect of changes in our operating accounts for the periods indicated:

 
 
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
 
Decrease (increase) in:
 
   
 
Accounts receivable – trade
 
$
1,042.5
   
$
153.6
 
Accounts receivable – related parties
   
1.2
     
4.0
 
Inventories
   
(143.2
)
   
(536.9
)
Prepaid and other current assets
   
(32.7
)
   
(44.5
)
Other assets
   
2.1
     
20.0
 
Increase (decrease) in:
               
Accounts payable – trade
   
(72.7
)
   
(14.2
)
Accounts payable – related parties
   
(38.6
)
   
(27.7
)
Accrued product payables
   
(1,248.4
)
   
(13.1
)
Accrued interest
   
(136.7
)
   
(131.7
)
Other current liabilities
   
(13.8
)
   
143.5
 
Other liabilities
   
12.4
     
11.2
 
Net effect of changes in operating accounts
 
$
(627.9
)
 
$
(435.8
)

We incurred liabilities for construction in progress that had not been paid at September 30, 2015 and December 31, 2014 of $495.1 million and $372.8 million, respectively.  Such amounts are not included under the caption “Capital expenditures” on the Unaudited Condensed Statements of Consolidated Cash Flows.

On certain of our capital projects, third parties are obligated to reimburse us for all or a portion of project expenditures.  The majority of such arrangements are associated with projects related to pipeline construction activities and production well tie-ins.  These cash receipts are presented as “Contributions in aid of construction costs” within the investing activities section of our Unaudited Condensed Statements of Consolidated Cash Flows.

In addition, we incurred a $1.0 billion payable in connection with our acquisition of EFS Midstream in July 2015 that will be paid no later than the first anniversary of the closing date of the acquisition (see Note 8).

In February 2011, we experienced an NGL release and fire at the West Storage location of our Mont Belvieu, Texas underground storage facility.  As a final installment on the property damage claim we filed in connection with this incident, we received $95.0 million of nonrefundable cash insurance proceeds during the first quarter of 2014.  Operating income for the nine months ended September 30, 2014 includes $95.0 million of gains related to these proceeds.  This gain was classified as a reduction in operating costs and expenses for the period.  
44

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

The following table presents our cash proceeds from asset sales and insurance recoveries for the periods indicated:

 
 
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
 
Sale of Offshore Business (see Note 6)
 
$
1,528.6
   
$
--
 
Insurance recoveries attributable to West Storage claims
   
--
     
95.0
 
Other cash proceeds
   
8.7
     
26.5
 
Total
 
$
1,537.3
   
$
121.5
 

The following table presents net gains (losses) attributable to asset sales and insurance recoveries for the periods indicated:

 
 
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
 
Sale of Offshore Business (see Note 6)
 
$
(12.6
)
 
$
--
 
Gains attributable to West Storage insurance recoveries
   
--
     
95.0
 
Net gains (losses) attributable to other asset sales
   
(2.1
)
   
4.0
 
Total
 
$
(14.7
)
 
$
99.0
 

45

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Note 17.  Condensed Consolidating Financial Information

EPO conducts all of our business.  Currently, we have no independent operations and no material assets outside those of EPO.

EPO has issued publicly traded debt securities.  As the parent company of EPO, Enterprise Products Partners L.P. guarantees substantially all of the debt obligations of EPO.  If EPO were to default on any of its guaranteed debt, Enterprise Products Partners L.P. would be responsible for full and unconditional repayment of that obligation.  See Note 10 for additional information regarding our consolidated debt obligations.

EPO’s consolidated subsidiaries have no significant restrictions on their ability to pay distributions or make loans to Enterprise Products Partners L.P.  

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Balance Sheet
September 30, 2015

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
ASSETS
 
   
   
   
   
   
   
 
Current assets:
 
   
   
   
   
   
   
 
Cash and cash equivalents and restricted cash
 
$
46.9
   
$
85.3
   
$
(5.5
)
 
$
126.7
   
$
--
   
$
--
   
$
126.7
 
Accounts receivable – trade, net
   
791.0
     
2,011.3
     
(0.3
)
   
2,802.0
     
--
     
--
     
2,802.0
 
Accounts receivable – related parties
   
123.1
     
780.8
     
(901.5
)
   
2.4
     
--
     
(0.7
)
   
1.7
 
Inventories
   
889.1
     
196.6
     
(0.3
)
   
1,085.4
     
--
     
--
     
1,085.4
 
Derivative assets
   
139.1
     
102.7
     
--
     
241.8
     
--
     
--
     
241.8
 
Prepaid and other current assets
   
164.7
     
247.7
     
(10.2
)
   
402.2
     
0.2
     
--
     
402.4
 
Total current assets
   
2,153.9
     
3,424.4
     
(917.8
)
   
4,660.5
     
0.2
     
(0.7
)
   
4,660.0
 
Property, plant and equipment, net
   
3,432.3
     
27,780.4
     
1.4
     
31,214.1
     
--
     
--
     
31,214.1
 
Investments in unconsolidated affiliates
   
38,310.0
     
4,094.7
     
(39,779.4
)
   
2,625.3
     
20,397.5
     
(20,397.5
)
   
2,625.3
 
Intangible assets, net
   
726.8
     
3,370.1
     
(14.8
)
   
4,082.1
     
--
     
--
     
4,082.1
 
Goodwill
   
459.1
     
5,290.1
     
--
     
5,749.2
     
--
     
--
     
5,749.2
 
Other assets
   
226.4
     
49.0
     
(78.8
)
   
196.6
     
0.5
     
--
     
197.1
 
Total assets
 
$
45,308.5
   
$
44,008.7
   
$
(40,789.4
)
 
$
48,527.8
   
$
20,398.2
   
$
(20,398.2
)
 
$
48,527.8
 
 
                                                       
LIABILITIES AND EQUITY
                                                       
Current liabilities:
                                                       
Current maturities of debt
 
$
1,619.3
   
$
0.1
   
$
--
   
$
1,619.4
   
$
--
   
$
--
   
$
1,619.4
 
Accounts payable – trade
   
331.4
     
519.0
     
(5.5
)
   
844.9
     
--
     
--
     
844.9
 
Accounts payable – related parties
   
866.7
     
130.1
     
(916.5
)
   
80.3
     
0.7
     
(0.7
)
   
80.3
 
Accrued product payables
   
938.0
     
1,611.2
     
(1.3
)
   
2,547.9
     
--
     
--
     
2,547.9
 
Accrued liability related to EFS Midstream acquisition
   
--
     
997.7
     
--
     
997.7
     
--
     
--
     
997.7
 
Accrued interest
   
198.6
     
0.3
     
--
     
198.9
     
--
     
--
     
198.9
 
Other current liabilities
   
174.3
     
425.1
     
(10.0
)
   
589.4
     
(0.1
)
   
0.5
     
589.8
 
Total current liabilities
   
4,128.3
     
3,683.5
     
(933.3
)
   
6,878.5
     
0.6
     
(0.2
)
   
6,878.9
 
Long-term debt
   
20,825.4
     
15.3
     
--
     
20,840.7
     
--
     
--
     
20,840.7
 
Deferred tax liabilities
   
3.2
     
47.4
     
(1.0
)
   
49.6
     
--
     
3.8
     
53.4
 
Other long-term liabilities
   
10.6
     
234.3
     
(78.5
)
   
166.4
     
235.5
     
--
     
401.9
 
Commitments and contingencies
                                                       
Equity:
                                                       
Partners’ and other owners’ equity
   
20,341.0
     
39,986.1
     
(39,954.0
)
   
20,373.1
     
20,162.1
     
(20,373.1
)
   
20,162.1
 
Noncontrolling interests
   
--
     
42.1
     
177.4
     
219.5
     
--
     
(28.7
)
   
190.8
 
Total equity
   
20,341.0
     
40,028.2
     
(39,776.6
)
   
20,592.6
     
20,162.1
     
(20,401.8
)
   
20,352.9
 
Total liabilities and equity
 
$
45,308.5
   
$
44,008.7
   
$
(40,789.4
)
 
$
48,527.8
   
$
20,398.2
   
$
(20,398.2
)
 
$
48,527.8
 


46

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
 
Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Balance Sheet
December 31, 2014

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
ASSETS
 
   
   
   
   
   
   
 
Current assets:
 
   
   
   
   
   
   
 
Cash and cash equivalents and restricted cash
 
$
18.7
   
$
70.4
   
$
(14.7
)
 
$
74.4
   
$
--
   
$
--
   
$
74.4
 
Accounts receivable – trade, net
   
1,128.5
     
2,698.2
     
(3.7
)
   
3,823.0
     
--
     
--
     
3,823.0
 
Accounts receivable – related parties
   
158.8
     
1,114.6
     
(1,266.6
)
   
6.8
     
--
     
(4.0
)
   
2.8
 
Inventories
   
831.8
     
182.8
     
(0.4
)
   
1,014.2
     
--
     
--
     
1,014.2
 
Derivative assets
   
102.0
     
124.0
     
--
     
226.0
     
--
     
--
     
226.0
 
Prepaid and other current assets
   
435.7
     
222.3
     
(308.5
)
   
349.5
     
--
     
0.8
     
350.3
 
Total current assets
   
2,675.5
     
4,412.3
     
(1,593.9
)
   
5,493.9
     
--
     
(3.2
)
   
5,490.7
 
Property, plant and equipment, net
   
2,871.7
     
26,912.0
     
97.9
     
29,881.6
     
--
     
--
     
29,881.6
 
Investments in unconsolidated affiliates
   
36,937.5
     
3,556.4
     
(37,451.9
)
   
3,042.0
     
18,287.5
     
(18,287.5
)
   
3,042.0
 
Intangible assets, net
   
2,527.3
     
1,292.4
     
482.4
     
4,302.1
     
--
     
--
     
4,302.1
 
Goodwill
   
1,956.1
     
1,721.4
     
622.7
     
4,300.2
     
--
     
--
     
4,300.2
 
Other assets
   
139.3
     
45.8
     
(0.7
)
   
184.4
     
--
     
--
     
184.4
 
Total assets
 
$
47,107.4
   
$
37,940.3
   
$
(37,843.5
)
 
$
47,204.2
   
$
18,287.5
   
$
(18,290.7
)
 
$
47,201.0
 
 
                                                       
LIABILITIES AND EQUITY
                                                       
Current liabilities:
                                                       
Current maturities of debt
 
$
2,206.4
   
$
--
   
$
--
   
$
2,206.4
   
$
--
   
$
--
   
$
2,206.4
 
Accounts payable – trade
   
216.6
     
571.4
     
(14.8
)
   
773.2
     
0.6
     
--
     
773.8
 
Accounts payable – related parties
   
1,226.5
     
173.3
     
(1,280.9
)
   
118.9
     
4.0
     
(4.0
)
   
118.9
 
Accrued product payables
   
1,570.0
     
2,287.9
     
(4.6
)
   
3,853.3
     
--
     
--
     
3,853.3
 
Accrued interest
   
335.4
     
0.7
     
(0.6
)
   
335.5
     
--
     
--
     
335.5
 
Other current liabilities
   
130.8
     
763.7
     
(308.7
)
   
585.8
     
--
     
--
     
585.8
 
Total current liabilities
   
5,685.7
     
3,797.0
     
(1,609.6
)
   
7,873.1
     
4.6
     
(4.0
)
   
7,873.7
 
Long-term debt
   
19,142.5
     
14.9
     
--
     
19,157.4
     
--
     
--
     
19,157.4
 
Deferred tax liabilities
   
4.9
     
58.5
     
(0.9
)
   
62.5
     
--
     
4.1
     
66.6
 
Other long-term liabilities
   
10.9
     
180.8
     
(0.3
)
   
191.4
     
219.7
     
--
     
411.1
 
Commitments and contingencies
                                                       
Equity:
                                                       
Partners’ and other owners’ equity
   
22,263.4
     
33,820.9
     
(37,820.6
)
   
18,263.7
     
18,063.2
     
(18,263.7
)
   
18,063.2
 
Noncontrolling interests
   
--
     
68.2
     
1,587.9
     
1,656.1
     
--
     
(27.1
)
   
1,629.0
 
Total equity
   
22,263.4
     
33,889.1
     
(36,232.7
)
   
19,919.8
     
18,063.2
     
(18,290.8
)
   
19,692.2
 
Total liabilities and equity
 
$
47,107.4
   
$
37,940.3
   
$
(37,843.5
)
 
$
47,204.2
   
$
18,287.5
   
$
(18,290.7
)
 
$
47,201.0
 

47

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Three Months Ended September 30, 2015

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Revenues
 
$
4,685.2
   
$
4,531.1
   
$
(2,908.4
)
 
$
6,307.9
   
$
--
   
$
--
   
$
6,307.9
 
Costs and expenses:
                                                       
Operating costs and expenses
   
4,506.7
     
3,854.5
     
(2,908.6
)
   
5,452.6
     
--
     
--
     
5,452.6
 
General and administrative costs
   
11.1
     
38.3
     
--
     
49.4
     
(0.4
)
   
--
     
49.0
 
Total costs and expenses
   
4,517.8
     
3,892.8
     
(2,908.6
)
   
5,502.0
     
(0.4
)
   
--
     
5,501.6
 
Equity in income of unconsolidated affiliates
   
725.5
     
116.5
     
(738.9
)
   
103.1
     
653.2
     
(653.2
)
   
103.1
 
Operating income
   
892.9
     
754.8
     
(738.7
)
   
909.0
     
653.6
     
(653.2
)
   
909.4
 
Other income (expense):
                                                       
Interest expense
   
(239.5
)
   
(4.2
)
   
--
     
(243.7
)
   
--
     
--
     
(243.7
)
Other, net
   
1.7
     
0.1
     
--
     
1.8
     
(4.3
)
   
--
     
(2.5
)
Total other expense, net
   
(237.8
)
   
(4.1
)
   
--
     
(241.9
)
   
(4.3
)
   
--
     
(246.2
)
Income before income taxes
   
655.1
     
750.7
     
(738.7
)
   
667.1
     
649.3
     
(653.2
)
   
663.2
 
Provision for income taxes
   
(3.3
)
   
(2.2
)
   
--
     
(5.5
)
   
--
     
--
     
(5.5
)
Net income
   
651.8
     
748.5
     
(738.7
)
   
661.6
     
649.3
     
(653.2
)
   
657.7
 
Net loss (income) attributable to noncontrolling interests
   
--
     
--
     
(9.7
)
   
(9.7
)
   
--
     
1.3
     
(8.4
)
Net income attributable to entity
 
$
651.8
   
$
748.5
   
$
(748.4
)
 
$
651.9
   
$
649.3
   
$
(651.9
)
 
$
649.3
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Three Months Ended September 30, 2014

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Revenues
 
$
8,121.5
   
$
8,598.2
   
$
(4,389.5
)
 
$
12,330.2
   
$
--
   
$
--
   
$
12,330.2
 
Costs and expenses:
                                                       
Operating costs and expenses
   
7,950.9
     
7,853.5
     
(4,389.6
)
   
11,414.8
     
--
     
--
     
11,414.8
 
General and administrative costs
   
8.2
     
40.4
     
--
     
48.6
     
1.4
     
--
     
50.0
 
Total costs and expenses
   
7,959.1
     
7,893.9
     
(4,389.6
)
   
11,463.4
     
1.4
     
--
     
11,464.8
 
Equity in income of unconsolidated affiliates
   
762.5
     
94.4
     
(784.6
)
   
72.3
     
692.5
     
(692.5
)
   
72.3
 
Operating income
   
924.9
     
798.7
     
(784.5
)
   
939.1
     
691.1
     
(692.5
)
   
937.7
 
Other income (expense):
                                                       
Interest expense
   
(229.2
)
   
(0.6
)
   
--
     
(229.8
)
   
--
     
--
     
(229.8
)
Other, net
   
0.2
     
(1.2
)
   
--
     
(1.0
)
   
--
     
--
     
(1.0
)
Total other expense, net
   
(229.0
)
   
(1.8
)
   
--
     
(230.8
)
   
--
     
--
     
(230.8
)
Income before income taxes
   
695.9
     
796.9
     
(784.5
)
   
708.3
     
691.1
     
(692.5
)
   
706.9
 
Provision for income taxes
   
(4.0
)
   
(2.8
)
   
--
     
(6.8
)
   
--
     
(0.9
)
   
(7.7
)
Net income
   
691.9
     
794.1
     
(784.5
)
   
701.5
     
691.1
     
(693.4
)
   
699.2
 
Net income attributable to noncontrolling interests
   
--
     
0.1
     
(9.5
)
   
(9.4
)
   
--
     
1.3
     
(8.1
)
Net income attributable to entity
 
$
691.9
   
$
794.2
   
$
(794.0
)
 
$
692.1
   
$
691.1
   
$
(692.1
)
 
$
691.1
 
 
48

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Nine Months Ended September 30, 2015

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Revenues
 
$
15,301.0
   
$
14,751.0
   
$
(9,179.1
)
 
$
20,872.9
   
$
--
   
$
--
   
$
20,872.9
 
Costs and expenses:
                                                       
Operating costs and expenses
   
14,696.2
     
12,909.8
     
(9,179.5
)
   
18,426.5
     
--
     
--
     
18,426.5
 
General and administrative costs
   
28.9
     
113.9
     
--
     
142.8
     
0.4
     
--
     
143.2
 
Total costs and expenses
   
14,725.1
     
13,023.7
     
(9,179.5
)
   
18,569.3
     
0.4
     
--
     
18,569.7
 
Equity in income of unconsolidated affiliates
   
1,996.4
     
314.5
     
(2,008.4
)
   
302.5
     
1,852.6
     
(1,852.6
)
   
302.5
 
Operating income
   
2,572.3
     
2,041.8
     
(2,008.0
)
   
2,606.1
     
1,852.2
     
(1,852.6
)
   
2,605.7
 
Other income (expense):
                                                       
Interest expense
   
(717.9
)
   
(7.3
)
   
2.0
     
(723.2
)
   
--
     
--
     
(723.2
)
Other, net
   
4.0
     
0.6
     
(2.0
)
   
2.6
     
(15.8
)
   
--
     
(13.2
)
Total other expense, net
   
(713.9
)
   
(6.7
)
   
--
     
(720.6
)
   
(15.8
)
   
--
     
(736.4
)
Income before income taxes
   
1,858.4
     
2,035.1
     
(2,008.0
)
   
1,885.5
     
1,836.4
     
(1,852.6
)
   
1,869.3
 
Benefit from (provision for) income taxes
   
(8.9
)
   
5.4
     
--
     
(3.5
)
   
--
     
(0.9
)
   
(4.4
)
Net income
   
1,849.5
     
2,040.5
     
(2,008.0
)
   
1,882.0
     
1,836.4
     
(1,853.5
)
   
1,864.9
 
Net loss (income) attributable to noncontrolling interests
   
--
     
0.8
     
(32.9
)
   
(32.1
)
   
--
     
3.6
     
(28.5
)
Net income attributable to entity
 
$
1,849.5
   
$
2,041.3
   
$
(2,040.9
)
 
$
1,849.9
   
$
1,836.4
   
$
(1,849.9
)
 
$
1,836.4
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Nine Months Ended September 30, 2014

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Revenues
 
$
25,190.1
   
$
25,859.9
   
$
(13,289.1
)
 
$
37,760.9
   
$
--
   
$
--
   
$
37,760.9
 
Costs and expenses:
                                                       
Operating costs and expenses
   
24,516.6
     
23,707.6
     
(13,289.8
)
   
34,934.4
     
--
     
--
     
34,934.4
 
General and administrative costs
   
23.1
     
126.0
     
--
     
149.1
     
1.8
     
--
     
150.9
 
Total costs and expenses
   
24,539.7
     
23,833.6
     
(13,289.8
)
   
35,083.5
     
1.8
     
--
     
35,085.3
 
Equity in income of unconsolidated affiliates
   
2,169.5
     
256.1
     
(2,246.5
)
   
179.1
     
2,129.4
     
(2,129.4
)
   
179.1
 
Operating income
   
2,819.9
     
2,282.4
     
(2,245.8
)
   
2,856.5
     
2,127.6
     
(2,129.4
)
   
2,854.7
 
Other income (expense):
                                                       
Interest expense
   
(678.6
)
   
(1.0
)
   
--
     
(679.6
)
   
--
     
--
     
(679.6
)
Other, net
   
0.7
     
(0.9
)
   
--
     
(0.2
)
   
--
     
--
     
(0.2
)
Total other expense, net
   
(677.9
)
   
(1.9
)
   
--
     
(679.8
)
   
--
     
--
     
(679.8
)
Income before income taxes
   
2,142.0
     
2,280.5
     
(2,245.8
)
   
2,176.7
     
2,127.6
     
(2,129.4
)
   
2,174.9
 
Provision for income taxes
   
(15.5
)
   
(5.8
)
   
0.2
     
(21.1
)
   
--
     
(1.4
)
   
(22.5
)
Net income
   
2,126.5
     
2,274.7
     
(2,245.6
)
   
2,155.6
     
2,127.6
     
(2,130.8
)
   
2,152.4
 
Net income attributable to noncontrolling interests
   
--
     
0.2
     
(28.8
)
   
(28.6
)
   
--
     
3.8
     
(24.8
)
Net income attributable to entity
 
$
2,126.5
   
$
2,274.9
   
$
(2,274.4
)
 
$
2,127.0
   
$
2,127.6
   
$
(2,127.0
)
 
$
2,127.6
 

49

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended September 30, 2015

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Comprehensive income
 
$
676.0
   
$
797.3
   
$
(763.9
)
 
$
709.4
   
$
697.2
   
$
(701.0
)
 
$
705.6
 
Comprehensive loss (income) attributable to noncontrolling interests
   
--
     
--
     
(9.7
)
   
(9.7
)
   
--
     
1.3
     
(8.4
)
Comprehensive income attributable to entity
 
$
676.0
   
$
797.3
   
$
(773.6
)
 
$
699.7
   
$
697.2
   
$
(699.7
)
 
$
697.2
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended September 30, 2014

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Comprehensive income
 
$
708.9
   
$
825.2
   
$
(784.5
)
 
$
749.6
   
$
739.2
   
$
(741.5
)
 
$
747.3
 
Comprehensive loss (income) attributable to noncontrolling interests
   
--
     
0.1
     
(9.5
)
   
(9.4
)
   
--
     
1.3
     
(8.1
)
Comprehensive income attributable to entity
 
$
708.9
   
$
825.3
   
$
(794.0
)
 
$
740.2
   
$
739.2
   
$
(740.2
)
 
$
739.2
 

50

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Nine Months Ended September 30, 2015

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Comprehensive income
 
$
1,869.9
   
$
2,056.1
   
$
(2,033.2
)
 
$
1,892.8
   
$
1,847.3
   
$
(1,864.3
)
 
$
1,875.8
 
Comprehensive loss (income) attributable to noncontrolling interests
   
--
     
0.8
     
(32.9
)
   
(32.1
)
   
--
     
3.6
     
(28.5
)
Comprehensive income attributable to entity
 
$
1,869.9
   
$
2,056.9
   
$
(2,066.1
)
 
$
1,860.7
   
$
1,847.3
   
$
(1,860.7
)
 
$
1,847.3
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Nine Months Ended September 30, 2014

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Comprehensive income
 
$
2,161.8
   
$
2,292.2
   
$
(2,245.5
)
 
$
2,208.5
   
$
2,180.5
   
$
(2,183.7
)
 
$
2,205.3
 
Comprehensive loss (income) attributable to noncontrolling interests
   
--
     
0.2
     
(28.8
)
   
(28.6
)
   
--
     
3.8
     
(24.8
)
Comprehensive income attributable to entity
 
$
2,161.8
   
$
2,292.4
   
$
(2,274.3
)
 
$
2,179.9
   
$
2,180.5
   
$
(2,179.9
)
 
$
2,180.5
 

51

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Cash Flows
For the Nine Months Ended September 30, 2015

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Operating activities:
 
   
   
   
   
   
   
 
Net income
 
$
1,849.5
   
$
2,040.5
   
$
(2,008.0
)
 
$
1,882.0
   
$
1,836.4
   
$
(1,853.5
)
 
$
1,864.9
 
Reconciliation of net income to net cash flows provided by operating activities:
                                                       
Depreciation, amortization and accretion
   
106.0
     
1,042.1
     
(0.4
)
   
1,147.7
     
--
     
--
     
1,147.7
 
Equity in income of unconsolidated affiliates
   
(1,996.4
)
   
(314.5
)
   
2,008.4
     
(302.5
)
   
(1,852.6
)
   
1,852.6
     
(302.5
)
Distributions received from unconsolidated affiliates
   
1,705.4
     
227.1
     
(1,570.1
)
   
362.4
     
2,241.1
     
(2,241.1
)
   
362.4
 
Net effect of changes in operating accounts and other operating activities
   
(52.9
)
   
(450.6
)
   
9.3
     
(494.2
)
   
12.0
     
0.9
     
(481.3
)
Net cash flows provided by operating activities
   
1,611.6
     
2,544.6
     
(1,560.8
)
   
2,595.4
     
2,236.9
     
(2,241.1
)
   
2,591.2
 
Investing activities:
                                                       
Capital expenditures, net of contributions in aid of construction costs
   
(725.5
)
   
(1,893.6
)
   
--
     
(2,619.1
)
   
--
     
--
     
(2,619.1
)
Cash used for business combinations, net of cash received
   
(1,058.4
)
   
13.3
     
--
     
(1,045.1
)
   
--
     
--
     
(1,045.1
)
Proceeds from asset sales and insurance recoveries
   
1,532.1
     
5.2
     
--
     
1,537.3
     
--
     
--
     
1,537.3
 
Other investing activities
   
(1,091.2
)
   
(43.5
)
   
953.4
     
(181.3
)
   
(1,005.2
)
   
1,005.2
     
(181.3
)
Cash used in investing activities
   
(1,343.0
)
   
(1,918.6
)
   
953.4
     
(2,308.2
)
   
(1,005.2
)
   
1,005.2
     
(2,308.2
)
Financing activities:
                                                       
Borrowings under debt agreements
   
17,113.7
     
77.9
     
(77.9
)
   
17,113.7
     
--
     
--
     
17,113.7
 
Repayments of debt
   
(16,139.2
)
   
--
     
--
     
(16,139.2
)
   
--
     
--
     
(16,139.2
)
Cash distributions paid to partners
   
(2,241.1
)
   
(1,602.4
)
   
1,602.4
     
(2,241.1
)
   
(2,185.1
)
   
2,241.1
     
(2,185.1
)
Cash payments made in connection with DERs
   
--
     
--
     
--
     
--
     
(5.6
)
   
--
     
(5.6
)
Cash distributions paid to noncontrolling interests
   
--
     
(0.8
)
   
(32.4
)
   
(33.2
)
   
--
     
--
     
(33.2
)
Cash contributions from noncontrolling interests
   
--
     
37.8
     
(0.4
)
   
37.4
     
--
     
--
     
37.4
 
Net cash proceeds from issuance of common units
   
--
     
--
     
--
     
--
     
1,011.4
     
--
     
1,011.4
 
Cash contributions from owners
   
1,005.2
     
875.1
     
(875.1
)
   
1,005.2
     
--
     
(1,005.2
)
   
--
 
Other financing activities
   
(23.9
)
   
--
     
--
     
(23.9
)
   
(52.4
)
   
--
     
(76.3
)
Cash used in financing activities
   
(285.3
)
   
(612.4
)
   
616.6
     
(281.1
)
   
(1,231.7
)
   
1,235.9
     
(276.9
)
Net change in cash and cash equivalents
   
(16.7
)
   
13.6
     
9.2
     
6.1
     
--
     
--
     
6.1
 
Cash and cash equivalents, January 1
   
18.7
     
70.4
     
(14.7
)
   
74.4
     
--
     
--
     
74.4
 
Cash and cash equivalents, September 30
 
$
2.0
   
$
84.0
   
$
(5.5
)
 
$
80.5
   
$
--
   
$
--
   
$
80.5
 

52

ENTERPRISE PRODUCTS PARTNERS L.P.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Cash Flows
For the Nine Months Ended September 30, 2014

 
 
EPO and Subsidiaries
   
   
   
 
 
 
Subsidiary
Issuer
(EPO)
   
Other
Subsidiaries
(Non-
guarantor)
   
EPO and
Subsidiaries
Eliminations
and
Adjustments
   
Consolidated
EPO and
Subsidiaries
   
Enterprise
Products
Partners
L.P.
(Guarantor)
   
Eliminations
and
Adjustments
   
Consolidated
Total
 
Operating activities:
 
   
   
   
   
   
   
 
Net income
 
$
2,126.5
   
$
2,274.7
   
$
(2,245.6
)
 
$
2,155.6
   
$
2,127.6
   
$
(2,130.8
)
 
$
2,152.4
 
Reconciliation of net income to net cash flows provided by operating activities:
                                                       
Depreciation, amortization and accretion
   
114.3
     
878.5
     
(0.4
)
   
992.4
     
--
     
--
     
992.4
 
Equity in income of unconsolidated affiliates
   
(2,169.5
)
   
(256.1
)
   
2,246.5
     
(179.1
)
   
(2,129.4
)
   
2,129.4
     
(179.1
)
Distributions received from unconsolidated affiliates
   
3,475.8
     
229.0
     
(3,444.1
)
   
260.7
     
2,007.4
     
(2,007.4
)
   
260.7
 
Net effect of changes in operating accounts and other operating activities
   
(764.6
)
   
230.1
     
16.7
     
(517.8
)
   
(5.6
)
   
1.4
     
(522.0
)
Net cash flows provided by operating activities
   
2,782.5
     
3,356.2
     
(3,426.9
)
   
2,711.8
     
2,000.0
     
(2,007.4
)
   
2,704.4
 
Investing activities:
                                                       
Capital expenditures, net of contributions in aid of construction costs
   
(329.1
)
   
(1,530.4
)
   
--
     
(1,859.5
)
   
--
     
--
     
(1,859.5
)
Proceeds from asset sales and insurance recoveries
   
4.2
     
117.3
     
--
     
121.5
     
--
     
--
     
121.5
 
Other investing activities
   
(2,059.3
)
   
(526.9
)
   
2,056.1
     
(530.1
)
   
(300.7
)
   
300.7
     
(530.1
)
Cash used in investing activities
   
(2,384.2
)
   
(1,940.0
)
   
2,056.1
     
(2,268.1
)
   
(300.7
)
   
300.7
     
(2,268.1
)
Financing activities:
                                                       
Borrowings under debt agreements
   
7,167.5
     
--
     
--
     
7,167.5
     
--
     
--
     
7,167.5
 
Repayments of debt
   
(4,856.3
)
   
--
     
--
     
(4,856.3
)
   
--
     
--
     
(4,856.3
)
Cash distributions paid to partners
   
(2,007.4
)
   
(3,473.6
)
   
3,473.6
     
(2,007.4
)
   
(1,948.2
)
   
2,007.4
     
(1,948.2
)
Cash payments made in connection with DERs
   
--
     
--
     
--
     
--
     
(2.4
)
   
--
     
(2.4
)
Cash distributions paid to noncontrolling interests
   
--
     
--
     
(29.4
)
   
(29.4
)
   
--
     
--
     
(29.4
)
Cash contributions from noncontrolling interests
   
--
     
--
     
4.0
     
4.0
     
--
     
--
     
4.0
 
Net cash proceeds from issuance of common units
   
--
     
--
     
--
     
--
     
304.9
     
--
     
304.9
 
Cash contributions from owners
   
300.7
     
2,060.0
     
(2,060.0
)
   
300.7
     
--
     
(300.7
)
   
--
 
Other financing activities
   
(18.1
)
   
--
     
--
     
(18.1
)
   
(53.6
)
   
--
     
(71.7
)
Cash provided by (used in) financing activities
   
586.4
     
(1,413.6
)
   
1,388.2
     
561.0
     
(1,699.3
)
   
1,706.7
     
568.4
 
Net change in cash and cash equivalents
   
984.7
     
2.6
     
17.4
     
1,004.7
     
--
     
--
     
1,004.7
 
Cash and cash equivalents, January 1
   
28.4
     
49.5
     
(21.0
)
   
56.9
     
--
     
--
     
56.9
 
Cash and cash equivalents, September 30
 
$
1,013.1
   
$
52.1
   
$
(3.6
)
 
$
1,061.6
   
$
--
   
$
--
   
$
1,061.6
 

 
Item 2.      Management’s Discussion and Analysis of Financial Condition and Results of Operations.

For the Three and Nine Months Ended September 30, 2015 and 2014.

The following information should be read in conjunction with our Unaudited Condensed Consolidated Financial Statements and accompanying Notes included in this quarterly report on Form 10-Q and the Audited Consolidated Financial Statements and related Notes, together with our discussion and analysis of financial position and results of operations, included in our annual report on Form 10-K for the year ended December 31, 2014, as filed on March 2, 2015 (the “2014 Form 10-K”).  Our financial statements have been prepared in accordance with generally accepted accounting principles (“GAAP”) in the United States (“U.S.”).

Unless the context requires otherwise, references to “we,” “us,” “our,” “Enterprise” or “Enterprise Products Partners” are intended to mean the business and operations of Enterprise Products Partners L.P. and its consolidated subsidiaries.  References to “EPO” mean Enterprise Products Operating LLC, which is a wholly owned subsidiary of Enterprise, and its consolidated subsidiaries, through which Enterprise Products Partners L.P. conducts its business.  Enterprise is managed by its general partner, Enterprise Products Holdings LLC (“Enterprise GP”), which is a wholly owned subsidiary of Dan Duncan LLC, a privately held Texas limited liability company.

The membership interests of Dan Duncan LLC are owned by a voting trust, the current trustees (“DD LLC Trustees”) of which are: (i) Randa Duncan Williams, who is also a director and Chairman of the Board of Enterprise GP; (ii) Dr. Ralph S. Cunningham; and (iii) Richard H. Bachmann.  Each of the DD LLC Trustees also currently serves as one of the three managers of Dan Duncan LLC.

References to “EPCO” mean Enterprise Products Company, a privately held Texas corporation, and its privately held affiliates.  A majority of the outstanding voting capital stock of EPCO is owned by a voting trust, the current trustees (“EPCO Trustees”) of which are:  (i) Ms. Williams, who serves as Chairman of EPCO; (ii) Dr. Cunningham, who serves as a Vice Chairman of EPCO; and (iii) Mr. Bachmann, who serves as the President and Chief Executive Officer (“CEO”) of EPCO.  Each of the EPCO Trustees is also a director of EPCO.

In addition to owning our general partner, EPCO and its privately held affiliates owned approximately 33.7% of our limited partner interests at September 30, 2015.

References to “Oiltanking” and “Oiltanking GP” mean Oiltanking Partners, L.P. and OTLP GP, LLC, the general partner of Oiltanking, respectively.  In October 2014, we acquired approximately 65.9% of the limited partner interests of Oiltanking, all of the member interests of Oiltanking GP and the incentive distribution rights (“IDRs”) held by Oiltanking GP from Oiltanking Holding Americas, Inc. (“OTA”) as the first step of a two-step acquisition of Oiltanking.  In February 2015, we completed the second step of this acquisition. See “Significant Recent Developments” within this Part I, Item 2 for information regarding the completion of this acquisition.

References to “Offshore Business” refer to the Gulf of Mexico operations we sold to Genesis Energy, L.P. (“Genesis”) in July 2015.  References to “EFS Midstream” mean EFS Midstream LLC, which we acquired in July 2015 from affiliates of Pioneer Natural Resources Company (“Pioneer”) and Reliance Industries Limited (“Reliance”).  See “Significant Recent Developments” within this Part I, Item 2 for information regarding these transactions.

As generally used in the energy industry and in this quarterly report, the acronyms below have the following meanings:

/d
 
= per day
MMBbls
 
= million barrels
BBtus
 
= billion British thermal units
MMBPD
 
= million barrels per day
Bcf
 
= billion cubic feet
MMBtus
 
= million British thermal units
BPD
 
= barrels per day
MMcf
 
= million cubic feet
MBPD
 
= thousand barrels per day
TBtus
 
= trillion British thermal units

As used in this quarterly report, the phrase “quarter-to-quarter” means the third quarter of 2015 compared to the third quarter of 2014.  Likewise, the phrase “period-to-period” means the nine months ended September 30, 2015 compared to the nine months ended September 30, 2014.

Cautionary Statement Regarding Forward-Looking Information

This quarterly report on Form 10-Q contains various forward-looking statements and information that are based on our beliefs and those of our general partner, as well as assumptions made by us and information currently available to us.  When used in this document, words such as “anticipate,” “project,” “expect,” “plan,” “seek,” “goal,” “estimate,” “forecast,” “intend,” “could,” “should,” “would,” “will,” “believe,” “may,” “potential” and similar expressions and statements regarding our plans and objectives for future operations are intended to identify forward-looking statements.  Although we and our general partner believe that our expectations reflected in such forward-looking statements are reasonable, neither we nor our general partner can give any assurances that such expectations will prove to be correct.  Forward-looking statements are subject to a variety of risks, uncertainties and assumptions as described in more detail under “Risk Factors” within Part I, Item 1A included in our 2014 Form 10-K and within Part II, Item 1A of this quarterly report.  If one or more of these risks or uncertainties materialize, or if underlying assumptions prove incorrect, our actual results may vary materially from those anticipated, estimated, projected or expected.  You should not put undue reliance on any forward-looking statements.  The forward-looking statements in this quarterly report speak only as of the filing date hereof.  Except as required by federal and state securities laws, we undertake no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or any other reason.


Overview of Business

We are a publicly traded Delaware limited partnership, the common units of which are listed on the New York Stock Exchange (“NYSE”) under the ticker symbol “EPD.”  We were formed in April 1998 to own and operate certain natural gas liquids (“NGLs”) related businesses of EPCO and are now a leading North American provider of midstream energy services to producers and consumers of natural gas, NGLs, crude oil, petrochemicals and refined products. 

Our integrated midstream energy asset network links producers of natural gas, NGLs and crude oil from some of the largest supply basins in the U.S., Canada and the Gulf of Mexico with domestic consumers and international markets.  Our midstream energy operations currently include: natural gas gathering, treating, processing, transportation and storage; NGL transportation, fractionation, storage, and import and export terminals (including liquefied petroleum gas or “LPG”); crude oil gathering, transportation, storage and terminals; petrochemical and refined products transportation, storage and terminals, and related services; and a marine transportation business that operates primarily on the U.S. inland and Intracoastal Waterway systems and in the Gulf of Mexico.  Our assets include approximately 49,000 miles of pipelines; 225 MMBbls of storage capacity for NGLs, crude oil, petrochemicals and refined products; and 14 Bcf of natural gas storage capacity.  

Our historical operations are reported under five business segments:  (i) NGL Pipelines & Services, (ii) Crude Oil Pipelines & Services, (iii) Natural Gas Pipelines & Services, (iv) Petrochemical & Refined Products Services and (v) Offshore Pipelines & Services.

We conduct substantially all of our business through EPO and are owned 100% by our limited partners from an economic perspective.  Enterprise GP manages our partnership and owns a non-economic general partner interest in us.  Like many publicly traded partnerships, we have no employees.  All of our management, administrative and operating functions are performed by employees of EPCO pursuant to an administrative services agreement (“ASA”) or by other service providers.










Significant Recent Developments

The following information highlights selected commercial and operational developments since January 1, 2015.  For information regarding recent offerings of our equity and debt securities, see “Liquidity and Capital Resources” within this Part I, Item 2.

Second Stage of Aegis Ethane Pipeline Completed
In September 2015, we announced that construction of the Beaumont, Texas to Lake Charles, Louisiana segment of our Aegis Ethane Pipeline (“Aegis”) was complete and ready to deliver ethane to additional Gulf Coast petrochemical facilities.  This new 48-mile segment, along with the initial 60-mile segment currently in service, provides reliable ethane supplies to petrochemical facilities between Mont Belvieu, Texas and Lake Charles.

The final 162-mile segment of the Aegis system will extend the pipeline from Lake Charles to the Mississippi River and is expected to be completed by the end of 2015.  Aegis is supported by customer commitments in excess of 300 MBPD that ramp up over the next four years.  The capacity of the pipeline can be expanded to approximately 400 MBPD with additional pumps.

By combining our 270-mile Aegis pipeline with our existing South Texas midstream infrastructure, we will provide shippers with access to a 500-mile Gulf Coast ethane header system between Corpus Christi, Texas and the Mississippi River in Louisiana.

Sale of Offshore Business
On July 24, 2015, we consummated a sale to Genesis of our Offshore Business, which primarily consisted of our Offshore Pipelines & Services business segment, for approximately $1.53 billion in cash.  Our Offshore Business served drilling and development regions, including deepwater production fields, in the northern Gulf of Mexico offshore Texas, Louisiana, Mississippi and Alabama. As of December 31, 2014, our Offshore Business included approximately 2,350 miles of offshore natural gas and crude oil pipelines and six offshore hub platforms. Our results of operations reflect ownership of the Offshore Business through July 24, 2015.

We viewed our Offshore Business as an extension of our midstream energy services network. As such, the sale of these assets did not represent a strategic shift in our consolidated operations, and their sale does not have a major effect on our financial results.  The sale of this non-strategic business allowed us to redeploy capital to other business opportunities that we believe will generate a higher rate of return for us in the future (e.g., our recent acquisition of EFS Midstream). Also, proceeds from the closing of this sale will reduce our need to issue additional equity and debt to support our ongoing capital spending program.

We recorded a non-cash asset impairment charge in June 2015 of approximately $54.8 million, which reflects the excess of the carrying value of net assets of the Offshore Business at June 30, 2015 over their comparable estimated fair value based on the transaction price.  Upon closing of the transaction on July 24, 2015, we recorded a loss on the sale of $12.6 million.

For additional information regarding this sale, see Note 6 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.

Expansion of Propylene Pipeline System
In July 2015, we announced a series of projects to convert and expand segments of our petrochemicals pipeline network designed to increase throughput capacity for polymer grade propylene (“PGP”) and enhance system flexibility and reliability.

§
North Dean pipeline conversion and expansion – The 149-mile pipeline will be converted from refinery grade propylene (“RGP”) service to PGP service.  The conversion is scheduled for completion in January 2017.  Originating at our Mont Belvieu, Texas complex, the converted pipeline will serve petrochemical facilities as far south as Seadrift, Texas in Calhoun County.  Construction of a 33-mile lateral pipeline, new metering stations and additional pumping capacity will accommodate the additional volumes and increase total PGP delivery capacity to more than 150 MBPD.

§
Lou-Tex propylene pipeline conversion – The 263-mile, bi-directional pipeline, which currently transports chemical grade propylene between Sorrento, Louisiana and Mont Belvieu, Texas will be converted to PGP service.  The conversion is scheduled for completion in 2020.

§
RGP pipeline and rail terminal expansion – Construction of a new 65-mile, 10-inch diameter pipeline, which will transport RGP between Sorrento and Breaux Bridge, Louisiana, is scheduled for completion in early 2017.  Rail receipt facilities at Mont Belvieu are also being expanded to give us the capability to unload up to 100 RGP rail cars per day.

Our PGP infrastructure at Mont Belvieu currently consists of six propane/propylene fractionators.  Following completion of the new propane dehydrogenation (“PDH”) plant, which is scheduled for December 2016, we will have the capability to produce 8 billion pounds of PGP annually at our Mont Belvieu complex.  In addition, a portion of our salt dome storage capacity in Mont Belvieu is dedicated to PGP service.

Acquisition of Eagle Ford Midstream Assets
In June 2015, we announced the execution of definitive agreements to purchase all of the member interests in EFS Midstream from affiliates of Pioneer and Reliance for approximately $2.1 billion. The purchase price will be paid in two installments.  The first installment of approximately $1.1 billion was paid at closing on July 8, 2015 and the final installment of approximately $1.0 billion will be paid no later than the first anniversary of the closing date.  The effective date of the acquisition was July 1, 2015.  We funded the cash consideration for the first installment using proceeds from the issuance of short-term notes under our commercial paper program and cash on hand.

EFS Midstream provides natural gas gathering, treating and compression and condensate gathering and processing services in the Eagle Ford Shale.  The EFS Midstream system includes approximately 460 miles of natural gas and condensate gathering pipelines, ten central gathering plants, 780 MMcf/d of natural gas treating capacity and 119 MBPD of condensate stabilization capacity.  Under terms of the associated agreements, Pioneer and Reliance have dedicated certain of their Eagle Ford Shale acreage to us under 20-year, fixed-fee gathering agreements that include minimum volume requirement for the first seven years.  Pioneer and Reliance have also entered into related 20-year fee-based agreements with us for natural gas processing, NGL transportation and fractionation, and for natural gas, processed condensate and crude oil transportation services.

In connection with the agreements to acquire EFS Midstream, we are obligated to spend up to an aggregate of $270 million on specified midstream gathering assets for Pioneer and Reliance, if requested by these producers, over a ten year period.  If constructed, these new assets would be owned by us and be a component of the EFS Midstream asset network

For additional information regarding this acquisition, see Note 8 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.

Plans to Construct New Crude Oil and Condensate Pipeline from Midland to Houston, Texas
In April 2015, we announced the execution of long-term agreements that support development of a new 24-inch diameter pipeline (the “Midland-to-Houston” pipeline) that would transport increasing volumes of crude oil and condensate from the Permian Basin to markets in Southeast Texas.  The new pipeline will originate at our Midland, Texas crude oil terminal and extend 416 miles to our Sealy storage facility, which is located west of Houston, Texas.  Volumes arriving at Sealy would then be transported to our Enterprise Crude Houston (“ECHO”) terminal in southeast Houston using our Rancho II pipeline, which commenced operations in September 2015.  Using ECHO, shippers will have direct access to every refinery in Houston, Texas City, Beaumont and Port Arthur, as well as our dock facilities. The Midland-to-Houston pipeline is expected to have a transportation capacity of up to 450 MBPD and commence operations in the second quarter of 2017.

Plans to Construct Natural Gas Processing Facility in Delaware Basin
In April 2015, we formed a 50/50 joint venture with an affiliate of Occidental Petroleum Corporation to develop a new 150 MMcf/d cryogenic natural gas processing facility that will accommodate growing production of NGL-rich natural gas from the Delaware Basin.  The facility will be supported by long-term, firm contracts and is expected to begin operations in mid-2016.  We will serve as construction manager for the project and operator once the new facility commences operations.  The new facility is located in Reeves County, Texas.
 
Increase in NGL Loading Capacity at our Houston Ship Channel LPG Export Terminal
In September 2013, we announced an expansion project at our Houston Ship Channel LPG export terminal that would increase our ability to load cargoes from 7.5 MMBbls per month to approximately 9.0 MMBbls per month.  This project was completed in April 2015.

In January 2014, we announced a further expansion of this export terminal that is expected to increase our loading capability from approximately 9.0 MMBbls per month to in excess of 16.0 MMBbls per month by the end of 2015. We expect our maximum loading capacity at this terminal to be approximately 27,000 barrels per hour once this expansion project is completed. Our expansion projects at this terminal are supported by long-term LPG sales agreements with exporters.

Formation of Panola Pipeline Joint Venture
In February 2015, we formed a joint venture involving our Panola NGL Pipeline with affiliates of Anadarko Petroleum Corporation (“Anadarko”), DCP Midstream Partners, LP (“DCP”) and MarkWest Energy Partners, L.P. (“MarkWest”).  We will continue to serve as operator of the Panola Pipeline and own 55% of the member interests in the joint venture.  Affiliates of Anadarko, DCP and MarkWest will own the remaining 45% member interests, with each holding a 15% interest.

The Panola Pipeline transports mixed NGLs from points near Carthage, Texas to Mont Belvieu, Texas and supports the Haynesville and Cotton Valley oil and gas production areas.  In January 2015, we announced an expansion project involving the Panola Pipeline consisting of the installation of 60 miles of new pipeline, as well as pumps and other related equipment designed to increase the system’s throughput capacity by 50 MBPD to approximately 100 MBPD.  The incremental capacity is expected to be available in the first quarter of 2016.

Completion of Oiltanking Acquisition
In October 2014, we completed the first step (“Step 1”) of a two-step acquisition of Oiltanking by paying approximately $4.41 billion to OTA for Oiltanking GP, the related IDRs and approximately 65.9% of the limited partner interests of Oiltanking.  As a second step (“Step 2”) of the Oiltanking acquisition (separately negotiated by the conflicts committee of Oiltanking GP on behalf of Oiltanking), we entered into an Agreement and Plan of Merger (the “merger agreement”) with Oiltanking in November 2014 that provided for the following:

§
the merger of a wholly owned subsidiary of Enterprise with and into Oiltanking, with Oiltanking surviving the merger as a wholly owned subsidiary of Enterprise; and

§
all outstanding common units of Oiltanking at the effective time of the merger held by Oiltanking’s public unitholders (which consisted of Oiltanking unitholders other than Enterprise and its subsidiaries) to be cancelled and converted into Enterprise common units based on an exchange ratio of 1.30 Enterprise common units for each Oiltanking common unit.

In accordance with the merger agreement and Oiltanking’s partnership agreement, the merger was submitted to a vote of Oiltanking’s common unitholders, with the required majority of unitholders (including our ownership interests) voting to approve the merger on February 13, 2015.  Upon approval of the merger, a total of 36,827,517 of our common units were issued to Oiltanking’s former public unitholders.  With the completion of Step 2, total consideration paid by Enterprise for Oiltanking was approximately $5.9 billion.

On February 23, 2015, we received a Civil Investigative Demand and a related Subpoena Duces Tecum from the Federal Trade Commission (“FTC”) requesting specified information relating to the Oiltanking acquisition and Enterprise’s operations.  On April 13, 2015, we received a Civil Investigative Demand issued by the Attorney General of the State of Texas requesting copies of the same information and any correspondence with the FTC.  We are in the process of complying with the requests and are cooperating with the investigations.  Based on the limited information that we have at this time, we are unable to predict the outcome of the investigations.

For information regarding changes in our goodwill and equity balances as a result of completing the Oiltanking acquisition, see Notes 9 and 11, respectively, of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.
 
Results of Operations

Summarized Consolidated Income Statement Data
The following table summarizes the key components of our results of operations for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Revenues
 
$
6,307.9
   
$
12,330.2
   
$
20,872.9
   
$
37,760.9
 
Costs and expenses:
                               
Operating costs and expenses:
                               
Cost of sales
   
4,419.9
     
10,455.1
     
15,355.9
     
32,213.1
 
Other operating costs and expenses
   
642.5
     
633.9
     
1,834.8
     
1,865.6
 
Depreciation, amortization and accretion expense
   
351.1
     
322.7
     
1,082.0
     
936.5
 
Net losses (gains) attributable to asset sales and insurance recoveries
   
12.3
     
(2.6
)
   
14.7
     
(99.0
)
Non-cash asset impairment charges
   
26.8
     
5.7
     
139.1
     
18.2
 
Total operating costs and expenses
   
5,452.6
     
11,414.8
     
18,426.5
     
34,934.4
 
General and administrative costs
   
49.0
     
50.0
     
143.2
     
150.9
 
Total costs and expenses
   
5,501.6
     
11,464.8
     
18,569.7
     
35,085.3
 
Equity in income of unconsolidated affiliates
   
103.1
     
72.3
     
302.5
     
179.1
 
Operating income
   
909.4
     
937.7
     
2,605.7
     
2,854.7
 
Interest expense
   
(243.7
)
   
(229.8
)
   
(723.2
)
   
(679.6
)
Change in fair value of Liquidity Option Agreement
   
(4.3
)
   
--
     
(15.8
)
   
--
 
Other, net
   
1.8
     
(1.0
)
   
2.6
     
(0.2
)
Provision for income taxes
   
(5.5
)
   
(7.7
)
   
(4.4
)
   
(22.5
)
Net income
   
657.7
     
699.2
     
1,864.9
     
2,152.4
 
Net income attributable to noncontrolling interests
   
(8.4
)
   
(8.1
)
   
(28.5
)
   
(24.8
)
Net income attributable to limited partners
 
$
649.3
   
$
691.1
   
$
1,836.4
   
$
2,127.6
 

The following table presents each business segment’s contribution to revenues (net of eliminations) for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services:
               
Sales of NGLs and related products
 
$
1,844.9
   
$
3,603.4
   
$
5,936.2
   
$
12,029.8
 
Midstream services
   
441.9
     
423.3
     
1,293.0
     
1,197.6
 
Total
   
2,286.8
     
4,026.7
     
7,229.2
     
13,227.4
 
Crude Oil Pipelines & Services:
                               
    Sales of crude oil
   
2,147.3
     
5,348.2
     
7,689.3
     
16,003.5
 
    Midstream services
   
175.3
     
88.9
     
399.7
     
264.2
 
        Total
   
2,322.6
     
5,437.1
     
8,089.0
     
16,267.7
 
Natural Gas Pipelines & Services:
                               
    Sales of natural gas
   
455.0
     
775.5
     
1,361.2
     
2,515.7
 
    Midstream services
   
254.7
     
256.4
     
767.1
     
761.8
 
       Total
   
709.7
     
1,031.9
     
2,128.3
     
3,277.5
 
Petrochemical & Refined Products Services:
                               
    Sales of petrochemicals and refined products
   
780.5
     
1,605.4
     
2,764.2
     
4,338.2
 
    Midstream services
   
199.5
     
186.6
     
583.4
     
531.7
 
       Total
   
980.0
     
1,792.0
     
3,347.6
     
4,869.9
 
Offshore Pipelines & Services:
                               
Sales of natural gas
   
--
     
--
     
--
     
0.2
 
Sales of crude oil
   
0.4
     
2.5
     
3.2
     
7.5
 
Midstream services
   
8.4
     
40.0
     
75.6
     
110.7
 
Total
   
8.8
     
42.5
     
78.8
     
118.4
 
Total consolidated revenues
 
$
6,307.9
   
$
12,330.2
   
$
20,872.9
   
$
37,760.9
 



Selected Energy Commodity Price Data
The following table presents index prices for natural gas, crude oil and selected NGL and petrochemical products for the periods indicated:

   
Natural
           
Normal
       
Natural
           
WTI
   
LLS
 
   
Gas,
   
Ethane,
   
Propane,
   
Butane,
   
Isobutane,
   
Gasoline,
   
PGP,
   
RGP,
   
Crude Oil,
   
Crude Oil,
 
   
$/MMBtu
   
$/gallon
   
$/gallon
   
$/gallon
   
$/gallon
   
$/gallon
   
$/pound
   
$/pound
   
$/barrel
   
$/barrel
 
   
(1)
 
 
(2)
 
 
(2)
 
 
(2)
 
 
(2)
 
 
(2)
 
 
(3)
 
 
(3)
 
 
(4)
 
 
(4)
 
2014 by quarter:
                                                                               
1st Quarter
 
$
4.95
   
$
0.34
   
$
1.30
   
$
1.39
   
$
1.42
   
$
2.12
   
$
0.73
   
$
0.61
   
$
98.68
   
$
104.43
 
2nd Quarter
 
$
4.68
   
$
0.29
   
$
1.06
   
$
1.25
   
$
1.30
   
$
2.21
   
$
0.70
   
$
0.57
   
$
102.99
   
$
105.55
 
3rd Quarter
 
$
4.07
   
$
0.24
   
$
1.04
   
$
1.25
   
$
1.28
   
$
2.11
   
$
0.71
   
$
0.58
   
$
97.21
   
$
100.94
 
4th Quarter
 
$
4.04
   
$
0.21
   
$
0.76
   
$
0.98
   
$
0.99
   
$
1.49
   
$
0.69
   
$
0.52
   
$
73.15
   
$
76.08
 
2014 Averages
 
$
4.43
   
$
0.27
   
$
1.04
   
$
1.22
   
$
1.25
   
$
1.98
   
$
0.71
   
$
0.57
   
$
93.01
   
$
96.75
 
                                                                                 
2015 by quarter:
                                                                               
1st Quarter
 
$
2.99
   
$
0.19
   
$
0.53
   
$
0.68
   
$
0.68
   
$
1.10
   
$
0.50
   
$
0.37
   
$
48.63
   
$
52.83
 
2nd Quarter
 
$
2.65
   
$
0.18
   
$
0.46
   
$
0.59
   
$
0.60
   
$
1.26
   
$
0.42
   
$
0.29
   
$
57.94
   
$
62.97
 
3rd Quarter
 
$
2.77
   
$
0.19
   
$
0.40
   
$
0.55
   
$
0.55
   
$
0.98
   
$
0.33
   
$
0.21
   
$
46.43
   
$
50.17
 
2015 Averages
 
$
2.80
   
$
0.19
   
$
0.46
   
$
0.61
   
$
0.61
   
$
1.11
   
$
0.42
   
$
0.29
   
$
51.00
   
$
55.32
 
                         
(1)   Natural gas prices are based on Henry-Hub Inside FERC commercial index prices as reported by Platts, which is a division of McGraw Hill Financial, Inc.
(2)   NGL prices for ethane, propane, normal butane, isobutane and natural gasoline are based on Mont Belvieu Non-TET commercial index prices as reported by Oil Price Information Service.
(3)   PGP prices represent average contract pricing for such product as reported by Chemical Market Associates, Inc. (“CMAI”). RGP prices represent weighted-average spot prices for such product as reported by CMAI.
(4)   Crude oil prices are based on commercial index prices for WTI as measured on the New York Mercantile Exchange (“NYMEX”) and for LLS as reported by Platts.
 

Fluctuations in our consolidated revenues and cost of sales amounts are explained in large part by changes in energy commodity prices.  Energy commodity prices fluctuate for a variety of reasons, including supply and demand imbalances and geopolitical tensions.  Crude oil, natural gas and NGL prices have been depressed since the fourth quarter of 2014 primarily due to an oversupply of these commodities on world markets.  The weighted-average indicative market price for NGLs was $0.45 per gallon in the third quarter of 2015 versus $0.99 per gallon during the third quarter of 2014.   Likewise, the weighted-average indicative market price for NGLs was $0.50 per gallon during the nine months ended September 30, 2015 compared to $1.05 per gallon during the same period in 2014.

A decrease in our consolidated marketing revenues due to lower energy commodity sales prices may not result in a decrease in gross operating margin or cash available for distribution, since our consolidated cost of sales amounts would also be lower due to comparable decreases in the purchase prices of the underlying energy commodities.  The same correlation would be true in the case of higher energy commodity sales prices and purchase costs.

We attempt to mitigate any commodity price exposure through our hedging activities as well as through converting keepwhole and similar contracts to fee-based arrangements.  See Note 4 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report for information regarding our commodity hedging activities.












Consolidated Income Statement Highlights
The following information highlights significant changes in our comparative income statement amounts and the primary drivers of such changes.

Revenues

Third Quarter of 2015 Compared to Third Quarter of 2014.  Total revenues for the third quarter of 2015 decreased $6.02 billion when compared to total revenues for the third quarter of 2014.  Revenues from the marketing of NGLs and petrochemicals decreased $2.2 billion quarter-to-quarter primarily due to lower sales prices.  Revenues from the marketing of crude oil, natural gas and refined products decreased $3.88 billion quarter-to-quarter primarily due to lower sales prices and volumes, which accounted for a $3.16 billion decrease and a $725.4 million decrease, respectively.  Revenues from midstream services increased a net $84.6 million quarter-to-quarter primarily due to contributions from recently acquired assets, which were partially offset by a decrease due to the sale of our Offshore Business.  Revenues for the third quarter of 2015 include $57.5 million from the assets we acquired effective October 1, 2014 in connection with the Oiltanking acquisition and $56.7 million from the assets we acquired effective July 1, 2015 in connection with the EFS Midstream acquisition.  Revenues decreased $31.7 million quarter-to-quarter due to the sale of our Offshore Business effective July 24, 2015.

Nine Months Ended September 30, 2015 Compared to Nine Months Ended September 30, 2014.  For the nine months ended September 30, 2015, total revenues decreased $16.89 billion when compared to total revenues for the nine months ended September 30, 2014.  Revenues from the marketing of NGLs, petrochemicals and refined products decreased a net $7.64 billion period-to-period primarily due to lower sales prices, which accounted for an $8.37 billion decrease, partially offset by higher sales volumes, which accounted for a $732.8 million increase.  Revenues from the marketing of crude oil and natural gas decreased $9.47 billion period-to-period primarily due to lower sales prices, which accounted for an $8.62 billion decrease, and lower sales volumes, which accounted for an additional $853.3 million decrease.  Revenues from midstream services increased a net $252.8 million period-to-period primarily due to the ongoing expansion of our operations.  Revenues for the nine months ended September 30, 2015 include $164.8 million and $56.7 million from assets we acquired in connection with the Oiltanking and EFS Midstream acquisitions, respectively.  Revenues decreased $35.3 million period-to-period primarily due to the sale of our Offshore Business in July 2015.  The remaining $66.6 million period-to-period increase in revenues is primarily due to recently completed assets such as the ATEX pipeline, portions of the Aegis Ethane Pipeline and expanded crude oil storage capacity at our ECHO terminal.

Operating costs and expenses

Third Quarter of 2015 Compared to Third Quarter of 2014.  Total operating costs and expenses for the third quarter of 2015 decreased $5.96 billion when compared to total operating costs and expenses for the third quarter of 2014.  The cost of sales associated with our marketing of NGLs and petrochemicals decreased $2.23 billion quarter-to-quarter primarily due to lower purchase prices.  The cost of sales associated with our marketing of crude oil, natural gas and refined products decreased $3.79 billion quarter-to-quarter primarily due to lower purchase prices, which accounted for a $3.13 billion decrease, and lower sales volumes, which accounted for an additional $660.5 million decrease.

Other operating costs and expenses increased a net $8.6 million quarter-to-quarter primarily due to the inclusion of assets attributable to the Oiltanking and EFS Midstream acquisitions, which collectively accounted for a $23.4 million increase, partially offset by $18.0 million of expense in the third quarter of 2014 related to a settlement with a producer on our San Juan Gathering System.  Lastly, other operating costs and expenses decreased $5.4 million quarter-to-quarter due to the sale of our Offshore Business.

Depreciation, amortization and accretion expense for the third quarter of 2015 increased a net $28.4 million when compared to the third quarter of 2014 primarily due to the inclusion of assets attributable to the Oiltanking and EFS Midstream acquisitions, which collectively accounted for a $47.8 million quarter-to-quarter increase, partially offset by the sale of assets attributable to our Offshore Business, which accounted for a $22.8 million quarter-to-quarter decrease.

We recognized a $12.6 million loss attributable to the sale of our Offshore Business.
 
Operating costs and expenses also include $26.8 million and $5.7 million of non-cash asset impairment charges for the third quarters of 2015 and 2014, respectively.  Our non-cash asset impairment charges for the third quarter of 2015 primarily relate to the planned abandonment of natural gas processing assets in southern Louisiana and the reclassification of certain marine vessels to held for sale status.

Nine Months Ended September 30, 2015 Compared to Nine Months Ended September 30, 2014.  For the nine months ended September 30, 2015, total operating costs and expenses decreased $16.51 billion when compared to the nine months ended September 30, 2014.  The cost of sales associated with our marketing of NGLs, petrochemicals and refined products decreased a net $7.64 billion period-to-period primarily due to lower purchase prices, which accounted for an $8.33 billion decrease, partially offset by higher sales volumes, which accounted for a $685.6 million increase.  The cost of sales associated with our marketing of crude oil and natural gas decreased $9.18 billion period-to-period primarily due to lower purchase prices, which accounted for an $8.4 billion decrease, and lower sales volumes, which accounted for an additional $779.4 million decrease.

Other operating costs and expenses decreased a net $30.8 million period-to-period due in part to (i) lower fuel costs, which accounted for a $57.4 million decrease, (ii) a producer settlement involving our San Juan Gathering System in the third quarter of 2014, which accounted for an $18.0 million decrease and (iii) the sale of our Offshore Business in July 2015, which primarily accounted for an additional $8.4 million period-to-period decrease. These decreases were partially offset by the addition of $35.5 million in operating costs attributable to assets we acquired in the Oiltanking and EFS Midstream acquisitions.

Depreciation, amortization and accretion expense for the nine months ended September 30, 2015 increased $145.5 million when compared to the same period in 2014 primarily due to the Oiltanking and EFS Midstream acquisitions, which collectively accounted for $97.5 million of the period-to-period increase.  Accretion expense for the nine months ended September 30, 2015 includes $39.5 million recognized for certain asset retirement obligations of our former Offshore Business. For information regarding our asset retirement obligations, see Note 6 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.

For the nine months ended September 30, 2014, we recognized $95.0 million of gains attributable to the receipt of nonrefundable cash insurance proceeds. These proceeds were attributable to property damage claims we filed in connection with the February 2011 NGL release and fire at the West Storage location of our Mont Belvieu, Texas underground storage facility.  For the nine months ended September 30, 2015, we recognized a $12.6 million loss attributable to our sale of the Offshore Business.

Operating costs and expenses also include $139.1 million and $18.2 million of non-cash asset impairment charges for the nine months ended September 30, 2015 and 2014, respectively.  As noted previously, we recorded a $54.8 million non-cash asset impairment charge for the nine months ended September 30, 2015 in connection with the sale of our Offshore Business.  The remainder of our non-cash asset impairment charges for the nine months ended September 30, 2015 primarily relate to natural gas processing assets in southern Louisiana, certain marine vessels and the abandonment of certain crude oil and natural gas pipeline assets in Texas.

General and administrative costs
General and administrative costs for the third quarter of 2015 decreased $1.0 million when compared to the third quarter of 2014.  For the nine months ended September 30, 2015, general and administrative costs decreased $7.7 million when compared to the same period in 2014 primarily due to costs we incurred during the first quarter of 2014 for the settlement of litigation associated with our merger in 2010 with Enterprise GP Holdings L.P.

Equity in income of unconsolidated affiliates
Equity income for the three and nine months ended September 30, 2015 increased $30.8 million and $123.4 million, respectively, when compared to the same periods in 2014.  These increases are primarily due to increased earnings from our investments in crude oil and NGL pipeline joint ventures.





Interest expense
Interest expense for the three and nine months ended September 30, 2015 increased $13.9 million and $43.6 million, respectively, when compared to the same periods in 2014.  The following table presents the components of our consolidated interest expense for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Interest charged on debt principal outstanding
 
$
270.6
   
$
240.3
   
$
793.7
   
$
713.6
 
Impact of interest rate hedging program, including related amortization
   
3.2
     
1.6
     
12.1
     
4.6
 
Interest costs capitalized in connection with construction projects (1)
   
(40.3
)
   
(17.2
)
   
(105.6
)
   
(53.4
)
Other (2)
   
10.2
     
5.1
     
23.0
     
14.8
 
Total
 
$
243.7
   
$
229.8
   
$
723.2
   
$
679.6
 
 
(1)   Capitalized interest amounts become part of the historical cost of an asset and are charged to earnings (as a component of depreciation expense) ratably over the estimated useful life of the asset once the asset enters its intended service. Capitalized interest amounts fluctuate based on the timing of when projects are placed into service, our capital spending levels and the interest rates charged on borrowings.
(2)    Primarily reflects facility commitment fees charged in connection with our revolving credit facilities and amortization of debt issuance costs.
 

Interest charged on debt principal outstanding, which is the primary driver of interest expense, increased a net $30.3 million quarter-to-quarter primarily due to increased debt principal amounts outstanding during the third quarter of 2015, which accounted for a $46.8 million increase, partially offset by the effect of lower overall interest rates in the third quarter of 2015, which accounted for a $16.5 million decrease.  Our weighted-average debt principal balance for the third quarter of 2015 was $22.45 billion compared to $18.77 billion for the third quarter of 2014.  In general, our debt principal balances have increased over time due to the partial debt financing of our capital spending program.  For a discussion of our consolidated debt obligations and capital spending program, see “Liquidity and Capital Resources” within this Part I, Item 2.

For the nine months ended September 30, 2015, interest charged on debt principal outstanding increased a net $80.1 million period-to-period primarily due to increased debt principal amounts outstanding during the nine months ended September 30, 2015, which accounted for a $139.3 million increase, partially offset by the effect of lower overall interest rates in the nine months ended September 30, 2015, which accounted for a $59.2 million decrease.  Our weighted-average debt principal balance for the nine months ended September 30, 2015 was $22.08 billion compared to $18.29 billion for the same period in 2014.

Change in fair value of Liquidity Option Agreement
Results for the three and nine months ended September 30, 2015 include $4.3 million and $15.8 million, respectively, of expense we recorded to recognize changes in the fair value of the Liquidity Option Agreement.  For information regarding the Liquidity Option Agreement, see Note 15 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.

Income taxes
Our provision for income taxes for the three and nine months ended September 30, 2015 decreased $2.2 million and $18.1 million, respectively, when compared to the same periods in 2014.  These decreases are primarily due to changes in our accruals for state tax obligations under the Revised Texas Franchise Tax (or “Texas Margin Tax”).  In June 2015, the State of Texas enacted certain changes to the Texas Margin Tax, which lowered the tax rate.









Business Segment Highlights
We evaluate segment performance based on the non-GAAP financial measure of gross operating margin. The following table presents gross operating margin by segment for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
NGL Pipelines & Services
 
$
695.5
   
$
711.5
   
$
2,041.3
   
$
2,172.4
 
Crude Oil Pipelines & Services
   
254.6
     
190.8
     
704.2
     
534.5
 
Natural Gas Pipelines & Services
   
192.4
     
195.4
     
588.3
     
618.8
 
Petrochemical & Refined Products Services
   
191.5
     
190.3
     
547.4
     
482.4
 
Offshore Pipelines & Services
   
7.1
     
47.1
     
97.5
     
120.0
 
Total
 
$
1,341.1
   
$
1,335.1
   
$
3,978.7
   
$
3,928.1
 

For additional information regarding our use of this non-GAAP financial measure, see “Other Items – Use of Non-GAAP Financial Measures” within this Part I, Item 2.

The following information highlights significant changes in our quarterly and year-to-date segment results (i.e., gross operating margin amounts) and the primary drivers of such changes.  The selected volume statistics presented in the tabular information for each segment are reported on a net basis, taking into account our ownership interests in certain joint ventures, and reflect the periods in which we owned an interest in such operations.  These statistics reflect volumes for newly constructed assets from the dates such assets were placed into service.

NGL Pipelines & Services
The following table presents segment gross operating margin and selected volumetric data for the NGL Pipelines & Services segment for the periods indicated (dollars in millions, volumes as noted):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Segment gross operating margin:
 
   
   
   
 
Natural gas processing and related NGL marketing activities
 
$
203.2
   
$
290.5
   
$
663.7
   
$
905.4
 
NGL pipelines and related storage
   
366.1
     
277.7
     
1,006.0
     
828.9
 
NGL fractionation
   
126.2
     
143.3
     
371.6
     
438.1
 
Total
 
$
695.5
   
$
711.5
   
$
2,041.3
   
$
2,172.4
 
Selected volumetric data:
                               
NGL transportation volumes (MBPD)
   
3,156
     
2,866
     
2,942
     
2,862
 
NGL fractionation volumes (MBPD)
   
837
     
823
     
819
     
820
 
Equity NGL production (MBPD) (1)
   
129
     
103
     
129
     
125
 
Fee-based natural gas processing (MMcf/d) (2)
   
5,035
     
4,958
     
4,911
     
4,872
 
 
(1)    Represents the NGL volumes we earn and take title to in connection with our processing activities.
(2)    Volumes reported correspond to the revenue streams earned by our gas plants.
 

Natural gas processing and related NGL marketing activities

Third Quarter of 2015 Compared to Third Quarter of 2014.  Gross operating margin from natural gas processing and related NGL marketing activities for the third quarter of 2015 decreased $87.3 million when compared to the third quarter of 2014. Gross operating margin from our natural gas processing plants decreased $99.0 million quarter-to-quarter primarily due to lower processing margins. In addition, gross operating margin from our NGL marketing activities for the third quarter of 2015 increased a net $11.7 million when compared to the third quarter of 2014 primarily due to higher sales volumes, which accounted for a $29.9 million increase, partially offset by a $14.4 million decrease due to lower sales margins.





Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from natural gas processing and related NGL marketing activities decreased $241.7 million when compared to the same period in 2014.  Gross operating margin from our natural gas processing plants decreased $205.9 million period-to-period primarily due to lower processing margins.  In addition, gross operating margin from our NGL marketing activities for the nine months ended September 30, 2015 decreased a net $35.8 million when compared to the nine months ended September 30, 2014 primarily due to lower sales margins, which accounted for a $149.7 million decrease, partially offset by a $119.8 million increase due to higher sales volumes. During the nine months ended September 30, 2015, a higher percentage of volume in the LPG export business was associated with long-term, fee-based marketing contracts rather than spot business, which is typically contracted at higher margins and was prevalent in the nine months ended September 30, 2014.

NGL pipelines and related storage

Third Quarter of 2015 Compared to Third Quarter of 2014.  Gross operating margin from NGL pipelines and related storage assets for the third quarter of 2015 increased $88.4 million when compared to the third quarter of 2014.  Gross operating margin from our Houston Ship Channel marine terminal and related pipeline increased $32.7 million quarter-to-quarter, of which $17.3 million of the increase is attributable to the addition of Oiltanking’s operations in October 2014, and $15.4 million to a combined 167 MBPD increase in volumes.  In April 2015, we completed an expansion project at our Houston Ship Channel marine terminal that increased our ability to load cargos of LPGs from 7.5 MMBbls per month to approximately 9.0 MMBbls per month.  In contrast, our LPG export terminal experienced a brief outage during the third quarter of 2014 for activities related to the terminal expansion project and maintenance, which reduced volumes during this period.

Gross operating margin from the Chaparral Pipeline, Mid-America Pipeline System, Seminole Pipeline and related terminals increased $24.4 million quarter-to-quarter primarily due to higher transportation tariffs and other fees, which accounted for a $21.9 million quarter-to-quarter increase in gross operating margin, and a $2.9 million quarter-to-quarter decrease in operating expenses.  Gross operating margin from our investments in the Front Range Pipeline, Texas Express Pipeline and Texas Express Gathering System for the third quarter of 2015 increased $4.2 million primarily due to a combined 20 MBPD increase in transportation volumes (net to our interest) when compared to the third quarter of 2014.  Gross operating margin from our ATEX and Aegis Ethane Pipelines increased $7.9 million quarter-to-quarter primarily due to a combined 42 MBPD increase in transportation volumes.  The first segment of our Aegis Ethane Pipeline was completed in September 2014, with the second segment placed into service in September 2015.

Gross operating margin from our South Texas NGL Pipeline System increased $6.4 million quarter-to-quarter attributable to a 68 MBPD increase in transportation volumes, which was primarily due to increased production from the Eagle Ford Shale.  Lastly, gross operating margin from our Tri-States NGL Pipeline increased $6.0 million quarter-to-quarter due to higher tariffs, which accounted for a $3.8 million increase, a $1.1 million increase due to higher transportation volumes of 3 MBPD (net to our interest), and a $1.1 million decrease in operating expenses.

Year-to-Date September 2015 Ccompared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from NGL pipelines and related storage assets increased $177.1 million when compared to the same period in 2014.  Gross operating margin from our Houston Ship Channel marine terminal and related pipeline increased $74.7 million period-to-period, of which $45.8 million of the increase is attributable to our acquisition of Oiltanking and $28.9 million due to a combined 109 MBPD increase in volumes.

For the nine months ended September 30, 2015, gross operating margin from the Chaparral Pipeline, Mid-America Pipeline System, Seminole Pipeline and related terminals increased $43.2 million when compared to the same period in 2014.  Higher transportation tariffs and other fees, which accounted for a $57.5 million period-to-period increase in gross operating margin, and a $29.2 million period-to-period decrease in operating expenses were partially offset by a $43.5 million decrease in gross operating margin attributable to lower transportation volumes.  Transportation volumes on these three pipelines for the nine months ended September 30, 2015 decreased a combined 101 MBPD due in part to lower recoveries of ethane when compared to the same period in 2014.  Lower recoveries of ethane at upstream natural gas processing plants served by these pipelines resulted in lower volumes of ethane available for transportation.

For the nine months ended September 30, 2015, gross operating margin from our investments in the Front Range Pipeline, Texas Express Pipeline and Texas Express Gathering System increased $15.4 million primarily due to a combined 31 MBPD increase in transportation volumes (net to our interest) when compared to the same period in 2014.  Gross operating margin from our ATEX and Aegis Ethane Pipelines increased $12.1 million period-to-period primarily due to a combined 43 MBPD increase in transportation volumes.  Gross operating margin from our South Texas NGL Pipeline System increased $12.6 million period-to-period primarily due to higher transportation volumes of 24 MBPD.  Lastly, gross operating margin from our NGL pipelines and related storage assets increased $14.5 million period-to-period as a result of net operational measurement losses during the nine months ended September 30, 2014 that did not reoccur in the same period in 2015.

NGL fractionation

Third Quarter of 2015 Compared to Third Quarter of 2014.  Gross operating margin from NGL fractionation for the third quarter of 2015 decreased $17.1 million when compared to the third quarter of 2014.  This decrease in gross operating margin is primarily due to a combined $18.6 million decrease in product blending and other fee revenues at our Mont Belvieu NGL fractionation facility.  Certain of these revenues are influenced by energy commodity prices, which have generally declined since the beginning of 2014.

Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from NGL fractionation decreased $66.5 million when compared to the same period in 2014.  Gross operating margin from our Mont Belvieu NGL fractionators decreased $56.2 million period-to-period primarily due to lower product blending and other fee revenues.  Gross operating margin from our Hobbs NGL fractionator in Gaines County, Texas decreased $7.0 million period-to-period primarily due to lower fractionation volumes of 12 MBPD.  Gross operating margin from our Norco NGL fractionator in Louisiana decreased a net $4.7 million period-to-period primarily due to lower revenues from product blending and percent-of-liquids contracts attributable to lower energy commodity prices, which accounted for an $11.8 million quarter-to-quarter decrease, partially offset by a $7.2 million increase due to higher fractionation volumes of 13 MBPD.

Crude Oil Pipelines & Services
The following table presents segment gross operating margin and selected volumetric data for the Crude Oil Pipelines & Services segment for the periods indicated (dollars in millions, volumes as noted):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Segment gross operating margin
 
$
254.6
   
$
190.8
   
$
704.2
   
$
534.5
 
Selected volumetric data:
                               
Crude oil transportation volumes (MBPD)
   
1,535
     
1,266
     
1,507
     
1,274
 

Third Quarter of 2015 Compared to Third Quarter of 2014. Gross operating margin from our Crude Oil Pipelines & Services segment for the third quarter of 2015 increased $63.8 million when compared to the third quarter of 2014.  The EFS Midstream system, which we acquired effective July 1, 2015, contributed $40.7 million of gross operating margin and 66 MBPD of throughput volumes for the third quarter of 2015.  Gross operating margin from crude oil terminaling services at our Houston Ship Channel facility, which we acquired in October 2014 in connection with the Oiltanking acquisition, contributed $35.6 million to our results in the third quarter of 2015.  Gross operating margin from our equity investment in the Seaway Pipeline increased $16.6 million quarter-to-quarter primarily due to contributions from the Seaway Loop, which commenced operations in December 2014.  Seaway’s transportation volumes increased 161 MBPD quarter-to-quarter (net to our interest) primarily due to an increase in long-haul volumes.  Gross operating margin from our West Texas System increased $9.8 million quarter-to-quarter primarily due to higher volumes of 38 MBPD during the third quarter of 2015 when compared to the third quarter of 2014.

Gross operating margin from our South Texas Crude Oil Pipeline System decreased $18.2 million quarter-to-quarter primarily due to a 32 MBPD decrease in volumes, which accounted for a $12.1 million decrease, and a $10.6 million decrease from the sale of excess crude oil volumes obtained through pipeline tariff allowances.  The decrease in crude oil transportation volumes was primarily due to lower production volumes from legacy fields in South Texas and the abandonment of certain segments of pipeline.  The decrease in revenues from the sale of excess crude oil volumes is attributable to the decline in crude oil prices since the third quarter of 2014.
 
Gross operating margin from our crude oil marketing and related trucking activities decreased $23.0 million quarter-to-quarter primarily due to lower crude oil sales margins.

Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from our Crude Oil Pipelines & Services segment increased $169.7 million when compared to the same period in 2014.  Gross operating margin from crude oil terminaling services at our Houston Ship Channel facility contributed $97.6 million during the nine months ended September 30, 2015.  In addition, gross operating margin from our equity investment in the Seaway Pipeline increased $67.2 million period-to-period primarily due to contributions from the Seaway Loop.  Seaway’s transportation volumes increased 117 MBPD period-to-period (net to our interest) primarily due to an increase in long-haul volumes.  As noted previously, the EFS Midstream system contributed $40.7 million of gross operating margin to our results along with 66 MBPD of throughput volumes.  Gross operating margin from our West Texas System increased $15.7 million period-to-period primarily due to a 33 MBPD increase in volumes during the 2015 period.  Gross operating margin from our equity investment in the Eagle Ford Crude Oil Pipeline System increased $12.9 million period-to-period primarily due to a 48 MBPD increase in volumes (net to our interest).

Gross operating margin from our South Texas Crude Oil Pipeline System decreased $40.5 million period-to-period primarily due to a $27.2 million decrease from the sale of excess crude oil volumes obtained through pipeline tariff allowances and a 14 MBPD decrease in volumes, which accounted for an additional $16.1 million decrease.

Gross operating margin from our crude oil marketing and related trucking activities decreased $32.5 million period-to-period primarily due to lower crude oil sales margins.

Natural Gas Pipelines & Services
The following table presents segment gross operating margin and selected volumetric data for the Natural Gas Pipelines & Services segment for the periods indicated (dollars in millions, volumes as noted):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Segment gross operating margin
 
$
192.4
   
$
195.4
   
$
588.3
   
$
618.8
 
Selected volumetric data:
                               
Natural gas transportation volumes (BBtus/d)
   
12,387
     
12,486
     
12,459
     
12,541
 

Third Quarter of 2015 Compared to Third Quarter of 2014. Gross operating margin from our Natural Gas Pipelines & Services segment for the third quarter of 2015 decreased $3.0 million when compared to the third quarter of 2014.  Gross operating margin from our Piceance Basin and Haynesville Gathering Systems decreased $4.9 million quarter-to-quarter primarily due to a combined 258 BBtus/d decrease in gathering volumes, which accounted for a $2.7 million decrease, and lower gathering fees, which accounted for an additional $1.8 million decrease.  Gross operating margin from our Texas Intrastate System decreased a net $2.2 million quarter-to-quarter primarily due to a $3.5 million increase in operating expenses, partially offset by a 224 BBtus/d increase in transportation volumes, which accounted for a $1.5 million increase.  Gross operating margin from our Acadian Gas System decreased $2.0 million quarter-to-quarter primarily due to a decrease in fees.

Gross operating margin from our San Juan Gathering System increased a net $4.9 million quarter-to-quarter primarily due to a $15.6 million decrease in operating expenses.  We recorded $18.0 million of expense during the third quarter of 2014 for the settlement of a contract dispute with a producer.  The quarter-to-quarter decrease in operating expenses was partially offset by the impact of lower energy commodity prices in 2015.  Lower gathering fees, which are indexed to natural gas prices, resulted in a $4.1 million quarter-to-quarter decrease in gross operating margin.  Likewise, condensate and natural gas sales margins on our San Juan Gathering System decreased a combined $5.7 million quarter-to-quarter primarily due to lower commodity prices.






Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from our Natural Gas Pipelines & Services segment decreased $30.5 million when compared to the same period in 2014.  Gross operating margin from our Piceance Basin and Haynesville Gathering Systems decreased $13.7 million period-to-period primarily due to a combined 261 BBtus/d decrease in gathering volumes, which accounted for a $9.7 million decrease, and lower gathering fees, which accounted for an additional $3.9 million decrease.  Gross operating margin from our Texas Intrastate System decreased $15.5 million period-to-period primarily due to an increase in maintenance and other operating expenses.  Gross operating margin from our San Juan Gathering System decreased a net $14.5 million period-to-period primarily due to a $15.8 million decrease in gathering fees, which are indexed to natural gas prices, and a $17.3 million decrease in condensate and natural gas sales primarily resulting from lower sales prices, partially offset by a $21.1 million decrease in operating expenses.

Gross operating margin from our Jonah Gathering System increased a net $12.4 million period-to-period primarily due to higher volumes of 99 BBtus/d, which accounted for a $7.3 million increase, and higher gathering fees, which accounted for an additional $9.1 million increase, partially offset by a $2.8 million decrease in condensate sales.

Petrochemical & Refined Products Services 
The following table presents segment gross operating margin and selected volumetric data for the Petrochemical & Refined Products Services segment for the periods indicated (dollars in millions, volumes as noted):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Segment gross operating margin:
 
   
   
   
 
Propylene fractionation and related activities
 
$
46.7
   
$
65.4
   
$
145.3
   
$
156.4
 
Butane isomerization and related operations
   
18.1
     
11.6
     
44.1
     
65.8
 
Octane enhancement and related plant operations
   
57.5
     
48.2
     
126.8
     
94.7
 
Refined products pipelines and related activities
   
53.0
     
48.1
     
183.3
     
114.2
 
Marine transportation and other
   
16.2
     
17.0
     
47.9
     
51.3
 
Total
 
$
191.5
   
$
190.3
   
$
547.4
   
$
482.4
 
 
                               
Selected volumetric data:
                               
Propylene fractionation volumes (MBPD)
   
72
     
73
     
71
     
72
 
Butane isomerization volumes (MBPD)
   
108
     
95
     
90
     
93
 
Standalone DIB processing volumes (MBPD)
   
89
     
86
     
79
     
81
 
Octane additive and related plant production volumes (MBPD)
   
20
     
20
     
17
     
15
 
Transportation volumes, primarily refined products and petrochemicals (MBPD)
   
904
     
809
     
862
     
782
 

Propylene fractionation and related activities

Third Quarter of 2015 Compared to Third Quarter of 2014.  Gross operating margin from propylene fractionation and related activities for the third quarter of 2015 decreased $18.7 million when compared to the third quarter of 2014.  Gross operating margin from our Mont Belvieu propylene fractionation plants decreased $19.1 million quarter-to-quarter primarily due to an $8.3 million decrease in propylene sales and an $8.0 million increase in maintenance and other operating expenses.  The decrease in propylene sales is primarily due to lower sales margins, which accounted for a $5.5 million decrease, and lower sales volumes, which accounted for an additional $2.8 million decrease.










Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from propylene fractionation and related activities decreased $11.1 million when compared to the same period in 2014.  Gross operating margin from our Mont Belvieu propylene fractionation plants decreased $22.1 million period-to-period.  Operating expenses at these plants increased $29.0 million period-to-period primarily due to maintenance activities we completed during the nine months ended September 30, 2015, partially offset by a $6.9 million increase in gross operating margin period-to-period primarily due to higher propylene sales margins.  Gross operating margin from our propylene rail terminal at Mont Belvieu increased $4.0 million period-to-period primarily due to higher volumes, which accounted for a $1.3 million increase, and higher fees, which accounted for an additional $2.5 million increase.  Gross operating margin from the remainder of this business increased $7.0 million period-to-period primarily due to operational measurement losses in the 2014 period that did not reoccur in the 2015 period.

Butane isomerization and deisobutanizer operations

Third Quarter of 2015 Compared to Third Quarter of 2014.  Gross operating margin from butane isomerization and deisobutanizer (“DIB”) operations for the third quarter of 2015 increased $6.5 million when compared to the third quarter of 2014.  Gross operating margin from our Mont Belvieu isomerization facility increased $6.8 million quarter-to-quarter primarily due to a $17.5 million decrease in operating expenses, partially offset by a $10.1 million decrease in by-product sales attributable to lower sales prices.  The quarter-to-quarter decrease in operating expenses is primarily due to higher maintenance costs we incurred during the third quarter of 2014 involving these assets.

Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from our butane isomerization and DIB operations decreased $21.7 million when compared to the same period in 2014 primarily due to lower by-product sales and isomerization revenues.  By-product sales revenues decreased $32.4 million period-to-period primarily due to lower sales prices.  Isomerization revenues decreased $10.5 million period-to-period, of which an $8.2 million decrease is due to lower fees and a $2.3 million decrease is due to lower isomerization volumes of 3 MBPD.  Maintenance and other operating expenses at our isomerization facility decreased $21.8 million period-to-period.

Octane enhancement and HPIB plant operations

Third Quarter of 2015 Compared to Third Quarter of 2014.  Gross operating margin from our octane enhancement facility and high purity isobutylene (“HPIB”) plant for the third quarter of 2015 increased $9.3 million when compared to the third quarter of 2014 primarily due to higher sales margins.

Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from these operations increased $32.1 million when compared to the same period in 2014.  The period-to-period increase in gross operating margin is primarily due to higher sales volumes during the nine months ended September 30, 2015 when compared to the same period in 2014.

Refined products pipelines and related activities

Third Quarter of 2015 Ccompared to Third Quarter of 2014.  Gross operating margin from refined products pipelines and related marketing activities for the third quarter of 2015 increased $4.9 million when compared to the third quarter of 2014.  Contributions from recently acquired and reactivated assets were partially offset by a $12.5 million increase in expenses for pipeline integrity and related projects on our TE Products Pipeline and related refined products terminals.  Gross operating margin for the third quarter of 2015 includes $6.0 million and $8.4 million from refined products terminaling services provided at our Beaumont Marine West terminal and Houston Ship Channel terminal, respectively.  We acquired these terminals in October 2014 in connection with the Oiltanking acquisition. Gross operating margin from our Beaumont Refined Products Export terminal, which we reactivated in May 2014, increased $2.1 million quarter-to-quarter attributable to higher volumes of 57 MBPD.




Year-to-Date September 2015 Compared to Year-to-Date September 2014.  For the nine months ended September 30, 2015, gross operating margin from refined products pipelines and related marketing activities increased $69.1 million when compared to the same period in 2014.  Gross operating margin from our TE Products Pipeline and related refined products terminals increased $12.3 million period-to-period primarily due to higher tariffs and other fees.  Overall, transportation volumes on the TE Products Pipeline increased a net 36 MBPD period-to-period primarily due to higher refined products and petrochemical transportation volumes.  Gross operating margin from our Beaumont Refined Products Export terminal increased $14.6 million period-to-period on higher volumes of 47 MBPD.  For the nine months ended September 30, 2015, gross operating margin includes $21.4 million and $18.8 million from refined products terminaling services provided at our Beaumont Marine West terminal and Houston Ship Channel terminal, respectively.

Offshore Pipelines & Services
As discussed in “Significant Recent Developments,” we sold our Offshore Business to Genesis on July 24, 2015.  The following table presents segment gross operating margin and selected volumetric data for the Offshore Pipelines & Services segment for the periods indicated (dollars in millions, volumes as noted):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Segment gross operating margin
 
$
7.1
   
$
47.1
   
$
97.5
   
$
120.0
 
Selected volumetric data:
                               
Natural gas transportation volumes (BBtus/d)
   
565
     
683
     
587
     
621
 
Crude oil transportation volumes (MBPD)
   
344
     
335
     
357
     
329
 
Platform natural gas processing (MMcf/d)
   
82
     
152
     
101
     
150
 
Platform crude oil processing (MBPD)
   
9
     
16
     
13
     
14
 

Gross operating margin from our Offshore Pipelines & Services segment for the third quarter and first nine months of 2015 decreased $40.0 million and $22.5 million, respectively, when compared to the same periods of 2014 due to the sale of our Offshore Business in July 2015.


Liquidity and Capital Resources

At September 30, 2015, we had $4.71 billion of consolidated liquidity, which was comprised of $80.5 million of unrestricted cash on hand and $4.63 billion of available borrowing capacity under EPO’s revolving credit facilities. Based on current market conditions (as of the filing date of this quarterly report), we believe we will have sufficient liquidity, cash flow from operations and access to capital markets to fund our capital expenditures and working capital needs for the reasonably foreseeable future.

We expect to issue additional equity and debt securities to assist us in meeting our future funding and liquidity requirements, including those related to capital spending.  We have a universal shelf registration statement (the “2013 Shelf”) on file with the SEC.  The 2013 Shelf allows Enterprise Products Partners L.P. and EPO (on a standalone basis) to issue an unlimited amount of equity and debt securities.  We issued $2.5 billion of senior notes under the 2013 Shelf in May 2015 (see below).

Consolidated Debt
The following table presents scheduled maturities of our consolidated debt obligations outstanding at September 30, 2015 for the years indicated (dollars in millions):

 
 
   
Scheduled Maturities of Debt
 
 
 
Total
   
Remainder
of 2015
   
2016
   
2017
   
2018
   
2019
   
Thereafter
 
Commercial Paper Notes
 
$
869.5
   
$
869.5
   
$
--
   
$
--
   
$
--
   
$
--
   
$
--
 
Senior Notes
   
20,150.0
     
--
     
750.0
     
800.0
     
1,100.0
     
1,500.0
     
16,000.0
 
Junior Subordinated Notes
   
1,478.3
     
--
     
--
     
--
     
--
     
--
     
1,478.3
 
Total
 
$
22,497.8
   
$
869.5
   
$
750.0
   
$
800.0
   
$
1,100.0
   
$
1,500.0
   
$
17,478.3
 

We expect to refinance the current maturities of our consolidated debt obligations at or prior to their maturity.  
 
Issuance of $2.5 Billion of Senior Notes in May 2015
In May 2015, EPO issued $750 million in principal amount of 1.65% senior notes due May 2018 (“Senior Notes OO”), $875 million in principal amount of 3.70% senior notes due February 2026 (“Senior Notes PP”) and $875 million in principal amount of 4.90% senior notes due May 2046 (“Senior Notes QQ”).  Senior Notes OO, PP and QQ were issued at 99.881%, 99.635% and 99.635% of their principal amounts, respectively.

Net proceeds from the issuance of these senior notes were used as follows: (i) the repayment of amounts outstanding under EPO’s commercial paper program, which included amounts we used to repay $250 million in principal amount of Senior Notes I that matured in March 2015, (ii) the repayment of amounts outstanding at the maturity of our $400 million in principal amount of Senior Notes X that matured in June 2015 and (iii) for general company purposes.

Enterprise Products Partners L.P. has unconditionally guaranteed these senior notes on an unsecured and unsubordinated basis.  These senior notes rank equal with EPO’s existing and future unsecured and unsubordinated indebtedness and are senior to any existing and future subordinated indebtedness of EPO.  These senior notes are subject to make-whole redemption rights and were issued under an indenture containing certain covenants, which generally restrict EPO’s ability (with certain exceptions) to incur debt secured by liens and engage in sale and leaseback transactions.

Partial Retirement of Junior Subordinated Notes During Third Quarter of 2015
During the third quarter of 2015, EPO retired $28.1 million of its Junior Subordinated Notes A and $26.3 million of its Junior Subordinated Notes C with cash from operations.  A $1.4 million gain on the extinguishment of these debt obligations is included in “Other, net” on our Unaudited Condensed Statements of Consolidated Operations.

364-Day Credit Agreement
In September 2015, EPO amended its 364-Day Credit Agreement to extend its maturity date to September 2016.  There are currently no principal amounts outstanding under this revolving credit agreement.  Under the terms of the 364-Day Credit Agreement, EPO may borrow up to $1.5 billion (which may be increased by up to $200 million to $1.7 billion at EPO’s election, provided certain conditions are met) at a variable interest rate for a term of 364 days, subject to the terms and conditions set forth therein.  To the extent that principal amounts are outstanding at the maturity date, EPO may elect to have the entire principal balance then outstanding continued as a non-revolving term loan for a period of one additional year, payable in September 2017.  The remaining terms of the 364-Day Credit Agreement, as amended, remain materially the same as those reported for the 364-Day Credit Agreement in our 2014 Form 10-K.

Multi-Year Revolving Credit Facility
In September 2015, EPO amended its Multi-Year Revolving Credit Facility to increase its borrowing capacity from $3.5 billion to $4.0 billion and extend its maturity date from June 2018 to September 2020.  The amended agreement also provides that EPO may increase its borrowing capacity to $4.5 billion by allowing existing lenders under the facility to increase their respective commitments or by adding one or more new lenders to the agreement.  The remaining terms of the Multi-Year Revolving Credit Facility, as amended, remain materially the same as those reported for the Multi-Year Revolving Credit Facility in our 2014 Form 10-K.

Issuance of Common Units
The following information describes significant transactions that affected our partners’ equity accounts during the nine months ended September 30, 2015:

Completion of Oiltanking Acquisition
On February 13, 2015, we issued 36,827,517 common units to the former public unitholders of Oiltanking as a result of completing Step 2 of the Oiltanking acquisition.  See “Significant Recent Developments” within this Part I, Item 2 for additional information regarding the Oiltanking acquisition.





At-The-Market (“ATM”) Program  
On July 1, 2015, we filed a registration statement with the SEC covering the issuance of up to $1.92 billion of our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of such offerings.   Pursuant to this ATM program, we may sell common units under an equity distribution agreement between Enterprise Products Partners L.P. and certain broker-dealers from time-to-time by means of ordinary brokers’ transactions through the NYSE at market prices, in block transactions or as otherwise agreed to with the broker-dealer parties to the agreement.  The new registration statement was declared effective on August 3, 2015 and replaced our prior registration statement with respect to the ATM program, which was filed with the SEC in October 2013 and covered the issuance of up to $1.25 billion of our common units.  After taking into account the aggregate sales price of common units sold under our ATM program through September 30, 2015 as described below, we now have the capacity to issue additional common units under our ATM program up to an aggregate sales price of $1.92 billion.

During the nine months ended September 30, 2015, we issued 23,258,453 common units under the ATM program for aggregate gross proceeds of $767.1 million.  This includes 3,225,057 common units sold in March 2015 to a privately held affiliate of EPCO, which generated gross proceeds of $100 million.  After taking into account applicable costs, our transactions under the ATM program resulted in aggregate net cash proceeds of $759.7 million for the nine months ended September 30, 2015.

DRIP and EUPP  
We also have registration statements on file with the SEC collectively authorizing the issuance of up to 140,000,000 of our common units in connection with a distribution reinvestment plan (“DRIP”).  We issued a total of 7,965,318 common units under our DRIP during the nine months ended September 30, 2015, which generated net cash proceeds of $242.8 million.  After taking into account the number of common units issued under the DRIP through September 30, 2015, we have the capacity to issue an additional 19,516,031 common units under this plan.

During the nine months ended September 30, 2015, affiliates of privately held EPCO reinvested $50 million, resulting in the issuance of 1,543,581 common units under our DRIP (this amount being a component of the total common units issued under the DRIP for the nine months ended September 30, 2015).   These same affiliates purchased an additional $50 million of our common units under the DRIP in November 2015.

In addition to the DRIP, we have registration statements on file with the SEC authorizing the issuance of up to 8,000,000 of our common units in connection with our employee unit purchase plan (“EUPP”).  We issued 285,997 common units under our EUPP during the nine months ended September 30, 2015, which generated net cash proceeds of $8.9 million.  After taking into account the number of common units issued under the EUPP through September 30, 2015, we may issue an additional 6,867,071 common units under this plan.

Use of Proceeds  
The net cash proceeds we received from the issuance of common units during the nine months ended September 30, 2015 were used to temporarily reduce amounts outstanding under EPO’s commercial paper program and revolving credit facilities and for general company purposes.

For additional information regarding our issuance of common units and related registration statements, see Note 11 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.

Credit Ratings
As of November 1, 2015, the investment-grade credit ratings of EPO’s long-term senior unsecured debt securities were BBB+ from Standard and Poor’s and Baa1 from Moody’s.  In addition, the credit ratings of EPO’s short-term senior unsecured debt securities were A-2 from Standard and Poor’s and P-2 from Moody’s.  Fitch Ratings issued non-solicited ratings of BBB+ and F-2 for EPO’s long-term senior unsecured debt securities and short-term senior unsecured debt securities, respectively.




EPO’s credit ratings reflect only the view of a rating agency and should not be interpreted as a recommendation to buy, sell or hold any of our securities.  A credit rating can be revised upward or downward or withdrawn at any time by a rating agency, if it determines that circumstances warrant such a change.  A credit rating from one rating agency should be evaluated independently of credit ratings from other rating agencies.

Cash Flows from Operating, Investing and Financing Activities
The following table summarizes our consolidated cash flows from operating, investing and financing activities for the periods indicated (dollars in millions).  For additional information regarding our cash flow amounts, please refer to the Unaudited Condensed Statements of Consolidated Cash Flows included under Part I, Item 1 of this quarterly report.

 
 
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
 
Net cash flows provided by operating activities
 
$
2,591.2
   
$
2,704.4
 
Cash used in investing activities
   
2,308.2
     
2,268.1
 
Cash provided by (used in) financing activities
   
(276.9
)
   
568.4
 

Net cash flows provided by operating activities are largely dependent on earnings from our consolidated business activities.  As a result, these cash flows are exposed to certain risks.  We operate predominantly in the midstream energy industry.  We provide products and services to producers and consumers of natural gas, NGLs, crude oil, petrochemicals and refined products.  The products that we process, sell, transport or store are principally used as fuel for residential, agricultural and commercial heating; as feedstocks in petrochemical manufacturing; by crude oil refineries; and in the production of motor gasoline.  Reduced demand for our services or products by industrial customers, whether because of a decline in general economic conditions, reduced demand for the end products made with our products, or increased competition from other service providers or producers due to pricing differences or other reasons, could have a negative impact on our earnings and operating cash flows.  For a more complete discussion of these and other risk factors pertinent to our business, see “Risk Factors” under Part I, Item 1A of our 2014 Form 10-K and under Part II, Item 1A of this quarterly report.

Comparison of Nine Months Ended September 30, 2015 with Nine Months Ended September 30, 2014
The following information highlights significant period-to-period fluctuations in our consolidated cash flow amounts:

Operating Activities
Net cash flows provided by operating activities for the nine months ended September 30, 2015 decreased $113.2 million when compared to the same period in 2014.  The decrease in cash provided by operating activities was primarily due to:

§
a $192.1 million period-to-period decrease in cash primarily due to the timing of cash receipts and payments related to operations; and

§
a $22.8 million decrease in cash attributable to lower partnership income in the nine months ended September 30, 2015 compared to the same period in 2014 (after adjusting our $287.5 million period-to-period decrease in net income for changes in the non-cash items identified on our Unaudited Condensed Statements of Consolidated Cash Flows); partially offset by

§
a $101.7 million period-to-period increase in cash distributions received from unconsolidated affiliates primarily due to improved results from our investments in crude oil and NGL pipeline joint ventures.

For information regarding significant period-to-period changes in our consolidated net income and underlying segment results, see “Results of Operations” within this Part I, Item 2.





Investing Activities
Cash used in investing activities for the nine months ended September 30, 2015 increased $40.1 million when compared to the same period in 2014 primarily due to:

§
a net $1.05 billion cash outflow in July 2015 in connection with the acquisition of EFS Midstream (see “Significant Recent Developments – Acquisition of Eagle Ford Midstream Assets” under this Part I, Item 2);

§
a $759.6 million period-to-period increase in capital spending for consolidated property, plant and equipment, net of contributions in aid of construction costs;

§
a $105.2 million period-to-period change in restricted cash requirements; partially offset by

§
a $1.42 billion period-to-period increase in proceeds from asset sales and insurance recoveries primarily due to the sale of our Offshore Business in July 2015, which generated proceeds of $1.53 billion (see “Significant Recent Developments – Sale of Offshore Business” under this Part I, Item 2), partially offset by a $95.0 million period-to-period decrease in cash proceeds from insurance recoveries (see Note 16 of the Notes to Unaudited Condensed Consolidated Financial Statements under Part I, Item 1 of this quarterly report for additional information regarding proceeds from insurance recoveries); and

§
a $452.6 million period-to-period decrease in cash contributions to our unconsolidated affiliates primarily due to the completion of construction of the Front Range Pipeline and the Seaway Loop, partially offset by increased investments in the Eagle Ford Crude Oil Pipeline System.

Financing Activities
Our net cash used in financing activities for the nine months ended September 30, 2015 was $276.9 million compared to net cash provided by financing activities of $568.4 million for the same period in 2014.  The $845.3 million period-to-period change in cash flow from financing activities was primarily due to:

§
a $1.34 billion period-to-period decrease in net borrowings under our consolidated debt agreements.  EPO issued $2.5 billion and repaid $1.48 billion in principal amount of debt obligations during the nine months ended September 30, 2015 compared to the issuance of $2.0 billion and repayment of $500.0 million in principal amount of senior notes during the same period in 2014.  In addition, net repayments under EPO’s commercial paper program were $40.8 million during the nine months ended September 30, 2015 compared to net issuances of $814.6 million during the same period in 2014; and

§
a $236.9 million increase in cash distributions paid to limited partners during the nine months ended September 30, 2015 when compared to the same period in 2014.  The increase in cash distributions is due to increases in both the number of distribution-bearing common units outstanding and the quarterly cash distribution rates per unit; partially offset by

§
a $706.5 million period-to-period increase in net cash proceeds from the issuance of common units.  We issued an aggregate 31,509,768 common units in connection with our ATM program, DRIP and EUPP during the nine months ended September 30, 2015, which generated $1.01 billion of net cash proceeds.  This compares to an aggregate 8,946,238 common units we issued in connection with our ATM program, DRIP and EUPP during the same period in 2014, which collectively generated $304.9 million of net cash proceeds.

Cash Distributions to Limited Partners
Our partnership agreement requires us to make quarterly distributions to our unitholders of all available cash, after any cash reserves established by Enterprise GP in its sole discretion.  Cash reserves include those for the proper conduct of our business including, for example, those for capital expenditures, debt service, working capital, operating expenses, commitments and contingencies and other significant amounts.  The retention of cash by the partnership allows us to reinvest in our growth and reduce our future reliance on the equity and debt capital markets.  Based on the level of available cash, management proposes a quarterly cash distribution rate to the Board of Directors of Enterprise GP, which has sole authority in approving such matters. Unlike most master limited partnerships, our general partner has a non-economic ownership interest in us and is not entitled to receive any cash distributions from us based on IDRs or other equity interests.
 
The following table presents our declared quarterly cash distribution rates per common unit with respect to the quarter indicated:

 
 
Distribution Per
Common Unit
 
Record
Date
Payment
Date
2014:
          
1st Quarter
 
$
0.3550
 
4/30/2014
5/7/2014
2nd Quarter
 
$
0.3600
 
7/31/2014
8/7/2014
3rd Quarter
 
$
0.3650
 
10/31/2014
11/7/2014
2015:
       
 
    
1st Quarter
 
$
0.3750
 
4/30/2015
5/7/2015
2nd Quarter
 
$
0.3800
 
7/31/2015
8/7/2015
3rd Quarter
 
$
0.3850
 
10/30/2015
11/6/2015

We measure available cash by reference to distributable cash flow.  The following table summarizes our calculation of distributable cash flow for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Net income attributable to limited partners (1)
 
$
649.3
   
$
691.1
   
$
1,836.4
   
$
2,127.6
 
Adjustments to GAAP net income attributable to limited partners to derive non-GAAP distributable cash flow:
                               
Add depreciation, amortization and accretion expenses
   
372.8
     
341.4
     
1,147.7
     
992.4
 
Add non-cash asset impairment charges
   
26.8
     
5.7
     
139.1
     
18.2
 
Add losses or subtract gains attributable to asset sales and insurance recoveries, net
   
12.3
     
(2.6
)
   
14.7
     
(99.0
)
Add cash proceeds from asset sales and insurance recoveries (2)
   
1,531.4
     
8.3
     
1,537.3
     
121.5
 
Add changes in fair value of Liquidity Option Agreement (3)
   
4.3
     
--
     
15.8
     
--
 
Add cash distributions received from unconsolidated affiliates (4)
   
96.9
     
103.6
     
362.4
     
260.7
 
Subtract equity in income of unconsolidated affiliates (4)
   
(103.1
)
   
(72.3
)
   
(302.5
)
   
(179.1
)
Subtract sustaining capital expenditures (5)
   
(84.3
)
   
(106.8
)
   
(195.8
)
   
(262.0
)
Add deferred income tax expense or subtract benefit
   
(1.6
)
   
2.0
     
(13.3
)
   
2.6
 
Other, net
   
(3.5
)
   
4.4
     
(23.3
)
   
32.7
 
Distributable cash flow
 
$
2,501.3
   
$
974.8
   
$
4,518.5
   
$
3,015.6
 
 
                               
Total cash distributions paid to limited partners with respect to period
 
$
760.7
   
$
691.1
   
$
2,246.4
   
$
2,002.6
 
 
                               
Cash distributions per unit declared by Enterprise GP with respect to period
 
$
0.385
   
$
0.365
   
$
1.14
   
$
1.08
 
 
                               
Total distributable cash flow retained by partnership with respect to period (6)
 
$
1,740.6
   
$
283.7
   
$
2,272.1
   
$
1,013.0
 
 
                               
Distribution coverage ratio (7)
   
3.3x
 
   
1.4x
 
   
2.0x
 
   
1.5x
 
 
(1)   For a discussion of significant changes in our comparative income statement amounts underlying net income attributable to limited partners, along with the primary drivers of such changes, see “Consolidated Income Statements Highlights” within this Part I, Item 2.
(2)   For a discussion of significant changes in cash proceeds from asset sales and insurance recoveries as presented in the investing activities section of our Unaudited Condensed Statements of Consolidated Cash Flows, see “Cash Flows from Operating, Investing and Financing Activities” within this Part I, Item 2.
(3)   For information regarding our Liquidity Option Agreement, see Note 15 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.
(4)   For information regarding our unconsolidated affiliates, see Note 7 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.
(5)   For purposes of this calculation, sustaining capital expenditures for each period include the impact of accruals.
(6)   At the sole discretion of Enterprise GP, cash retained by the partnership with respect to each of these periods was primarily reinvested in our growth capital spending program, which substantially reduced our reliance on the equity and debt capital markets to fund such major expenditures.
(7)   Distribution coverage ratio is determined by dividing distributable cash flow by total cash distributions paid to limited partners and in connection with distribution equivalent rights with respect to the period.
 







In November 2010, we completed our merger with Enterprise GP Holdings L.P. (the “Holdings Merger”).  In connection with the Holdings Merger, a privately held affiliate of EPCO agreed to temporarily waive the regular cash distributions it would otherwise receive from us with respect to a certain number of our common units it owns (the “Designated Units’).  Distributions paid by us to this privately held affiliate of EPCO during 2015 excluded 35,380,000 Designated Units. The temporary distribution waiver expires at the end of calendar year 2015; therefore, distributions to be paid, if any, during calendar year 2016 will include all common units owned by the privately held affiliates of EPCO.

For additional information regarding non-GAAP distributable cash flow, see “Other Items – Use of Non-GAAP Financial Measures” within this Part I, Item 2.  Our use of distributable cash flow for the limited purposes described above and in this report is not a substitute for net cash flows provided by operating activities, the most comparable GAAP measure.


Capital Spending

An important part of our business strategy involves expansion through growth capital projects, business combinations and investments in joint ventures.  We believe that we are positioned to continue to expand our system of assets through the construction of new facilities and to capitalize on expected increases in natural gas, NGL and crude oil production resulting from development activities in the Rocky Mountains, Mid-Continent and Northeast regions, including the Niobrara, Barnett, Eagle Ford, Permian, Haynesville, Marcellus and Utica Shale plays.

Although our focus in recent years has been on expansion through growth capital projects, management continues to analyze potential business combinations, asset acquisitions, joint ventures and similar transactions with businesses that operate in complementary markets or geographic regions.  In light of current business conditions, we expect that these opportunities will increase.

We placed approximately $900 million of major capital projects into service during the nine months ended September 30, 2015.  These projects included an expansion of our Houston Ship Channel LPG export terminal, our Rancho II pipeline and the second segment of our Aegis Ethane Pipeline.  During the remainder of 2015, we expect to complete construction and begin commercial operations of growth capital projects costing approximately $1.8 billion.  These projects include another significant expansion of our Houston Ship Channel LPG export terminal and various crude oil pipeline and storage products.























The following table summarizes our capital spending for the periods indicated (dollars in millions):

 
 
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
 
Step 2 of Oiltanking acquisition (1)
       
Equity instruments (36,827,517 common units of Enterprise)
 
$
1,408.7
   
$
--
 
Acquisition of EFS Midstream (2)
   
1,045.1
     
--
 
Capital spending for property, plant and equipment, net:  (3)
               
Growth capital projects (4)
   
2,420.3
     
1,598.3
 
Sustaining capital projects (5)
   
198.8
     
261.2
 
Investments in unconsolidated affiliates
   
130.7
     
583.3
 
Other investing activities
   
5.3
     
6.0
 
Total capital spending
 
$
5,208.9
   
$
2,448.8
 
 
(1)   For a description of the acquisition of Oiltanking, see “Significant Recent Developments” within this Part I, Item 2.
(2)   Amount represents the initial payment for EFS Midstream in July 2015. For a general description of the acquisition of EFS Midstream, see “Significant Recent Developments” within this Part I, Item 2.
(3)   On certain of our capital projects, third parties are obligated to reimburse us for all or a portion of project expenditures. The majority of such arrangements are associated with pipeline construction projects and production well tie-ins. Contributions in aid of construction costs were $11.4 million and $20.0 million for the nine months ended September 30, 2015 and 2014, respectively. Growth and sustaining capital amounts presented in the table above are presented net of related contributions in aid of construction costs.
(4)   Growth capital projects either (a) result in new sources of cash flow due to enhancements of or additions to existing assets (e.g., additional revenue streams, cost savings resulting from debottlenecking of a facility, etc.) or (b) expand our asset base through construction of new facilities that will generate additional revenue streams and cash flows.
(5)   Sustaining capital expenditures are capital expenditures (as defined by GAAP) resulting from improvements to existing assets. Such expenditures serve to maintain existing operations but do not generate additional revenues or result in significant cost savings.
 

Fluctuations in our spending for growth capital projects and investments in unconsolidated affiliates are explained in large part by increases or decreases in spending on major expansion projects.  Our most significant growth capital expenditures for the nine months ended September 30, 2015 involved projects at our Houston LPG and ethane export terminals and Mont Belvieu complex.

Fluctuations in spending for sustaining capital projects are explained in large part by the timing and cost of pipeline integrity and similar projects.

Capital spending for the nine months ended September 30, 2015 includes $1.4 billion of non-cash equity consideration we issued to complete Step 2 of the Oiltanking acquisition.  Step 2 represented our acquisition of the noncontrolling interests in Oiltanking; therefore, approximately $1.4 billion of noncontrolling interests attributable to Oiltanking was reclassified to limited partners’ equity to reflect the February 2015 issuance of 36,827,517 Enterprise common units.

We acquired EFS Midstream in July 2015 for approximately $2.1 billion in cash, excluding $125 million of EFS Midstream debt that was extinguished immediately after closing of the transaction on July 8, 2015.   Of the $2.1 billion purchase price, $1.0 billion was deferred and will be paid no later than the first anniversary of the closing date.  For additional information regarding the EFS Midstream acquisition, including an allocation of the purchase price to assets acquired and liabilities assumed, see Note 8 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.

In total, capital spending for property, plant and equipment increased $759.6 million period-to-period primarily due to higher growth capital spending during the nine months ended September 30, 2015.  Growth capital spending at our Houston Ship Channel LPG and ethane export facilities increased a combined $296.6 million period-to-period as work continued at both locations.  We recently completed an expansion project at our Houston Ship Channel LPG export terminal that increased our ability to load cargoes of fully refrigerated, low-ethane propane from 7.5 MMBbls per month to approximately 9.0 MMBbls per month.  Work continues at this marine terminal facility on another expansion project that will increase our loading capacity from 9.0 MMBbls per month to in excess of 16.0 MMBbls per month.  This expansion project is expected to be in service by the end of 2015.  Work also continues at our Houston Ship Channel ethane export facility, which we expect to begin operations in the third quarter of 2016.
 
Growth capital spending on our Rancho II crude oil pipeline and the expansion of crude oil terminal assets at our ECHO, Houston Ship Channel and Beaumont Marine West terminals increased a combined $308.4 million period-to-period.  The Rancho II crude oil pipeline, which entered commercial service in September 2015, consists of 88 miles of pipeline extending from Sealy, Texas to our ECHO terminal.  Current expansion projects at our ECHO, Houston Ship Channel and Beaumont Marine West terminals involve the construction of additional storage capacity and associated distribution pipelines.  We continue to complete these terminal expansion projects in phases, with final completion expected in 2016.

Growth capital spending at our Mont Belvieu complex increased $238.3 million period-to-period primarily due to construction of our PDH facility, which is expected to begin commercial operations in late 2016.  In addition, growth capital spending on our Gulf Coast ethane header system increased $153.8 million period-to-period.  Our Gulf Coast ethane header system will be comprised of the newly constructed Aegis Ethane Pipeline and existing South Texas midstream infrastructure.  In September 2015, we completed the second segment of our Aegis Ethane Pipeline from Beaumont, Texas to Lake Charles, Louisiana, and we expect to complete the third and final segment of the pipeline by the end of 2015.  When completed, our Gulf Coast ethane header system will extend 500 miles from Corpus Christi, Texas to the Mississippi River in Louisiana.

Growth capital spending attributable to our ATEX pipeline and the Rocky Mountain expansion of our Mid-America Pipeline System decreased a combined $258.8 million period-to-period. Expansion projects involving these assets were largely completed prior to the nine months ended September 30, 2015.

Investments in unconsolidated affiliates for the nine months ended September 30, 2015 decreased $452.6 million when compared to same period in 2014 primarily due to completion of the Seaway Loop pipeline in December 2014.

Capital Spending Outlook
We currently expect our total capital spending for the remainder of 2015 to approximate $1.25 billion, which includes $95 million for sustaining capital expenditures.  Our forecast of capital spending for the remainder of 2015 is based on our announced strategic operating and growth plans (through the filing date of this quarterly report), which are dependent upon our ability to generate the required funds from either operating cash flows or other means, including borrowings under debt agreements, the issuance of additional equity and debt securities, and potential divestitures.  We may revise our forecast of capital spending due to factors beyond our control, such as adverse economic conditions, weather related issues and changes in supplier prices.  Furthermore, our forecast of capital spending may change as a result of decisions made by management at a later date, which may include the addition of costs in connection with unforeseen acquisition opportunities.

Our success in raising capital, including the formation of joint ventures to share costs and risks, continues to be a significant factor in determining how much capital we can invest. We believe our access to capital resources is sufficient to meet the demands of our current and future growth needs and, although we currently expect to make the forecast capital expenditures noted above, we may adjust the timing and amounts of projected expenditures in response to changes in capital market conditions.

Pipeline Integrity Costs
Our pipelines are subject to safety programs administered by the U.S. Department of Transportation (“DOT”).  This federal agency has issued safety regulations containing requirements for the development of integrity management programs for hazardous liquid pipelines (e.g., NGL, crude oil, refined products and petrochemical pipelines) and natural gas pipelines.  In general, these regulations require companies to assess the condition of their pipelines in certain high consequence areas (as defined by the regulation) and to perform any necessary repairs.








The following table summarizes our pipeline integrity costs, including those attributable to DOT regulations, for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Expensed
 
$
10.7
   
$
17.6
   
$
40.9
   
$
44.4
 
Capitalized
   
15.0
     
11.5
     
29.6
     
30.5
 
Total
 
$
25.7
   
$
29.1
   
$
70.5
   
$
74.9
 

We expect the cost of our pipeline integrity program, regardless of whether such costs are capitalized or expensed, to approximate $29 million for the remainder of 2015.  The cost of our pipeline integrity program was $99 million for the year ended December 31, 2014.


Critical Accounting Policies and Estimates

A discussion of our critical accounting policies and estimates is included in our 2014 Form 10-K.  The following types of estimates, in our opinion, are subjective in nature, require the exercise of professional judgment and involve complex analysis:

§ depreciation methods and estimated useful lives of property, plant and equipment;

§ measuring recoverability of long-lived assets and equity method investments;

§ amortization methods and estimated useful lives of qualifying intangible assets;

§ methods we employ to measure the fair value of goodwill; and

§ revenue recognition policies and the use of estimates for revenue and expenses.

When used to prepare our Unaudited Condensed Consolidated Financial Statements, the foregoing types of estimates are based on our current knowledge and understanding of the underlying facts and circumstances.  Such estimates may be revised as a result of changes in the underlying facts and circumstances.  Subsequent changes in these estimates may have a significant impact on our consolidated financial position, results of operations and cash flows.


Other Items

Use of Non-GAAP Financial Measures
Gross operating margin  
We evaluate segment performance based on the non-GAAP financial measure of gross operating margin.  Gross operating margin (either in total or by individual segment) is an important performance measure of the core profitability of our operations.  This measure forms the basis of our internal financial reporting and is used by our executive management in deciding how to allocate capital resources among business segments.  We believe that investors benefit from having access to the same financial measures that our management uses in evaluating segment results.  The GAAP financial measure most directly comparable to total segment gross operating margin is operating income.  For additional information regarding gross operating margin, see Note 12 of the Notes to Unaudited Condensed Consolidated Financial Statements under Part I, Item 1 of this quarterly report.







The following table presents a reconciliation of non-GAAP total segment gross operating margin to GAAP operating income for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Total segment gross operating margin
 
$
1,341.1
   
$
1,335.1
   
$
3,978.7
   
$
3,928.1
 
Adjustments to reconcile total segment gross operating margin to operating income:
                               
Subtract depreciation, amortization and accretion expense amounts not reflected in gross operating margin
   
(351.1
)
   
(322.7
)
   
(1,082.0
)
   
(936.5
)
Subtract impairment charges not reflected in gross operating margin
   
(26.8
)
   
(5.7
)
   
(139.1
)
   
(18.2
)
Add net gains or subtract net losses attributable to asset sales and insurance recoveries not reflected in gross operating margin
   
(12.3
)
   
2.6
     
(14.7
)
   
99.0
 
Subtract non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
   
(3.4
)
   
(21.6
)
   
(39.3
)
   
(66.8
)
Add subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
   
10.9
     
--
     
45.3
     
--
 
Subtract general and administrative costs not reflected in gross operating margin
   
(49.0
)
   
(50.0
)
   
(143.2
)
   
(150.9
)
Operating income
 
$
909.4
   
$
937.7
   
$
2,605.7
   
$
2,854.7
 

Distributable cash flow  
Our management compares the distributable cash flow we generate to the cash distributions we expect to pay our partners.  Using this metric, management computes our distribution coverage ratio.  Distributable cash flow is an important non-GAAP financial measure for our limited partners since it serves as an indicator of our success in providing a cash return on investment.  Specifically, this financial measure indicates to investors whether or not we are generating cash flows at a level that can sustain or support an increase in our quarterly cash distributions.  Distributable cash flow is also a quantitative standard used by the investment community with respect to publicly traded partnerships because the value of a partnership unit is, in part, measured by its yield, which is based on the amount of cash distributions a partnership can pay to a unitholder.  The GAAP measure most directly comparable to distributable cash flow is net cash flows provided by operating activities.

The following table presents a reconciliation of non-GAAP distributable cash flow to GAAP net cash flows provided by operating activities for the periods indicated (dollars in millions):

 
 
For the Three Months
Ended September 30,
   
For the Nine Months
Ended September 30,
 
 
 
2015
   
2014
   
2015
   
2014
 
Distributable cash flow
 
$
2,501.3
   
$
974.8
   
$
4,518.5
   
$
3,015.6
 
Adjustments to reconcile distributable cash flow to net cash flows provided by operating activities:
                               
Add sustaining capital expenditures reflected in distributable cash flow
   
84.3
     
106.8
     
195.8
     
262.0
 
Subtract cash proceeds from asset sales and insurance recoveries reflected in distributable cash flow
   
(1,531.4
)
   
(8.3
)
   
(1,537.3
)
   
(121.5
)
Net effect of changes in operating accounts not reflected in distributable cash flow
   
(377.2
)
   
(237.2
)
   
(627.9
)
   
(435.8
)
Other, net
   
12.6
     
(3.6
)
   
42.1
     
(15.9
)
Net cash flows provided by operating activities
 
$
689.6
   
$
832.5
   
$
2,591.2
   
$
2,704.4
 

Contractual Obligations
Our consolidated principal debt obligations at September 30, 2015 were approximately $22.5 billion compared to $21.39 billion at December 31, 2014. For information regarding the scheduled maturities of such debt, see “Liquidity and Capital Resources – Consolidated Debt” within this Part I, Item 2. See Note 10 of the Notes to Unaudited Condensed Consolidated Financial Statements under Part I, Item 1 of this quarterly report for additional information regarding our consolidated debt obligations.

Off-Balance Sheet Arrangements
We have no off-balance sheet arrangements that have or are reasonably expected to have a material current or future effect on our financial position, results of operations and cash flows.

Related Party Transactions
For information regarding our related party transactions, see Note 13 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report.


Item 3.     Quantitative and Qualitative Disclosures about Market Risk.

In the normal course of our business operations, we are exposed to certain risks, including changes in interest rates and commodity prices.  In order to manage risks associated with assets, liabilities and certain anticipated future transactions, we use derivative instruments such as futures, forward contracts, swaps, options and other instruments with similar characteristics.  Substantially all of our derivatives are used for non-trading activities.

Our exposures to market risk have not changed materially since those reported under Part II, Item 7A, “Quantitative and Qualitative Disclosures About Market Risk,” included in our 2014 Form 10-K.

We assess the risk associated with each of our derivative instrument portfolios using a sensitivity analysis model.  This approach measures the change in fair value of the derivative instrument portfolio based on a hypothetical 10% change in the underlying interest rates or quoted market prices on a particular day.  In addition to these variables, the fair value of each portfolio is influenced by changes in the notional amounts of the instruments outstanding and the discount rates used to determine the present values.  The sensitivity analysis approach does not reflect the impact that the same hypothetical price movement would have on the hedged exposures to which they relate.  Therefore, the impact on the fair value of a derivative instrument resulting from a change in interest rates or quoted market prices (as applicable) would normally be offset by a corresponding gain or loss on the hedged debt instrument, inventory value or forecasted transaction assuming:

§
the derivative instrument functions effectively as a hedge of the underlying risk;

§
the derivative instrument is not closed out in advance of its expected term; and

§
the hedged forecasted transaction occurs within the expected time period.

We routinely review the effectiveness of our derivative instrument portfolios in light of current market conditions.  Accordingly, the nature and volume of our derivative instruments may change depending on the specific exposure being managed.

See Note 4 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report for additional information regarding our derivative instruments and hedging activities.

Interest Rate Hedging Activities
We may utilize interest rate swaps, forward starting swaps and similar derivative instruments to manage our exposure to changes in interest rates charged on borrowings under certain consolidated debt agreements.  This strategy may be used in controlling our overall cost of capital associated with such borrowings.  The composition of our derivative instrument portfolios may change from period-to-period depending on our hedging requirements.

With respect to the tabular data below, each portfolio’s estimated fair value at a given date is based on a number of factors, including the number and types of derivatives outstanding at that date, the notional value of the swaps and associated interest rates.

Interest rate swaps
Interest rate swaps exchange the stated interest rate paid on a notional amount of existing debt for the fixed or floating interest rate stipulated in the derivative instrument.  The following table summarizes our portfolio of interest rate swaps at September 30, 2015 (dollars in millions):

Hedged Transaction
Number and Type
of Derivatives
Outstanding
 
Notional
Amount
 
Period of
Hedge
Rate
Swap
Accounting
Treatment
   Senior Notes OO
10  fixed-to-floating swaps
 
$
750.0
 
5/2015 to 5/2018
1.65% to 0.79%
Fair value hedge

The following table shows the effect of hypothetical price movements (a sensitivity analysis) on the estimated fair value of our interest rate swap portfolio at the dates indicated (dollars in millions):

 
  
Portfolio Fair Value at
 
Scenario
Resulting
Classification
December 31,
2014
 
September 30,
2015
 
October 15,
2015
 
Fair value assuming no change in underlying interest rates
Asset
 
$
--
   
$
7.6
   
$
9.0
 
Fair value assuming 10% increase in underlying interest rates
Asset
   
--
     
5.9
     
7.4
 
Fair value assuming 10% decrease in underlying interest rates
Asset
   
--
     
9.4
     
10.6
 

Commodity Hedging Activities
The prices of natural gas, NGLs, crude oil, petrochemicals and refined products are subject to fluctuations in response to changes in supply and demand, market conditions and a variety of additional factors that are beyond our control.  In order to manage such price risks, we enter into commodity derivative instruments such as physical forward contracts, futures contracts, fixed-for-float swaps, basis swaps and option contracts.  The following table summarizes our portfolio of commodity derivative instruments outstanding at September 30, 2015 (volume measures as noted):

 
Volume (1)
Accounting
Derivative Purpose
Current (2)
Long-Term (2)
Treatment
Derivatives designated as hedging instruments:
     
Natural gas processing:
     
Forecasted natural gas purchases for plant thermal reduction (Bcf)
4.9
n/a
Cash flow hedge
Forecasted sales of NGLs (MMBbls) (3)
1.1
n/a
Cash flow hedge
Octane enhancement:
     
Forecasted purchases of NGLs (MMBbls)
0.1
n/a
Cash flow hedge
Forecasted sales of octane enhancement products (MMBbls)
0.5
n/a
Cash flow hedge
Natural gas marketing:
     
Forecasted purchases of natural gas for fuel (Bcf)
6.4
n/a
Cash flow hedge
Forecasted sales of natural gas (Bcf)
0.1
n/a
Cash flow hedge
Natural gas storage inventory management activities (Bcf)
10.2
n/a
Fair value hedge
NGL marketing:
     
Forecasted purchases of NGLs and related hydrocarbon products (MMBbls)
34.6
0.5
Cash flow hedge
Forecasted sales of NGLs and related hydrocarbon products (MMBbls)
49.8
n/a
Cash flow hedge
Refined products marketing:
 
   
Forecasted purchases of refined products (MMBbls)
0.4
n/a
Cash flow hedge
Forecasted sales of refined products (MMBbls)
0.7
n/a
Cash flow hedge
Refined products inventory management activities (MMBbls)
0.2
n/a
Fair value hedge
Crude oil marketing:
   
 
Forecasted purchases of crude oil (MMBbls)
9.0
1.6
Cash flow hedge
Forecasted sales of crude oil (MMBbls)
11.9
1.6
Cash flow hedge
Derivatives not designated as hedging instruments:
     
Natural gas risk management activities (Bcf) (4,5)
65.9
9.6
Mark-to-market
NGL risk management activities (MMBbls) (5)
14.9
n/a
Mark-to-market
Crude oil risk management activities (MMBbls) (5)
5.8
0.4
Mark-to-market
 
(1)    Volume for derivatives designated as hedging instruments reflects the total amount of volumes hedged whereas volume for derivatives not designated as hedging instruments reflects the absolute value of derivative notional volumes.
(2)    The maximum term for derivatives designated as cash flow hedges, derivatives designated as fair value hedges and derivatives not designated as hedging instruments is December 2017, April 2016 and March 2018, respectively.
(3)    Forecasted sales of NGL volumes under natural gas processing exclude 0.7 MMBbls of additional hedges executed under contracts that have been designated as normal sales agreements.
(4)    Current and long-term volumes include 38.7 Bcf and 0.9 Bcf, respectively, of physical derivative instruments that are predominantly priced at a marked-based index plus a premium or minus a discount related to location differences.
(5)    Reflects the use of derivative instruments to manage risks associated with transportation, processing and storage assets.




 
At September 30, 2015, our predominant commodity hedging strategies consisted of (i) hedging anticipated future purchases and sales of commodity products associated with transportation, storage and blending activities, (ii) hedging natural gas processing margins and (iii) hedging the fair value of commodity products held in inventory.  

§
The objective of our anticipated future commodity purchases and sales hedging program is to hedge the margins of certain transportation, storage, blending and operational activities by locking in purchase and sale prices through the use of forward contracts and derivative instruments.

§
The objective of our natural gas processing hedging program is to hedge an amount of gross margin associated with these activities.  We achieve this objective by executing forward fixed-price sales of a portion of our expected equity NGL production using forward contracts and commodity derivative instruments.  For certain natural gas processing contracts, the hedging of expected equity NGL production also involves the purchase of natural gas for plant thermal reduction, which is hedged by executing forward fixed-price purchases using forward contracts and derivative instruments.

§
The objective of our inventory hedging program is to hedge the fair value of commodity products currently held in inventory by locking in the sales price of the inventory through the use of forward contracts and derivative instruments.

The following table shows the effect of hypothetical price movements (a sensitivity analysis) on the estimated fair value of our natural gas marketing portfolio at the dates indicated (dollars in millions):

 
  
Portfolio Fair Value at
 
Scenario
Resulting
Classification
December 31,
2014
 
September 30,
2015
 
October 15,
2015
 
Fair value assuming no change in underlying commodity prices
Asset
 
$
5.8
   
$
4.2
   
$
3.8
 
Fair value assuming 10% increase in underlying commodity prices
Asset (Liability)
   
2.4
     
(0.1
)
   
(0.5
)
Fair value assuming 10% decrease in underlying commodity prices
Asset
   
9.2
     
8.5
     
8.1
 

The following table shows the effect of hypothetical price movements (a sensitivity analysis) on the estimated fair value of our NGL marketing, refined products marketing and octane enhancement portfolios at the dates indicated (dollars in millions):

 
  
Portfolio Fair Value at
 
Scenario
Resulting
Classification
December 31,
2014
 
September 30,
2015
 
October 15,
2015
 
Fair value assuming no change in underlying commodity prices
Asset
 
$
57.8
   
$
34.6
   
$
53.6
 
Fair value assuming 10% increase in underlying commodity prices
Asset
   
47.5
     
5.2
     
28.0
 
Fair value assuming 10% decrease in underlying commodity prices
Asset
   
68.2
     
64.0
     
79.3
 

The following table shows the effect of hypothetical price movements (a sensitivity analysis) on the estimated fair value of our crude oil marketing portfolio at the dates indicated (dollars in millions):

 
  
Portfolio Fair Value at
 
Scenario
Resulting
Classification
December 31,
2014
 
September 30,
2015
 
October 15,
2015
 
Fair value assuming no change in underlying commodity prices
Asset
 
$
15.6
   
$
6.9
   
$
3.0
 
Fair value assuming 10% increase in underlying commodity prices
Asset (Liability)
   
6.5
     
(8.6
)
   
(14.0
)
Fair value assuming 10% decrease in underlying commodity prices
Asset
   
24.7
     
22.5
     
20.0
 








 
Item 4.  Controls and Procedures.

Disclosure Controls and Procedures
As of the end of the period covered by this quarterly report, our management carried out an evaluation, with the participation of (i) Michael A. Creel, our general partner’s chief executive officer, (ii) W. Randall Fowler, our general partner’s chief administrative officer, and (iii) Bryan F. Bulawa, our general partner’s chief financial officer, of the effectiveness of our disclosure controls and procedures pursuant to Rule 13a-15 of the Securities Exchange Act of 1934.  Mr. Creel is our principal executive officer and Messrs. Fowler and Bulawa represent our principal financial officers.  Based on this evaluation, as of the end of the period covered by this quarterly report, Messrs. Creel, Fowler and Bulawa concluded:

(i) that our disclosure controls and procedures are designed to ensure that information required to be disclosed by us in the reports that we file or submit under the Securities Exchange Act of 1934 is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including our principal executive and financial officers, as appropriate to allow for timely decisions regarding required disclosures; and

(ii) that our disclosure controls and procedures are effective.

Changes in Internal Control over Financial Reporting
We are continuing to evaluate and implement changes to the processes, policies and other applicable components of our internal control over financial reporting due to our consolidation of the financial statements of Oiltanking effective October 1, 2014 and EFS Midstream effective July 1, 2015. Management continues to evaluate the effectiveness of our internal control procedures and the design of those control procedures as they relate to Oiltanking and EFS Midstream.  In accordance with rules promulgated by the U.S. Securities and Exchange Commission, acquired businesses such as Oiltanking and EFS Midstream may be excluded from our assessment of internal control over financial reporting for one year while such businesses are being integrated with our legacy operations.  We expect that the evaluation process will be completed for Oiltanking during the fourth quarter of 2015 and for EFS Midstream during the third quarter of 2016.

We followed our normal accounting procedures and internal control processes when recording and disclosing the accounting impacts of the Oiltanking and EFS Midstream acquisitions.  In addition, management routinely reviews the results of operations of these acquired businesses prior to their consolidation with the results of operations of our other businesses.

There were no changes in our internal controls over financial reporting (as defined in Rule 13a-15(f) under the Securities Exchange Act of 1934) during the third quarter of 2015, that have materially affected, or are reasonably likely to materially affect, our internal controls over financial reporting. 

The required certifications of Messrs. Creel, Fowler and  Bulawa under Sections 302 and 906 of the Sarbanes-Oxley Act of 2002 are included as exhibits to this quarterly report (see Exhibits 31 and 32 under Part II, Item 6 of this quarterly report).


PART II.  OTHER INFORMATION

Item 1.  Legal Proceedings.

As part of our normal business activities, we may be named as defendants in litigation and legal proceedings, including those arising from regulatory and environmental matters.  Although we are insured against various risks to the extent we believe it is prudent, there is no assurance that the nature and amount of such insurance will be adequate, in every case, to indemnify us against liabilities arising from future legal proceedings.  We will vigorously defend the partnership in litigation matters.

 
For additional information regarding our litigation matters, see “Litigation” under Note 15 of the Notes to Unaudited Condensed Consolidated Financial Statements included under Part I, Item 1 of this quarterly report, which subsection is incorporated by reference into this Part II, Item 1.


Item 1A.      Risk Factors.

An investment in our securities involves certain risks. Security holders and potential investors in our securities should carefully consider the supplemental risk described below in addition to the risks described under “Risk Factors” set forth in Part I, Item 1A of our 2014 Form 10-K, in addition to other information in such annual report.  The risk factors set forth in in this quarterly report and our 2014 Form 10-K are important factors that could cause our actual results to differ materially from those contained in any written or oral forward-looking statements made by us or on our behalf.

The tax treatment of publicly traded partnerships or an investment in our common units could be subject to potential legislative, judicial or administrative changes and differing interpretations, possibly on a retroactive basis.

The present federal income tax treatment of publicly traded partnerships, including us, or an investment in our common units, may be modified by administrative, legislative or judicial interpretation at any time.  For example, from time to time, members of the U.S. Congress and the U.S. President propose and consider substantive changes to the existing U.S. federal income tax laws that affect the tax treatment of publicly traded partnerships.

Section 7704 of the Internal Revenue Code provides that a publicly traded partnership is treated as a corporation unless 90% or more of its income meets the “qualifying income requirement.”  On May 5, 2015, the U.S. Treasury Department and the Internal Revenue Service issued proposed regulations interpreting the scope of qualifying income for publicly traded partnerships by providing industry-specific guidance with respect to activities that will generate qualifying income for purposes of the qualifying income requirement.  The proposed regulations, once issued in final form, may change interpretations of the current law relating to the characterization of income as qualifying income and could modify the amount of our gross income that we are able to treat as qualifying income for purposes of the qualifying income requirement.

Any modification to federal income tax laws and interpretations thereof may or may not be applied retroactively and could make it more difficult or impossible for us to be treated as a partnership for federal income tax purposes (i.e., not taxed as a corporation).  In addition, such changes may affect or cause us to change our business activities, affect the tax considerations of an investment in us, change the character or treatment of portions of our income, or otherwise adversely affect an investment in our common units.  We are unable to predict whether any of these changes or any other proposals will ultimately be enacted.  Any such changes could negatively impact the value of an investment in our common units and the amount of cash available for distribution to our unitholders.


Item 2.  Unregistered Sales of Equity Securities and Use of Proceeds.

The following table summarizes our repurchase activity during the nine months ended September 30, 2015:

Period
 
Total Number
of Units
Purchased
   
Average
Price Paid
per Unit
   
Total Number of
Units Purchased
as Part of Publicly
Announced Plans
   
Maximum
Number of Units
That May Yet
Be Purchased
Under the Plans
 
February 2015 (1)
   
628,750
   
$
33.68
     
--
     
--
 
May 2015 (2)
   
33,492
   
$
34.21
     
--
     
--
 
August 2015 (3)
   
18,254
   
$
26.93
     
--
     
--
 
(1)   Of the 1,852,746 restricted common units that vested in February 2015 and converted to common units, 628,750 units were sold back to us by employees to cover related withholding tax requirements.
(2)   Of the 87,298 restricted common units that vested in May 2015 and converted to common units, 33,492 units were sold back to us by employees to cover related withholding tax requirements.
(3)   Of the 57,150 restricted common units that vested in August 2015 and converted to common units, 18,254 units were sold back to us by employees to cover related withholding tax requirements.
 
 
 
Item 3.  Defaults Upon Senior Securities.

None.


Item 4. Mine Safety Disclosures.

Not applicable.


Item 5.  Other Information.

Disclosure Under Section 13(r) of the Securities Exchange Act of 1934

Under Section 13(r) of the Securities Exchange Act of 1934, as amended by the Iran Threat Reduction and Syria Human Rights Act of 2012, issuers are required to include certain disclosures in their periodic reports if they or any of their “affiliates” (as defined in Rule 12b-2 thereunder) have knowingly engaged in certain specified activities relating to Iran.  Disclosure is required even where the activities are conducted outside the U.S. by non-U.S. affiliates in compliance with applicable law, and even if the activities are not covered or prohibited by U.S. law.

Dr. F. Christian Flach was named a director of our general partner in October 2014 in connection with the acquisition of Oiltanking. Dr. Flach is also a managing director of Oiltanking GmbH, which maintains a joint venture interest in Oiltanking Odfjell GmbH, which in turn owns a joint venture interest in the Exir Chemical Terminal (“ECT”) in Iran.  This interest results from an investment dating back to 2002.  Oiltanking GmbH currently has the contractual right to vote for the appointment of one member of ECT’s three-member board. Oiltanking GmbH provides no goods, services, technology, information or support to ECT and plays no role in the management or day-to-day operations of ECT.

Among other activities, ECT provides transit storage for naphtha originating in Iraq en route to Oman for a customer in the United Arab Emirates. ECT does not import or handle any products originated from Iran that are regulated under U.S., European Union or United Nations sanctions laws. ECT pays routine and standard charges (i) to the Petrochemical Special Economic Zone Organization (“Petzone”) for the use of pipelines and (ii) to Terminals and Tanks Petrochemical Co. (“TTPC”), which operates the berth.  Petzone and TTPC are subsidiaries of the National Petrochemical Company, which is owned and controlled by the Government of Iran.  As Oiltanking GmbH has no direct involvement in the day-to-day operations of ECT, we have no information regarding ECT’s intent to continue or not continue making the payments described above.

Oiltanking GmbH maintains an internal compliance program to ensure compliance with all applicable sanctions regimes, including sanctions laws maintained by the U.S., European Union and United Nations.  Although the existence of the routine payments described above may be reportable under Section 13(r), Oiltanking GmbH has informed us that neither it, nor any of its subsidiaries or affiliates, has engaged in any conduct that would be sanctionable under any of these legal regimes.


Item 6.       Exhibits.

Exhibit
Number
Exhibit*
2.1
Merger Agreement, dated as of December 15, 2003, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise Products Management LLC, GulfTerra Energy Partners, L.P. and GulfTerra Energy Company, L.L.C. (incorporated by reference to Exhibit 2.1 to Form 8-K filed December 15, 2003).
2.2
Amendment No. 1 to Merger Agreement, dated as of August 31, 2004, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise Products Management LLC, GulfTerra Energy Partners, L.P. and GulfTerra Energy Company, L.L.C. (incorporated by reference to Exhibit 2.1 to Form 8-K filed September 7, 2004).
 
 
 
 
2.3
Parent Company Agreement, dated as of December 15, 2003, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise Products GTM, LLC, El Paso Corporation, Sabine River Investors I, L.L.C., Sabine River Investors II, L.L.C., El Paso EPN Investments, L.L.C. and GulfTerra GP Holding Company (incorporated by reference to Exhibit 2.2 to Form 8-K filed December 15, 2003).
2.4
Amendment No. 1 to Parent Company Agreement, dated as of April 19, 2004, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise Products GTM, LLC, El Paso Corporation, Sabine River Investors I, L.L.C., Sabine River Investors II, L.L.C., El Paso EPN Investments, L.L.C. and GulfTerra GP Holding Company (incorporated by reference to Exhibit 2.1 to Form 8-K filed April 21, 2004).
2.5
Purchase and Sale Agreement (Gas Plants), dated as of December 15, 2003, by and between El Paso Corporation, El Paso Field Services Management, Inc., El Paso Transmission, L.L.C., El Paso Field Services Holding Company and Enterprise Products Operating L.P. (incorporated by reference to Exhibit 2.4 to Form 8-K filed December 15, 2003). 
2.6
Agreement and Plan of Merger, dated as of June 28, 2009, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise Sub B LLC, TEPPCO Partners, L.P. and Texas Eastern Products Pipeline Company, LLC (incorporated by reference to Exhibit 2.1 to Form 8-K filed June 29, 2009).
2.7
Agreement and Plan of Merger, dated as of June 28, 2009, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise Sub A LLC, TEPPCO Partners, L.P. and Texas Eastern Products Pipeline Company, LLC (incorporated by reference to Exhibit 2.2 to Form 8-K filed June 29, 2009).
2.8
Agreement and Plan of Merger, dated as of September 3, 2010, by and among Enterprise Products Partners L.P., Enterprise Products GP, LLC, Enterprise ETE LLC, Enterprise GP Holdings L.P. and EPE Holdings, LLC (incorporated by reference to Exhibit 2.1 to Form 8-K filed September 7, 2010).
2.9
Agreement and Plan of Merger, dated as of September 3, 2010, by and among Enterprise Products GP, LLC, Enterprise GP Holdings L.P. and EPE Holdings, LLC (incorporated by reference to Exhibit 2.2 to Form 8-K filed September 7, 2010).
2.10
Contribution Agreement, dated as of September 30, 2010, by and between Enterprise Products Company and Enterprise Products Partners L.P. (incorporated by reference to Exhibit 2.1 to Form 8-K filed October 1, 2010).
2.11
Agreement and Plan of Merger, dated as of April 28, 2011, by and among Enterprise Products Partners L.P., Enterprise Products Holdings LLC, EPD MergerCo LLC, Duncan Energy Partners L.P. and DEP Holdings, LLC (incorporated by reference to Exhibit 2.1 to Form 8-K filed April 29, 2011).
2.12
Contribution and Purchase Agreement, dated as of October 1, 2014, by and among Enterprise Products Partners L.P., Oiltanking Holding Americas, Inc. and OTB Holdco, LLC (incorporated by reference to Exhibit 2.1 to Form 8-K filed October 1, 2014).
2.13
Agreement and Plan of Merger, dated as of November 11, 2014, by and among Enterprise Products Partners L.P., Enterprise Products Holdings LLC, EPOT MergerCo LLC, Oiltanking Partners, L.P. and OTLP GP, LLC (incorporated by reference to Exhibit 2.1 to Form 8-K filed November 12, 2014).
3.1
Certificate of Limited Partnership of Enterprise Products Partners L.P. (incorporated by reference to Exhibit 3.6 to Form 10-Q filed November 9, 2007).
3.2
Certificate of Amendment to Certificate of Limited Partnership of Enterprise Products Partners L.P., filed on November 22, 2010 with the Delaware Secretary of State (incorporated by reference to Exhibit 3.6 to Form 8-K filed November 23, 2010).
3.3
Sixth Amended and Restated Agreement of Limited Partnership of Enterprise Products Partners L.P., dated November 22, 2010 (incorporated by reference to Exhibit 3.2 to Form 8-K filed November 23, 2010).
3.4
Amendment No. 1 to Sixth Amended and Restated Agreement of Limited Partnership of Enterprise Products Partners L.P., dated effective as of August 11, 2011 (incorporated by reference to Exhibit 3.1 to Form 8-K filed August 16, 2011).
3.5
Amendment No. 2 to Sixth Amended and Restated Agreement of Limited Partnership of Enterprise Products Partners L.P., dated effective as of August 21, 2014 (incorporated by reference to Exhibit 3.1 to Form 8-K filed August 26, 2014).
 
 
 
 
3.6
Certificate of Formation of Enterprise Products Holdings LLC (formerly named EPE Holdings, LLC) (incorporated by reference to Exhibit 3.3 to Form S-1/A Registration Statement, Reg. No. 333-124320, filed by Enterprise GP Holdings L.P. on July 22, 2005).
3.7
Certificate of Amendment to Certificate of Formation of Enterprise Products Holdings LLC (formerly named EPE Holdings, LLC), filed on November 22, 2010 with the Delaware Secretary of State (incorporated by reference to Exhibit 3.5 to Form 8-K filed November 23, 2010).
3.8
Fifth Amended and Restated Limited Liability Company Agreement of Enterprise Products Holdings LLC dated effective as of September 7, 2011 (incorporated by reference to Exhibit 3.1 to Form 8-K filed September 8, 2011).
3.9
Company Agreement of Enterprise Products Operating LLC dated June 30, 2007 (incorporated by reference to Exhibit 3.3 to Form 10-Q filed August 8, 2007).
3.10
Certificate of Incorporation of Enterprise Products OLPGP, Inc., dated December 3, 2003 (incorporated by reference to Exhibit 3.5 to Form S-4 Registration Statement, Reg. No. 333-121665, filed December 27, 2004).
3.11
Bylaws of Enterprise Products OLPGP, Inc., dated December 8, 2003 (incorporated by reference to Exhibit 3.6 to Form S-4 Registration Statement, Reg. No. 333-121665, filed December 27, 2004).
4.1
Form of Common Unit certificate (incorporated by reference to Exhibit A to Exhibit 3.1 to Form 8-K filed August 16, 2011).
4.2
Indenture, dated as of March 15, 2000, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Guarantor, and First Union National Bank, as Trustee (incorporated by reference to Exhibit 4.1 to Form 8-K filed March 10, 2000).
4.3
Second Supplemental Indenture, dated as of February 14, 2003, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Guarantor, and Wachovia Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 10-K filed March 31, 2003).
4.4
Third Supplemental Indenture, dated as of June 30, 2007, among Enterprise Products Operating L.P., as Original Issuer, Enterprise Products Partners L.P., as Parent Guarantor, Enterprise Products Operating LLC, as New Issuer, and U.S. Bank National Association, as successor Trustee (incorporated by reference to Exhibit 4.55 to Form 10-Q filed August 8, 2007).
4.5
Indenture, dated as of October 4, 2004, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.1 to Form 8-K filed October 6, 2004).
4.6
Fourth Supplemental Indenture, dated as of October 4, 2004, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.5 to Form 8-K filed October 6, 2004).
4.7
Fifth Supplemental Indenture, dated as of March 2, 2005, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.2 to Form 8-K filed March 3, 2005).
4.8
Sixth Supplemental Indenture, dated as of March 2, 2005, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed March 3, 2005).
4.9
Eighth Supplemental Indenture, dated as of July 18, 2006, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.2 to Form 8-K filed July 19, 2006).
4.10
Ninth Supplemental Indenture, dated as of May 24, 2007, among Enterprise Products Operating L.P., as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.2 to Form 8-K filed May 24, 2007).
 
 
4.11
Tenth Supplemental Indenture, dated as of June 30, 2007, among Enterprise Products Operating L.P., as Original Issuer, Enterprise Products Partners L.P., as Parent Guarantor, Enterprise Products Operating LLC, as New Issuer, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.54 to Form 10-Q filed August 8, 2007).
4.12
Eleventh Supplemental Indenture, dated as of September 4, 2007, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed September 5, 2007).
4.13
Thirteenth Supplemental Indenture, dated as of April 3, 2008, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.4 to Form 8-K filed April 3, 2008).
4.14
Sixteenth Supplemental Indenture, dated as of October 5, 2009, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed October 5, 2009).
4.15
Seventeenth Supplemental Indenture, dated as of October 27, 2009, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.1 to Form 8-K filed October 28, 2009).
4.16
 
Eighteenth Supplemental Indenture, dated as of October 27, 2009, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.2 to Form 8-K filed October 28, 2009).
4.17
Nineteenth Supplemental Indenture, dated as of May 20, 2010, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed May 20, 2010).
4.18
Twentieth Supplemental Indenture, dated as of January 13, 2011, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed January 13, 2011).
4.19
Twenty-First Supplemental Indenture, dated as of August 24, 2011, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed August 24, 2011).
4.20
Twenty-Second Supplemental Indenture, dated as of February 15, 2012, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.25 to Form 10-Q filed May 10, 2012).
4.21
Twenty-Third Supplemental Indenture, dated as of August 13, 2012, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed August 13, 2012).
4.22
Twenty-Fourth Supplemental Indenture, dated as of March 18, 2013, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed March 18, 2013).
4.23
Twenty-Fifth Supplemental Indenture, dated as of February 12, 2014, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed February 12, 2014).
4.24
Twenty-Sixth Supplemental Indenture, dated as of October 14, 2014, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.4 to Form 8-K filed October 14, 2014).
 
 
 
 
4.25
Twenty-Seventh Supplemental Indenture, dated as of May 7, 2015, among Enterprise Products Operating LLC, as Issuer, Enterprise Products Partners L.P., as Parent Guarantor, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 4.3 to Form 8-K filed May 7, 2015).
4.26
Form of Global Note representing $499.2 million principal amount of 6.875% Series B Senior Notes due 2033 with attached Guarantee (incorporated by reference to Exhibit 4.8 to Form 10-K filed March 31, 2003).
4.27
Form of Global Note representing $350.0 million principal amount of 6.65% Series B Senior Notes due 2034 with attached Guarantee (incorporated by reference to Exhibit 4.19 to Form S-3 Registration Statement, Reg. No. 333-123150, filed March 4, 2005).
4.28
Form of Global Note representing $250.0 million principal amount of 5.00% Series B Senior Notes due 2015 with attached Guarantee (incorporated by reference to Exhibit 4.31 to Form 10-Q filed November 4, 2005).
4.29
Form of Global Note representing $250.0 million principal amount of 5.75% Series B Senior Notes due 2035 with attached Guarantee (incorporated by reference to Exhibit 4.32 to Form 10-Q filed November 4, 2005).
4.30
Form of Junior Subordinated Note, including Guarantee (incorporated by reference to Exhibit 4.2 to Form 8-K filed July 19, 2006).
4.31
Form of Global Note representing $800.0 million principal amount of 6.30% Senior Notes due 2017 with attached Guarantee (incorporated by reference to Exhibit 4.38 to Form 10-Q filed November 9, 2007).
4.32
Form of Global Note representing $700.0 million principal amount of 6.50% Senior Notes due 2019 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed April 3, 2008).
4.33
Form of Global Note representing $500.0 million principal amount of 5.25% Senior Notes due 2020 with attached Guarantee (incorporated by reference to Exhibit 4.3 to Form 8-K filed October 5, 2009).
4.34
Form of Global Note representing $600.0 million principal amount of 6.125% Senior Notes due 2039 with attached Guarantee (incorporated by reference to Exhibit 4.3 to Form 8-K filed October 5, 2009).
4.35
Form of Global Note representing $349.7 million principal amount of 6.65% Senior Notes due 2018 with attached Guarantee (incorporated by reference to Exhibit 4.6 to Form 8-K filed October 28, 2009).
4.36
Form of Global Note representing $399.6 million principal amount of 7.55% Senior Notes due 2038 with attached Guarantee (incorporated by reference to Exhibit 4.7 to Form 8-K filed October 28, 2009).
4.37
Form of Global Note representing $285.8 million principal amount of 7.000% Junior Subordinated Notes due 2067 with attached Guarantee (incorporated by reference to Exhibit 4.8 to Form 8-K filed October 28, 2009).
4.38
Form of Global Note representing $400.0 million principal amount of 3.70% Senior Notes due 2015 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed May 20, 2010).
4.39
Form of Global Note representing $1.0 billion principal amount of 5.20% Senior Notes due 2020 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed May 20, 2010).
4.40
Form of Global Note representing $600.0 million principal amount of 6.45% Senior Notes due 2040 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed May 20, 2010).
4.41
Form of Global Note representing $750.0 million principal amount of 3.20% Senior Notes due 2016 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed January 13, 2011).
4.42
Form of Global Note representing $750.0 million principal amount of 5.95% Senior Notes due 2041 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed January 13, 2011).
 
 
 
 
4.43
Form of Global Note representing $650.0 million principal amount of 4.05% Senior Notes due 2022 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed August 24, 2011).
4.44
Form of Global Note representing $600.0 million principal amount of 5.70% Senior Notes due 2042 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed August 24, 2011).
4.45
Form of Global Note representing $750.0 million principal amount of 4.85% Senior Notes due 2042 with attached Guarantee (incorporated by reference to Exhibit 4.25 to Form 10-Q filed May 10, 2012).
4.46
Form of Global Note representing $650.0 million principal amount of 1.25% Senior Notes due 2015 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed August 13, 2012).
4.47
Form of Global Note representing $1.1 billion principal amount of 4.45% Senior Notes due 2043 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed August 13, 2012).
4.48
Form of Global Note representing $1.25 billion principal amount of 3.35% Senior Notes due 2023 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed March 18, 2013).
4.49
Form of Global Note representing $1.0 billion principal amount of 4.85% Senior Notes due 2044 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed March 18, 2013).
4.50
Form of Global Note representing $850.0 million principal amount of 3.90% Senior Notes due 2024 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed February 12, 2014).
4.51
Form of Global Note representing $1.15 billion principal amount of 5.10% Senior Notes due 2045 with attached Guarantee (incorporated by reference to Exhibit 4.4 to Form 8-K filed February 12, 2014).
4.52
Form of Global Note representing $800.0 million principal amount of 2.55% Senior Notes due 2019 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed October 14, 2014).
4.53
Form of Global Note representing $1.15 billion principal amount of 3.75% Senior Notes due 2025 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed October 14, 2014).
4.54
Form of Global Note representing $400.0 million principal amount of 4.95% Senior Notes due 2054 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed October 14, 2014).
4.55
Form of Global Note representing $400.0 million principal amount of 4.85% Senior Notes due 2044 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed October 14, 2014).
4.56
Form of Global Note representing $750.0 million principal amount of 1.65% Senior Notes due 2018 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed May 7, 2015).
4.57
Form of Global Note representing $875.0 million principal amount of 3.70% Senior Notes due 2026 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed May 7, 2015).
4.58
Form of Global Note representing $875.0 million principal amount of 4.90% Senior Notes due 2046 with attached Guarantee (incorporated by reference to Exhibit 4.5 to Form 8-K filed May 7, 2015).
4.59
Replacement Capital Covenant, dated July 18, 2006, executed by Enterprise Products Operating L.P. in favor of the covered debtholders described therein (incorporated by reference to Exhibit 99.1 to Form 8-K filed July 19, 2006).
4.60
First Amendment to Replacement Capital Covenant dated August 25, 2006, executed by Enterprise Products Operating L.P. in favor of the covered debtholders described therein (incorporated by reference to Exhibit 99.2 to Form 8-K filed August 25, 2006).
4.61
Replacement Capital Covenant, dated May 24, 2007, executed by Enterprise Products Operating L.P. and Enterprise Products Partners L.P. in favor of the covered debtholders described therein (incorporated by reference to Exhibit 99.1 to Form 8-K filed May 24, 2007).
 
 
 
 
4.62
Replacement Capital Covenant, dated October 27, 2009, executed by Enterprise Products Operating LLC and Enterprise Products Partners L.P. in favor of the covered debtholders described therein (incorporated by reference to Exhibit 4.9 to Form 8-K filed October 28, 2009).
4.63
Amendment to Replacement Capital Covenants, dated May 6, 2015, executed by Enterprise Products Operating LLC and Enterprise Products Partners L.P. in favor of the covered debtholders described therein (incorporated by reference to Exhibit 4.59 to Form 10-Q filed May 8, 2015).
4.64
Indenture, dated February 20, 2002, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, Limited Partnership, TCTM, L.P., TEPPCO Midstream Companies, L.P. and Jonah Gas Gathering Company, as Subsidiary Guarantors, and First Union National Bank, NA, as Trustee (incorporated by reference to Exhibit 99.2 to the Form 8-K filed by TEPPCO Partners, L.P. on February 20, 2002).
4.65
Second Supplemental Indenture, dated June 27, 2002, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, Limited Partnership, TCTM, L.P., TEPPCO Midstream Companies, L.P. and Jonah Gas Gathering Company, as Initial Subsidiary Guarantors, Val Verde Gas Gathering Company, L.P., as New Subsidiary Guarantor, and Wachovia Bank, National Association, formerly known as First Union National Bank, as Trustee (incorporated by reference to Exhibit 4.6 to the Form 10-Q filed by TEPPCO Partners, L.P. on August 14, 2002).
4.66
Full Release of Guarantee, dated July 31, 2006, by Wachovia Bank, National Association, as Trustee, in favor of Jonah Gas Gathering Company (incorporated by reference to Exhibit 4.8 to the Form 10-Q filed by TEPPCO Partners, L.P. on November 7, 2006).
4.67
Fourth Supplemental Indenture, dated June 30, 2007, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, Limited Partnership, TCTM, L.P., TEPPCO Midstream Companies, L.P., Val Verde Gas Gathering Company, L.P., TE Products Pipeline Company, LLC and TEPPCO Midstream Companies, LLC, as Subsidiary Guarantors, and U.S. Bank National Association, as Trustee (incorporated by reference to Exhibit 4.3 to the Form 8-K filed by TE Products Pipeline Company, LLC on July 6, 2007).
4.68
Sixth Supplemental Indenture, dated March 27, 2008, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, LLC, TCTM, L.P., TEPPCO Midstream Companies, LLC and Val Verde Gas Gathering Company, L.P., as Subsidiary Guarantors, and U.S. Bank National Association, as Trustee (incorporated by reference to Exhibit 4.12 to the Form 10-Q filed by TEPPCO Partners, L.P. on May 8, 2008).
4.69
Seventh Supplemental Indenture, dated March 27, 2008, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, LLC, TCTM, L.P., TEPPCO Midstream Companies, LLC and Val Verde Gas Gathering Company, L.P., as Subsidiary Guarantors, and U.S. Bank National Association, as Trustee (incorporated by reference to Exhibit 4.13 to the Form 10-Q filed by TEPPCO Partners, L.P. on May 8, 2008).
4.70
Eighth Supplemental Indenture, dated October 27, 2009, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, LLC, TCTM, L.P., TEPPCO Midstream Companies, LLC and Val Verde Gas Gathering Company, L.P., as Subsidiary Guarantors, and U.S. Bank National Association, as Trustee (incorporated by reference to Exhibit 4.1 to the Form 8-K filed by TEPPCO Partners, L.P. on October 28, 2009).
4.71
Full Release of Guarantee, dated November 23, 2009, of TE Products Pipeline Company, LLC, TCTM, L.P., TEPPCO Midstream Companies, LLC and Val Verde Gas Gathering Company, L.P. by U.S. Bank National Association, as Trustee (incorporated by reference to Exhibit 4.64 to Form 10-K filed on March 1, 2010).
4.72
Indenture, dated May 14, 2007, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, Limited Partnership, TCTM, L.P., TEPPCO Midstream Companies, L.P. and Val Verde Gas Gathering Company, L.P., as Subsidiary Guarantors, and The Bank of New York Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 99.1 of the Form 8-K filed by TEPPCO Partners, L.P. on May 15, 2007).
 
 
 
 
4.73
First Supplemental Indenture, dated May 18, 2007, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, Limited Partnership, TCTM, L.P., TEPPCO Midstream Companies, L.P. and Val Verde Gas Gathering Company, L.P., as Subsidiary Guarantors, and The Bank of New York Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.2 to the Form 8-K filed by TEPPCO Partners, L.P. on May 18, 2007).
4.74
Second Supplemental Indenture, dated as of June 30, 2007, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, Limited Partnership, TCTM, L.P., TEPPCO Midstream Companies, L.P. and Val Verde Gas Gathering Company, L.P., as Existing Subsidiary Guarantors, TE Products Pipeline Company, LLC and TEPPCO Midstream Companies, LLC, as New Subsidiary Guarantors, and The Bank of New York Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.2 to the Form 8-K filed by TE Products Pipeline Company, LLC on July 6, 2007).
4.75
Third Supplemental Indenture, dated as of October 27, 2009, by and among TEPPCO Partners, L.P., as Issuer, TE Products Pipeline Company, LLC, TCTM, L.P., TEPPCO Midstream Companies, LLC and Val Verde Gas Gathering Company, L.P., as Subsidiary Guarantors, and The Bank of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.2 to the Form 8-K filed by TEPPCO Partners, L.P. on October 28, 2009).
4.76
Full Release of Guarantee, dated as of November 23, 2009, of TE Products Pipeline Company, LLC, TCTM, L.P., TEPPCO Midstream Companies, LLC and Val Verde Gas Gathering Company, L.P. by The Bank of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.70 to Form 10-K filed on March 1, 2010).
4.77
Registration Rights Agreement by and between Enterprise Products Partners L.P. and Oiltanking Holding Americas, Inc. dated as of October 1, 2014 (incorporated by reference to Exhibit 4.1 to Form 8-K filed on October 1, 2014).
10.1
Equity Distribution Agreement, dated August 10, 2015, by and among Enterprise Products Partners L.P., Enterprise Products OLPGP, Inc., Enterprise Products Operating LLC and Citigroup Global Markets Inc., Merrill Lynch, Pierce, Fenner & Smith Incorporated, Barclays Capital Inc., Credit Suisse Securities (USA) LLC, Deutsche Bank Securities Inc., DNB Markets, Inc., Jefferies LLC, J.P. Morgan Securities LLC, Mitsubishi UFJ Securities (USA), Inc., Mizuho Securities USA Inc., Morgan Stanley & Co. LLC, Raymond James & Associates, Inc., RBC Capital Markets, LLC, Scotia Capital (USA) Inc., SMBC Nikko Securities America, Inc., SunTrust Robinson Humphrey, Inc., UBS Securities LLC, USCA Securities LLC and Wells Fargo Securities, LLC (incorporated by reference to Exhibit 1.1 to Form 8-K filed August 10, 2015).
10.2
First Amendment to 364-Day Revolving Credit Agreement dated as of September 16, 2015, by and among Enterprise Products Operating LLC, Citibank, N.A., as Administrative Agent, the Lenders party thereto, Wells Fargo Bank, National Association, DNB Bank ASA, New York Branch, JPMorgan Chase Bank, N.A., Mizuho Bank, Ltd., and The Bank of Tokyo-Mitsubishi UFJ, Ltd., as Co-Syndication Agents, and Royal Bank of Canada, The Bank of Nova Scotia, SunTrust Bank and UBS Securities LLC, as Co-Documentation Agents, and Citigroup Global Markets Inc., Wells Fargo Securities, LLC, DNB Markets, Inc., J.P. Morgan Securities LLC, Mizuho Bank, Ltd., The Bank of Tokyo-Mitsubishi UFJ, Ltd., RBC Capital Markets, The Bank of Nova Scotia, SunTrust Robinson Humphrey, Inc. and UBS Securities LLC, as Joint Lead Arrangers and Joint Book Runners (incorporated by reference to Exhibit 10.1 to Form 8-K filed September 16, 2015).
10.3
Second Amendment dated as of September 16, 2015 to Revolving Credit Agreement dated as of September 7, 2011, as amended by First Amendment to Revolving Credit Agreement dated as of June 19, 2013, among Enterprise Products Operating LLC, Wells Fargo Bank, National Association, as Administrative Agent, the Lenders and Issuing Banks party thereto, Citibank, N.A., DNB Bank ASA, New York Branch, JPMorgan Chase Bank, N.A., Mizuho Bank, Ltd. and The Bank of Tokyo-Mitsubishi UFJ, Ltd., as Co-Syndication Agents, and Royal Bank of Canada, The Bank of Nova Scotia, SunTrust Bank and UBS Securities LLC, as Co-Documentation Agents, and Wells Fargo Securities, LLC, Citigroup Global Markets Inc., DNB Markets, Inc., J.P. Morgan Securities LLC, Mizuho Bank, Ltd., The Bank of Tokyo-Mitsubishi UFJ, Ltd., RBC Capital Markets, The Bank of Nova Scotia, SunTrust Robinson Humphrey, Inc., and UBS Securities LLC, as Joint Lead Arrangers and Joint Book Runners (incorporated by reference to Exhibit 10.2 to Form 8-K filed September 16, 2015).
 
 
 
 
12.1#
Computation of ratio of earnings to fixed charges for the nine months ended September 30, 2015 and each of the years ended December 31, 2014, 2013, 2012, 2011 and 2010.
31.1#
Sarbanes-Oxley Section 302 certification of Michael A. Creel for Enterprise Products Partners L.P.’s quarterly report on Form 10-Q for the nine months ended September 30, 2015.
31.2#
Sarbanes-Oxley Section 302 certification of W. Randall Fowler for Enterprise Products Partners L.P.’s quarterly report on Form 10-Q for the nine months ended September 30, 2015.
31.3#
Sarbanes-Oxley Section 302 certification of Bryan F. Bulawa for Enterprise Products Partners L.P.’s quarterly report on Form 10-Q for the nine months ended September 30, 2015.
32.1#
Sarbanes-Oxley Section 906 certification of Michael A. Creel for Enterprise Products Partners L.P.’s quarterly report on Form 10-Q for the nine months ended September 30, 2015.
32.2#
Sarbanes-Oxley Section 906 certification of W. Randall Fowler for Enterprise Products Partners L.P.’s quarterly report on Form 10-Q for the nine months ended September 30, 2015.
32.3#
Sarbanes-Oxley Section 906 certification of Bryan F. Bulawa for Enterprise Products Partners L.P.’s quarterly report on Form 10-Q for the nine months ended September 30, 2015.
101.CAL#
XBRL Calculation Linkbase Document
101.DEF#
XBRL Definition Linkbase Document
101.INS#
XBRL Instance Document
101.LAB#
XBRL Labels Linkbase Document
101.PRE#
XBRL Presentation Linkbase Document
101.SCH#
XBRL Schema Document

*
With respect to any exhibits incorporated by reference to any Exchange Act filings, the Commission file numbers for Enterprise Products Partners L.P., Enterprise GP Holdings L.P, TEPPCO Partners, L.P. and TE Products Pipeline Company, LLC are 1-14323, 1-32610, 1-10403 and 1-13603, respectively.
#
Filed with this report.
SIGNATURES
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized on November 6, 2015.

 
ENTERPRISE PRODUCTS PARTNERS L.P.
 
(A Delaware Limited Partnership)
 
 
 
 
By:
Enterprise Products Holdings LLC, as General Partner
 
 
 
 
By:
/s/ Michael J. Knesek
 
Name:
Michael J. Knesek
 
Title:
Senior Vice President, Controller and Principal
Accounting Officer of the General Partner





95
EX-12.1 2 exhibit12_1.htm EXHIBIT 12.1
EXHIBIT 12.1

ENTERPRISE PRODUCTS PARTNERS L.P.
COMPUTATION OF RATIO OF EARNINGS TO FIXED CHARGES
(Dollars in millions)
 
 
For the Nine Months Ended September 30, 2015
   
For the Year Ended December 31,
 
     
2014
   
2013
   
2012
   
2011
   
2010
 
Consolidated income
 
$
1,864.9
   
$
2,833.5
   
$
2,607.1
   
$
2,428.0
   
$
2,088.3
   
$
1,383.7
 
Add:
Provision for (benefit from) taxes
   
4.4
     
23.1
     
57.5
     
(17.2
)
   
27.2
     
26.1
 
Less:
Equity in earnings from unconsolidated affiliates
   
(302.5
)
   
(259.5
)
   
(167.3
)
   
(64.3
)
   
(46.4
)
   
(62.0
)
Consolidated pre-tax income before equity in earnings from unconsolidated affiliates
   
1,566.8
     
2,597.1
     
2,497.3
     
2,346.5
     
2,069.1
     
1,347.8
 
Add:
Fixed charges
   
854.3
     
1,030.3
     
964.7
     
920.3
     
879.5
     
813.4
 
 Amortization of capitalized interest
   
19.6
     
25.1
     
22.8
     
20.3
     
17.5
     
16.8
 
 Distributed income of equity investees
   
362.4
     
375.1
     
251.6
     
116.7
     
156.4
     
191.9
 
Subtotal
   
2,803.1
     
4,027.6
     
3,736.4
     
3,403.8
     
3,122.5
     
2,369.9
 
Less:
Capitalized interest
   
(105.6
)
   
(77.9
)
   
(133.0
)
   
(116.8
)
   
(106.7
)
   
(47.2
)
 Net income attributable to noncontrolling interests
   
(28.5
)
   
(46.1
)
   
(10.2
)
   
(8.1
)
   
(20.5
)
   
(25.5
)
Total earnings
 
$
2,669.0
   
$
3,903.6
   
$
3,593.2
   
$
3,278.9
   
$
2,995.3
   
$
2,297.2
 
Fixed charges:
                                               
 Interest expense
 
$
723.2
   
$
921.0
   
$
802.5
   
$
771.8
   
$
744.1
   
$
741.9
 
 Capitalized interest
   
105.6
     
77.9
     
133.0
     
116.8
     
106.7
     
47.2
 
 Interest portion of rental expense
   
25.5
     
31.4
     
29.2
     
31.7
     
28.7
     
24.3
 
 Total
 
$
854.3
   
$
1,030.3
   
$
964.7
   
$
920.3
   
$
879.5
   
$
813.4
 
Ratio of earnings to fixed charges
   
3.1x
 
   
3.8x
 
   
3.7x
 
   
3.6x
 
   
3.4x
 
   
2.8x
 

These computations take into account our consolidated operations and the distributed income from our equity method investees.  For purposes of these calculations, “earnings” is the amount resulting from adding and subtracting the following items:

Add the following, as applicable:

·
consolidated pre-tax income from continuing operations before adjustment for income or loss from equity investees;
·
fixed charges;
·
amortization of capitalized interest;
·
distributed income of equity investees; and
·
our share of pre-tax losses of equity investees for which charges arising from guarantees are included in fixed charges.

From the subtotal of the added items, subtract the following, as applicable:

·
interest capitalized;
·
preference security dividend requirements of consolidated subsidiaries; and
·
the noncontrolling interests in pre-tax income of subsidiaries that have not incurred fixed charges.

The term “fixed charges” means the sum of the following:  interest expensed and capitalized; amortized premiums, discounts and capitalized expenses related to indebtedness; an estimate of the interest within rental expense; and preference security dividend requirements of consolidated subsidiaries.



EX-31.1 3 exhibit31_1.htm EXHIBIT 31.1
EXHIBIT 31.1

SARBANES-OXLEY SECTION 302 CERTIFICATION

I, Michael A. Creel, certify that:

1.
I have reviewed this quarterly report on Form 10-Q of Enterprise Products Partners L.P;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant’s other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5.
The registrant’s other certifying officers and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.


Date:   November 6, 2015

 
       /s/ Michael A. Creel
 
Name:  
Michael A. Creel
 
Title:  
Chief Executive Officer of Enterprise Products Holdings LLC, the
General Partner of Enterprise Products Partners L.P.

 
EX-31.2 4 exhibit31_2.htm EXHIBIT 31.2
EXHIBIT 31.2

SARBANES-OXLEY SECTION 302 CERTIFICATION

I, W. Randall Fowler, certify that:

1.
I have reviewed this quarterly report on Form 10-Q of Enterprise Products Partners L.P.;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant’s other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5.
The registrant’s other certifying officers and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.


Date:   November 6, 2015
 
 
       /s/ W. Randall Fowler
 
Name:  
W. Randall Fowler
 
Title:  
Chief Administrative Officer of Enterprise Products Holdings LLC,
the General Partner of Enterprise Products Partners L.P.

EX-31.3 5 exhibit31_3.htm EXHIBIT 31.3
EXHIBIT 31.3

SARBANES-OXLEY SECTION 302 CERTIFICATION

I, Bryan F. Bulawa, certify that:

1.
I have reviewed this quarterly report on Form 10-Q of Enterprise Products Partners L.P.;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant’s other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5.
The registrant’s other certifying officers and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.


Date:   November 6, 2015
 
 
       /s/ Bryan F. Bulawa
 
Name:  
Bryan F. Bulawa
 
Title:  
Chief Financial Officer of Enterprise Products Holdings LLC, the
General Partner of Enterprise Products Partners L.P.

EX-32.1 6 exhibit32_1.htm EXHIBIT 32.1
EXHIBIT 32.1

SARBANES-OXLEY SECTION 906 CERTIFICATION

CERTIFICATION OF MICHAEL A. CREEL, CHIEF EXECUTIVE OFFICER
OF ENTERPRISE PRODUCTS HOLDINGS LLC, THE GENERAL PARTNER OF
ENTERPRISE PRODUCTS PARTNERS L.P.

In connection with this quarterly report of Enterprise Products Partners L.P. (the “Registrant”) on Form 10-Q for the quarterly period ended September 30, 2015 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Michael A. Creel, Chief Executive Officer of Enterprise Products Holdings LLC, the General Partner of the Registrant, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

(1)
The Report fully complies with the requirements of Section 13(a) of the Securities Exchange Act of 1934; and

(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

Date:   November 6, 2015

 
       /s/ Michael A. Creel
 
Name:  
Michael A. Creel
 
Title:  
Chief Executive Officer of Enterprise Products Holdings LLC, the
General Partner of Enterprise Products Partners L.P.





EX-32.2 7 exhibit32_2.htm EXHIBIT 32.2
EXHIBIT 32.2

SARBANES-OXLEY SECTION 906 CERTIFICATION

CERTIFICATION OF W. RANDALL FOWLER, CHIEF ADMINISTRATIVE OFFICER
OF ENTERPRISE PRODUCTS HOLDINGS LLC, THE GENERAL PARTNER OF
ENTERPRISE PRODUCTS PARTNERS L.P.

In connection with this quarterly report of Enterprise Products Partners L.P. (the “Registrant”) on Form 10-Q for the quarterly period ended September 30, 2015 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, W. Randall Fowler, Chief Administrative Officer of Enterprise Products Holdings LLC, the General Partner of the Registrant, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

(1)
The Report fully complies with the requirements of Section 13(a) of the Securities Exchange Act of 1934; and

(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

Date:   November 6, 2015

 
       /s/ W. Randall Fowler
 
Name:  
W. Randall Fowler
 
Title:  
Chief Administrative Officer of Enterprise Products Holdings LLC, the
General Partner of Enterprise Products Partners L.P.
 


EX-32.3 8 exhibit32_3.htm EXHIBIT 32.3
EXHIBIT 32.3

SARBANES-OXLEY SECTION 906 CERTIFICATION

CERTIFICATION OF BRYAN F. BULAWA, CHIEF FINANCIAL OFFICER
OF ENTERPRISE PRODUCTS HOLDINGS LLC, THE GENERAL PARTNER OF
ENTERPRISE PRODUCTS PARTNERS L.P.

In connection with this quarterly report of Enterprise Products Partners L.P. (the “Registrant”) on Form 10-Q for the quarterly period ended September 30, 2015 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Bryan F. Bulawa, Chief Financial Officer of Enterprise Products Holdings LLC, the General Partner of the Registrant, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

(1)
The Report fully complies with the requirements of Section 13(a) of the Securities Exchange Act of 1934; and

(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

Date:   November 6, 2015

 
       /s/ Bryan F. Bulawa
 
Name:  
Bryan F. Bulawa
 
Title:  
Chief Financial Officer of Enterprise Products Holdings LLC, the
General Partner of Enterprise Products Partners L.P.
 


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bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: 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color: #000000; text-align: justify; line-height: 11.4pt;"><!--Anchor-->Note 8. Business Acquisition</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Acquisition of Eagle Ford Midstream Assets</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In June 2015, we announced the execution of definitive agreements to purchase all of the member interests in EFS Midstream from affiliates of Pioneer and Reliance for approximately $2.1 billion. The purchase price will be paid in two installments. The first installment of approximately $1.1 billion was paid at closing on July 8, 2015 and the final installment of $1.0 billion will be paid no later than the first anniversary of the closing date. The effective date of the acquisition was July 1, 2015. We funded the cash consideration for the first installment using proceeds from the issuance of short-term notes under our commercial paper program and cash on hand.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">EFS Midstream provides natural gas gathering, treating and compression and condensate gathering and processing services in the Eagle Ford Shale.&#160; The EFS Midstream system includes approximately 460 miles of natural gas and condensate gathering pipelines, ten central gathering plants, 780 million cubic feet per day (&#8220;MMcf/d&#8221;) of natural gas treating capacity and 119 thousand barrels per day (&#8220;MBPD&#8221;) of condensate stabilization capacity.&#160; Under terms of the associated agreements, Pioneer and Reliance have dedicated certain of their Eagle Ford Shale acreage to us under 20-year, fixed-fee gathering agreements that include minimum volume requirement for the first seven years.&#160; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table summarizes the consideration paid in the EFS Midstream acquisition and the amounts of the assets acquired and liabilities assumed as of July 1, 2015:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; line-height: 9.1pt;">Consideration:</div></td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 88%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt; text-indent: 7.85pt;">Cash</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,058.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 88%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt; text-indent: 7.85pt;">Accrued liability related to EFS Midstream acquisition</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">997.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 88%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; 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width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,911.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: 1.2pt;">Net income</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">715.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,900.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,195.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: 1.2pt;">Net income attributable to noncontrolling interests</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">24.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: 1.2pt;">Net income attributable to limited partners</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">707.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,872.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,170.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Basic earnings per unit:</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: 1.2pt;">As reported basic earnings per unit</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; 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line-height: 9.1pt;">0.94</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.16</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.96</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.18</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 64%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: 1.2pt;">As reported diluted earnings per unit</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.37</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.92</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.13</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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text-align: justify; line-height: 11.4pt;">We incurred liabilities for construction in progress that had not been paid at September 30, 2015 and December 31, 2014 of $495.1 million and $372.8 million, respectively.&#160;&#160;Such amounts are not included under the caption &#8220;Capital expenditures&#8221; on the Unaudited Condensed Statements of Consolidated Cash Flows.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">On certain of our capital projects, third parties are obligated to reimburse us for all or a portion of project expenditures.&#160; The majority of such arrangements are associated with projects related to pipeline construction activities and production well tie-ins.&#160; These cash receipts are presented as &#8220;Contributions in aid of construction costs&#8221; within the investing activities section of our Unaudited Condensed Statements of Consolidated Cash Flows.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In addition, we incurred a $1.0 billion payable in connection with our acquisition of EFS Midstream in July 2015 that will be paid no later than the first anniversary of the closing date of the acquisition (see Note 8).</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In February 2011, we experienced an NGL release and fire at the West Storage location of our Mont Belvieu, Texas underground storage facility.&#160;&#160;As a final installment on the property damage claim we filed in connection with this incident, we received $95.0 million of nonrefundable cash insurance proceeds during the first quarter of 2014.&#160; Operating income for the nine months ended September 30, 2014 includes $95.0 million of gains related to these proceeds.&#160; This gain was classified as a reduction in operating costs and expenses for the period.&#160;&#160;</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We do not record a contingent liability when the likelihood of loss is probable but the amount cannot be reasonably estimated or when the likelihood of loss is believed to be only reasonably possible or remote.&#160;&#160;For contingencies where an unfavorable outcome is reasonably possible and the impact would be material to our consolidated financial statements, we disclose the nature of the contingency and, where feasible, an estimate of the possible loss or range of loss.&#160;&#160;Based on a consideration of all relevant known facts and circumstances, we do not believe that the ultimate outcome of any currently pending litigation directed against us will have a material impact on our consolidated financial statements either individually at the claim level or in the aggregate.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">At September 30, 2015 and December 31, 2014, our accruals for litigation contingencies were $4.6 million and $2.4 million, respectively, and were recorded in our Unaudited Condensed Consolidated Balance Sheets as a component of &#8220;Other current liabilities.&#8221;&#160;&#160;Our evaluation of litigation contingencies is based on the facts and circumstances of each case and predicting the outcome of these matters involves uncertainties.&#160;&#160;In the event the assumptions we use to evaluate these matters change in future periods or new information becomes available, we may be required to record additional accruals.&#160;&#160;In an effort to mitigate expenses associated with litigation, we may settle legal proceedings out of court.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;"><font style="font-size: 10pt; 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(&#8220;ETP&#8221;) signed a non-binding letter of intent in April 2011 that disclaimed any partnership or joint venture related to such project absent executed definitive documents and board approvals of the respective companies.&#160;&#160;Definitive agreements were never executed and board approval was never obtained for the potential pipeline project.&#160;&#160;In August 2011, the proposed pipeline project was cancelled due to a lack of customer support.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In September 2011, ETP filed suit against us and a third party in connection with the cancelled project alleging, among other things, that we and ETP had formed a &#8220;partnership.&#8221;&#160;&#160;The case was tried in the District Court of Dallas County, Texas, 298th Judicial District.&#160;&#160;While we firmly believe, and argued during our defense, that no agreement was ever executed forming a legal joint venture or partnership between the parties, the jury found that the actions of the two companies, nevertheless, constituted a legal partnership.&#160;&#160;As a result, the jury found that ETP was wrongfully excluded from a subsequent pipeline project involving a third party, and awarded ETP $319.4 million in actual damages on March 4, 2014.&#160;&#160;On July 29, 2014, the court entered judgment against us in an aggregate amount of $535.8 million, which includes (i) $319.4 million as the amount of actual damages awarded by the jury, (ii) an additional $150.0 million in disgorgement for the alleged benefit we received due to a breach of fiduciary duties by us against ETP and (iii) prejudgment interest in the amount of $66.4 million.&#160;&#160;The court also awarded post-judgment interest on such aggregate amount, to accrue at a rate of 5% per annum, compounded annually.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We do not believe that the verdict or the judgment entered against us is supported by the evidence or the law.&#160; We filed our Brief of the Appellant in the Court of Appeals for the Fifth District of Dallas, Texas on March 30, 2015 and ETP filed its Brief of Appellees on June 29, 2015. 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Under the Liquidity Option Agreement, we granted M&amp;B the option to sell to us 100% of the issued and outstanding capital stock of OTA at any time within a 90-day period commencing on February 1, 2020. 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text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">15.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">124.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">29,881.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; 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text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; 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line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,206.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,206.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">571.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(14.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,853.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">585.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">6,307.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(653.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">909.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; 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width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">12,330.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Operating costs and expenses</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7,950.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7,853.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(4,389.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">11,414.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">11,414.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">General and administrative costs</div></td><td valign="bottom" style="vertical-align: bottom; 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width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">40.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">48.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Total other expense, net</div></td><td valign="bottom" style="vertical-align: bottom; 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background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(9.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; 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width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(679.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Other, net</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(679.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(679.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Income before income taxes</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,142.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,280.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(2,245.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,176.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,127.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(2,129.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,174.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Provision for income taxes</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(5.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(21.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(22.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,274.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(2,245.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr style="height: 14px;"><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Borrowings under debt agreements</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">37.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Net cash proceeds from issuance of common units</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,011.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,011.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; 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color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">304.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table presents our consolidated debt obligations (arranged by company and maturity date) at the dates indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">September 30,</div><div style="font-size: 8pt; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">906.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Senior Notes I, 5.00% fixed-rate, due March 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">650.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Senior Notes AA, 3.20% fixed-rate, due February 2016</div></td><td valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Senior Notes L, 6.30% fixed-rate, due September 2017</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; 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color: #000000; line-height: 9.1pt;">800.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">800.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Senior Notes Q, 5.25% fixed-rate, due January 2020</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">869.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">869.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">800.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">Parent-Subsidiary Guarantor Relationships</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Enterprise Products Partners L.P. acts as guarantor of the consolidated debt obligations of EPO, with the exception of the remaining immaterial debt obligations of TEPPCO.&#160;&#160;If EPO were to default on any of its guaranteed debt, Enterprise Products Partners L.P. would be responsible for full and unconditional repayment of that obligation.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Issuance of $2.5 Billion of Senior Notes in May 2015</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In May 2015, EPO issued $750 million in principal amount of 1.65% senior notes due May 2018 (&#8220;Senior Notes OO&#8221;), $875 million in principal amount of 3.70% senior notes due February 2026 (&#8220;Senior Notes PP&#8221;) and $875 million in principal amount of 4.90% senior notes due May 2046 (&#8220;Senior Notes QQ&#8221;).&#160;&#160;Senior Notes OO, PP and QQ were issued at 99.881%, 99.635% and 99.635% of their principal amounts, respectively.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Net proceeds from the issuance of these senior notes were used as follows: (i) the repayment of amounts outstanding under EPO&#8217;s commercial paper program, which included amounts we used to repay $250 million in principal amount of Senior Notes I that matured in March 2015, (ii) the repayment of amounts outstanding at the maturity of our $400 million in principal amount of Senior Notes X that matured in June 2015 and (iii) for general company purposes.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Enterprise Products Partners L.P. has unconditionally guaranteed these senior notes on an unsecured and unsubordinated basis.&#160;&#160;These senior notes rank equal with EPO&#8217;s existing and future unsecured and unsubordinated indebtedness and are senior to any existing and future subordinated indebtedness of EPO.&#160;&#160;These senior notes are subject to make-whole redemption rights and were issued under an indenture containing certain covenants, which generally restrict EPO&#8217;s ability (with certain exceptions) to incur debt secured by liens and engage in sale and leaseback transactions.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Partial Retirement of Junior Subordinated Notes During Third Quarter of 2015</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">During the third quarter of 2015, EPO retired $28.1 million of its Junior Subordinated Notes A and $26.3 million of its Junior Subordinated Notes C with cash from operations.&#160; A $1.4 million gain on the extinguishment of these debt obligations is included in &#8220;Other, net&#8221; on our Unaudited Condensed Statements of Consolidated Operations.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">364-Day Credit Agreement</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In September 2015, EPO amended its 364-Day Credit Agreement to extend its maturity date to September 2016.&#160; There are currently no principal amounts outstanding under this revolving credit agreement.&#160; Under the terms of the 364-Day Credit Agreement, EPO may borrow up to $1.5 billion (which may be increased by up to $200 million to $1.7 billion at EPO&#8217;s election, provided certain conditions are met) at a variable interest rate for a term of 364 days, subject to the terms and conditions set forth therein.&#160; To the extent that principal amounts are outstanding at the maturity date, EPO may elect to have the entire principal balance then outstanding continued as a non-revolving term loan for a period of one additional year, payable in September 2017. The remaining terms of the 364-Day Credit Agreement, as amended, remain materially the same as those reported for the 364-Day Credit Agreement in our 2014 Form 10-K.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Multi-Year Revolving Credit Facility</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In September 2015, EPO amended its Multi-Year Revolving Credit Facility to increase its borrowing capacity from $3.5 billion to $4.0 billion and extend its maturity date from June 2018 to September 2020.&#160; The amended agreement also provides that EPO may increase its borrowing capacity to $4.5 billion by allowing existing lenders under the facility to increase their respective commitments or by adding one or more new lenders to the facility. The remaining terms of the Multi-Year Revolving Credit Facility, as amended, remain materially the same as those reported for the Multi-Year Revolving Credit Facility in our 2014 Form 10-K.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">Letters of Credit</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">At September 30, 2015, EPO had $2.5 million of letters of credit outstanding related to operations at our facilities and motor fuel tax obligations.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">Lender Financial Covenants</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We were in compliance with the financial covenants of our consolidated debt agreements at September 30, 2015.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">Information Regarding Variable Interest Rates Paid</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table presents the range of interest rates and weighted-average interest rates paid on our consolidated variable-rate debt during the nine months ended September 30, 2015:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; border-collapse: collapse; width: 100%;"><tr><td style="vertical-align: bottom; width: 60.53%;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td style="vertical-align: bottom; border-bottom: #000000 2px solid; width: 17.91%;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Range of</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Interest Rates</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Paid</div></td><td style="vertical-align: bottom; border-bottom: #000000 2px solid; width: 21.57%;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Weighted-Average</div><div style="font-size: 8pt; 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font-size: 10pt;"><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; line-height: 11.4pt;"><!--Anchor-->Note 4.&#160;&#160;Derivative Instruments, Hedging Activities and Fair Value Measurements</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In the normal course of our business operations, we are exposed to certain risks, including changes in interest rates and commodity prices.&#160;&#160;In order to manage risks associated with assets, liabilities and certain anticipated future transactions, we use derivative instruments such as futures, forward contracts, swaps, options and other instruments with similar characteristics.&#160;&#160;Substantially all of our derivatives are used for non-trading activities.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; 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font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted purchases of NGLs (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.1</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; 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color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Natural gas storage inventory management activities (Bcf)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">10.2</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Fair value hedge</div></td></tr><tr><td style="vertical-align: bottom; 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width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted purchases of refined products (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.4</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted sales of refined products (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.7</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Refined products inventory management activities (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.2</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Fair value hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Crude oil marketing:</div></td><td style="vertical-align: bottom; 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margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Natural gas risk management activities (Bcf) (4,5)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">65.9</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">9.6</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Mark-to-market</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">NGL risk management activities (MMBbls) (5)</div></td><td style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">5.8</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.4</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Mark-to-market</div></td></tr><tr><td colspan="4" style="vertical-align: bottom; border-bottom: #000000 2px solid; width: 100%; background-color: #ffffff;">&#160;</td></tr><tr><td colspan="4" style="border-top: #000000 2px solid; vertical-align: bottom; width: 100%;"><div style="text-align: justify; margin-left: 18.4pt; line-height: 9.1pt; text-indent: -18pt;"><font style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000;">(1)</font><font style="font-size: 6pt;">&#160;&#160;&#160;&#160;</font><font style="font-size: 8pt; 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font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td style="vertical-align: top; width: 18pt; align: right;"><div style="font-size: 10pt; font-family: Wingdings; color: #000000; text-align: left; line-height: 11.4pt;">&#167;</div></td><td style="vertical-align: top; width: auto;"><div style="font-size: 10pt; font-family: 'Times New Roman', serif; color: #000000; text-align: justify; line-height: 11.4pt;">The objective of our anticipated future commodity purchases and sales hedging program is to hedge the margins of certain transportation, storage, blending and operational activities by locking in purchase and sale prices through the use of forward contracts and derivative instruments.</div></td></tr></table></div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div><table cellpadding="0" cellspacing="0" class="DSPFListTable" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td style="vertical-align: top; width: 18pt; 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padding-bottom: 4px; width: 10%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1.28%; background-color: #cceeff;">&#160;</td><td style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">186.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 10.34%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 10%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; width: 1.28%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">17.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 10%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Current assets</div></td><td valign="bottom" style="vertical-align: bottom; width: 1.39%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">8.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">5.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(9.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">4.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Total</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">9.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(4.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">9.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Three Months</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Ended September 30,</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Nine Months</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; 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text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(5.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(5.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">9.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 26%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Commodity derivatives</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 26%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">Revenue</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(2.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; 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text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(14.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Commodity derivatives</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 4.15pt; line-height: 9.1pt; text-indent: -4.15pt;">Operating costs and expenses</div></td><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">101.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Three Months</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Ended September 30,</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2015</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2014</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Commodity derivatives</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table presents the effect of our derivative instruments not designated as hedging instruments on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Derivatives Not Designated</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">as Hedging Instruments</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; 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font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Commodity derivatives</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">37.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">139.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; 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padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Number of</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Units</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; 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font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Distribution Per</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Common Unit</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td valign="bottom" style="vertical-align: bottom;">&#160;&#160;&#160;&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 29.33%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">1st Quarter</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.3550</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.3600</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 29.33%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">7/31/2014</div></td><td valign="bottom" style="vertical-align: bottom; width: 29.33%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">8/7/2014</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 29.33%; background-color: #cceeff;"><div style="font-size: 8pt; 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text-indent: -9pt;">2nd Quarter</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.3800</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 29.33%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">7/31/2015</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table presents our investments in unconsolidated affiliates by business segment at the dates indicated.&#160;&#160;We account for these investments using the equity method.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 64%;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 8.65pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; width: 10.34%;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; 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color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;&#160;&#160;</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Financial</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Assets</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">277.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(178.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 28%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Customer relationship intangibles</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Unless the context requires otherwise, references to &#8220;we,&#8221; &#8220;us,&#8221; &#8220;our,&#8221; &#8220;Enterprise&#8221; or &#8220;Enterprise Products Partners&#8221; are intended to mean the business and operations of Enterprise Products Partners L.P. and its consolidated subsidiaries.&#160;&#160;References to &#8220;EPO&#8221; mean Enterprise Products Operating LLC, which is a wholly owned subsidiary of Enterprise, and its consolidated subsidiaries, through which Enterprise Products Partners L.P. conducts its business.&#160;&#160;Enterprise is managed by its general partner, Enterprise Products Holdings LLC (&#8220;Enterprise GP&#8221;), which is a wholly owned subsidiary of Dan Duncan LLC, a privately held Texas limited liability company.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; 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text-align: left; background-color: #ffffff;">&#160;</td></tr></table><div style="clear: both; line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div></div> P10Y P40Y P20Y P5Y P10Y P5Y P20Y P40Y P20Y P10Y P31Y P35Y P5Y P5Y P20Y P3Y P35Y P45Y P35Y P3Y P5Y P40Y P30Y P35Y P3Y P45Y P35Y P15Y 29881600000 31214100000 3777200000 1145100000 3013500000 8680600000 0 12192800000 3047200000 11766900000 8835500000 2332200000 2754700000 3550000000 0 29881600000 2871700000 0 26912000000 3432300000 27780400000 1400000 0 31214100000 97900000 0 31686300000 3777200000 796400000 2754700000 154200000 787500000 261300000 30834900000 0 38046700000 262600000 2847700000 659700000 39524800000 2584200000 164800000 <div style="font-family: 'Times New Roman', Times, serif; font-size: 10pt;"><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; line-height: 11.4pt;"><!--Anchor-->Note 6.&#160;&#160;Property, Plant and Equipment</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The historical costs of our property, plant and equipment and related accumulated depreciation balances were as follows at the dates indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Estimated</div><div style="font-size: 8pt; 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Our Offshore Business served drilling and development regions, including deepwater production fields, in the northern Gulf of Mexico offshore Texas, Louisiana, Mississippi and Alabama. As of December 31, 2014, our Offshore Business included approximately 2,350 miles of offshore natural gas and crude oil pipelines and six offshore hub platforms. Our results of operations reflect ownership of the Offshore Business through July 24, 2015.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We viewed our Offshore Business as an extension of our midstream energy services network. As such, the sale of these assets did not represent a strategic shift in our consolidated operations, and their sale does not have a major effect on our financial results. 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color: #000000; line-height: 9.1pt;">(101.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">36.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr></table><div style="clear: both; line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div></div> <div style="font-family: 'Times New Roman', Times, serif; font-size: 10pt;"><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; line-height: 11.4pt;"><!--Anchor-->Note 13.&#160;&#160;Related Party Transactions</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table summarizes our related party transactions for the periods indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">September 30,</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2015</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">December 31,</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2014</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Accounts receivable - related parties:</div></td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 76%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Unconsolidated affiliates</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">20.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Total</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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line-height: 11.4pt;">Relationship with EPCO and its Privately Held Affiliates</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We have an extensive and ongoing relationship with EPCO and its privately held affiliates (including Enterprise GP, our general partner), which are not a part of our consolidated group of companies.&#160;&#160;</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">At September 30, 2015, EPCO and its privately held affiliates (including Dan Duncan LLC and certain Duncan family trusts) beneficially owned the following limited partner interests in us:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" border="0" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We and Enterprise GP are both separate legal entities apart from each other and apart from EPCO and its other affiliates, with assets and liabilities that are also separate from those of EPCO and its other affiliates.&#160;&#160;EPCO and its privately held affiliates depend on the cash distributions they receive from us and other investments to fund their other activities and to meet their debt obligations.&#160;&#160;During the nine months ended September 30, 2015 and 2014, we paid EPCO and its privately held affiliates cash distributions totaling $705.9 million and $652.8 million, respectively.&#160; Distributions paid during the nine months ended September 30, 2015 excluded 35,380,000 Designated Units (see Note 11).&#160; Likewise, distributions paid during the nine months ended September 30, 2014 excluded 45,120,000 Designated Units.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">From time-to-time, EPCO and its privately held affiliates elect to reinvest a portion of the cash distributions they receive from us into the purchase of additional common units under our DRIP. 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color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Quoted Prices</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">in Active</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">220.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">367.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr></table><div style="clear: both; line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div></div> <div style="font-size: 10pt; font-family: 'Times New Roman', Times, serif;"><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table summarizes our related party transactions for the periods indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Three Months</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Ended September 30,</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Nine Months</div><div style="font-size: 8pt; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(241.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; 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text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">663.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Provision for income taxes</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(5.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(692.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">937.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Interest expense</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; 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text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(229.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; 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padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(8.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,849.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(679.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Other, net</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(679.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(679.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Income before income taxes</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(2,245.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,176.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,127.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(2,129.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,174.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(5.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; 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background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(22.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Net income</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 88%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt; text-indent: 7.85pt;">Current assets, including cash of $13.4 million</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; 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text-indent: -9pt;">Unit option awards at December 31, 2014</div></td><td valign="bottom" style="vertical-align: bottom; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,270,000</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; background-color: #cceeff;"><div style="font-size: 8pt; 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font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Number of</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Units</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; 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font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Restricted common units at December 31, 2014</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">4,229,790</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1,997,194</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">25.99</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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font-size: 10pt;"><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 10.25pt;">The following table presents the net effect of changes in our operating accounts for the periods indicated:</div><div style="line-height: 10.25pt;"><br style="line-height: 10.25pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Nine Months</div><div style="font-size: 8pt; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(435.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr></table><div style="clear: both; line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div></div> <div style="font-family: 'Times New Roman', Times, serif; font-size: 10pt;"><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following table presents contractually scheduled maturities of our consolidated debt obligations outstanding at September 30, 2015 for the next five years, and in total thereafter:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; 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color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,802.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">123.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">780.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(901.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Inventories</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,085.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,085.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">102.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">241.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Equity:</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">39,986.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(39,954.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">20,373.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">20,162.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(28.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">29,881.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">4,300.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Other assets</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">184.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">37,940.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; 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padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(18,290.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,206.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; 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width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">571.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(14.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1,280.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">118.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(1,609.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7,873.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">19,157.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(0.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">191.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Partners&#8217; and other owners&#8217; equity</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">22,263.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">33,820.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(37,820.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">18,263.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(18,263.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">18,063.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Noncontrolling interests</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(27.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,629.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(36,232.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">19,919.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">18,063.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">37.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Net cash proceeds from issuance of common units</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,011.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-size: 10pt;"><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following tables present the components of accumulated other comprehensive income (loss) as reported on our Unaudited Condensed Consolidated Balance Sheets at the dates indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; 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color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Commodity</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Derivative</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Instruments</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Interest Rate</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Derivative</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Instruments</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Other</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Total</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Balance, December 31, 2014</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">69.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(314.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">26.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">10.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Balance, September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(288.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; 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line-height: 9.1pt;">Income on Derivative</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Three Months</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Ended September 30,</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="6" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">For the Nine Months</div><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">Ended September 30,</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(26.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; 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padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2015</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; 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padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">BASIC EARNINGS PER UNIT</div></td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;"></div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Net income attributable to limited partners</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">691.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,836.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,127.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 52%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Undistributed earnings allocated and cash payments on phantom unit awards (1)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,829.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Total</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; 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color: #000000; line-height: 9.1pt;">250.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">250.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Senior Notes W, 7.55% fixed-rate, due April 2038</div></td><td valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; 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font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Total principal amount of senior debt obligations</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">21,019.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">285.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;"><font style="font-weight: bold;">EPO Junior Subordinated Notes B, fixed/variable-rate, due January 2068</font> (3)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">682.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">682.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; font-weight: bold; padding-bottom: 2px; width: 76%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">TEPPCO Junior Subordinated Notes, fixed/variable-rate, due June 2067<font style="font-size: 8pt; font-family: 'Times New Roman';">&#160;</font></div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">14.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">14.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Total principal amount of senior and junior debt obligations</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(25.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 76%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Less current maturities of debt (4)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-indent: -9pt;">Forecasted natural gas purchases for plant thermal reduction (Bcf)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">4.9</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted sales of NGLs (MMBbls) (3)</div></td><td style="vertical-align: bottom; 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background-color: #cceeff;">&#160;</td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;">&#160;</td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted purchases of NGLs (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.1</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted sales of octane enhancement products (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.5</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Natural gas marketing:</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;">&#160;</td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;">&#160;</td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;">&#160;</td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted purchases of natural gas for fuel (Bcf)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">6.4</div></td><td style="vertical-align: bottom; 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color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Natural gas storage inventory management activities (Bcf)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">10.2</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; 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width: 16.84%; background-color: #cceeff;">&#160;</td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;">&#160;</td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted purchases of refined products (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.4</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted sales of refined products (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.7</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Cash flow hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Refined products inventory management activities (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.2</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Fair value hedge</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Crude oil marketing:</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;">&#160;</td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;">&#160;</td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Forecasted purchases of crude oil (MMBbls)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; 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width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Natural gas risk management activities (Bcf) (4,5)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">65.9</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">9.6</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Mark-to-market</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">NGL risk management activities (MMBbls) (5)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">14.9</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">n/a</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Mark-to-market</div></td></tr><tr><td style="vertical-align: bottom; width: 50.32%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Crude oil risk management activities (MMBbls) (5)</div></td><td style="vertical-align: bottom; width: 14.99%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">5.8</div></td><td style="vertical-align: bottom; width: 16.84%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">0.4</div></td><td style="vertical-align: bottom; width: 17.85%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: center; line-height: 9.1pt;">Mark-to-market</div></td></tr><tr><td colspan="4" style="vertical-align: bottom; border-bottom: #000000 2px solid; width: 100%; background-color: #ffffff;">&#160;</td></tr><tr><td colspan="4" style="border-top: #000000 2px solid; vertical-align: bottom; width: 100%;"><div style="text-align: justify; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Total revenues:</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">43.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(6,817.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">12,192.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,550.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">8,680.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,013.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,777.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">31,214.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,047.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,145.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">75.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,767.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">23.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">460.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,402.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">4,082.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At December 31, 2014</div></td><td valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">374.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">41.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">4,302.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">296.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">958.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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padding-bottom: 4px; width: 10%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">17.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2015</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="2" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">2014</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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line-height: 9.1pt;">(1.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Total</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 26%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 4px double; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 4px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr></table><div style="clear: both; line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div></div> <div style="font-family: 'Times New Roman', Times, serif; font-size: 10pt;"><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: left; line-height: 11.4pt;"><!--Anchor-->Note 12.&#160;&#160;Business Segments</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Our historical operations are reported under five business segments: (i) NGL Pipelines &amp; Services, (ii) Crude Oil Pipelines &amp; Services, (iii) Natural Gas Pipelines &amp; Services, (iv) Petrochemical &amp; Refined Products Services and (v) Offshore Pipelines &amp; Services. 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text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,341.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,335.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,978.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; 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text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">12,192.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,550.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">8,680.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,013.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,777.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">31,214.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At December 31, 2014</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,145.1</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;"><div style="font-size: 8pt; 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text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 23%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">At September 30, 2015</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 8%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; margin-left: 18pt; 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text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">531.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Total</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; 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text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Cost of sales</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">$</div></td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">These Unaudited Condensed Consolidated Financial Statements and Notes thereto should be read in conjunction with the Audited Consolidated Financial Statements and Notes thereto included in our annual report on Form 10-K for the year ended December 31, 2014 (the &#8220;2014 Form 10-K&#8221;) filed with the SEC on March 2, 2015.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">Contingencies</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Certain conditions may exist as of the date our consolidated financial statements are issued, which may result in a loss to us but which will only be resolved when one or more future events occur or fail to occur.&#160;&#160;Management has regular quarterly litigation reviews, including updates from legal counsel, to assess the need for accounting recognition or disclosure of these contingencies, and such assessment inherently involves an exercise in judgment.&#160;&#160;In assessing loss contingencies related to legal proceedings that are pending against us or unasserted claims that may result in such proceedings, our management and legal counsel evaluate the perceived merits of any legal proceedings or unasserted claims as well as the perceived merits of the amount of relief sought or expected to be sought therein.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">For certain physical forward commodity derivative contracts, we apply the normal purchase/normal sale exception, whereby changes in the mark-to-market values of such contracts are not recognized in income.&#160;&#160;As a result, the revenues and expenses associated with such physical transactions are recognized during the period when volumes are physically delivered or received.&#160;&#160;Physical forward commodity contracts subject to this exception are evaluated for the probability of future delivery and are periodically back-tested once the forecasted period has passed to determine whether similar forward contracts are probable of physical delivery in the future.&#160;&#160;See Note 4 for additional information regarding our derivative instruments.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; 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font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Income Taxes</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Provision for income taxes primarily reflects our state tax obligations under the Revised Texas Franchise Tax (the &#8220;Texas Margin Tax&#8221;).</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Restricted Cash</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Restricted cash represents amounts held in segregated bank accounts by our clearing brokers as margin in support of our commodity derivative instruments portfolio and related physical purchases and sales of natural gas, NGLs, crude oil and refined products.&#160;&#160;Additional cash may be restricted to maintain our commodity derivative instruments portfolio as prices fluctuate or deposit requirements change.&#160;&#160;At September 30, 2015, our restricted cash amounts were $46.2 million.&#160;&#160;We did not have any restricted cash as of December 31, 2014.&#160; 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font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We may issue additional equity or debt securities to assist us in meeting our future liquidity and capital spending requirements. We have a universal shelf registration statement (the &#8220;2013 Shelf&#8221;) on file with the SEC. The 2013 Shelf allows Enterprise Products Partners L.P. and EPO (on a standalone basis) to issue an unlimited amount of equity and debt securities.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">On July 1, 2015, we filed a registration statement with the SEC covering the issuance of up to $1.92 billion of our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of such offerings.&#160; Pursuant to this &#8220;at-the-market&#8221; program (&#8220;ATM program&#8221;), we may sell common units under an equity distribution agreement between Enterprise Products Partners L.P. and certain broker-dealers from time-to-time by means of ordinary brokers&#8217; transactions through the NYSE at market prices, in block transactions or as otherwise agreed to with the broker-dealer parties to the agreement.&#160;&#160;The new registration statement was declared effective on August 3, 2015 and replaced our prior registration statement with respect to the ATM program, which was filed with the SEC in October 2013 and covered the issuance of up to $1.25 billion of our common units.&#160; Immediately prior to the effectiveness of the new registration statement, we had the capacity to issue additional common units under the ATM program up to an aggregate sales price of $424.6 million (after giving effect to sales of common units previously made under the program).&#160; Following the effectiveness of the new registration statement and after taking into account the aggregate sales price of common units sold under our ATM program through September 30, 2015 as described below, we now have the capacity to issue additional common units under our ATM program up to an aggregate sales price of $1.92 billion.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">During the nine months ended September 30, 2015, we issued 23,258,453 common units under the ATM program for aggregate gross proceeds of $767.1 million.&#160; This includes 3,225,057 common units sold in March 2015 to a privately held affiliate of EPCO, which generated gross proceeds of $100 million.&#160; After taking into account applicable costs, our transactions under the ATM program resulted in aggregate net cash proceeds of $759.7 million during the nine months ended September 30, 2015.&#160; During the nine months ended September 30, 2014, we issued 1,590,334 common units under this program for aggregate gross cash proceeds of $58.3 million, resulting in total net cash proceeds of $57.7 million.&#160;&#160;</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">We also have registration statements on file with the SEC collectively authorizing the issuance of up to 140,000,000 of our common units in connection with a distribution reinvestment plan (&#8220;DRIP&#8221;).&#160;&#160;We issued a total of 7,965,318 common units under our DRIP during the nine months ended September 30, 2015, which generated net cash proceeds of $242.8 million.&#160;&#160;During the nine months ended September 30, 2014, we issued 7,148,778 common units under our DRIP, which generated net cash proceeds of $239.8 million.&#160; Privately held affiliates of EPCO reinvested $50 million and $75 million through the DRIP in each of the nine month periods ending September 30, 2015 and 2014, respectively (this amount being a component of the net cash proceeds presented for both periods).&#160; After taking into account the number of common units issued under the DRIP through September 30, 2015, we have the capacity to issue an additional 19,516,031 common units under this plan.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In addition to the DRIP, we have registration statements on file with the SEC authorizing the issuance of up to 8,000,000 of our common units in connection with our employee unit purchase plan (&#8220;EUPP&#8221;).&#160;&#160;We issued 285,997 common units under our EUPP during the nine months ended September 30, 2015, which generated net cash proceeds of $8.9 million.&#160;&#160;During the nine months ended September 30, 2014, we issued 207,126 common units under our EUPP, which generated net cash proceeds of $7.4 million.&#160;&#160;After taking into account the number of common units issued under the EUPP through September 30, 2015, we may issue an additional 6,867,071 common units under this plan.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The net cash proceeds we received from the issuance of common units during the nine months ended September 30, 2015 were used to temporarily reduce amounts outstanding under EPO&#8217;s commercial paper program and revolving credit facilities and for general company purposes.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: justify; line-height: 11.4pt;">Completion of Oiltanking Acquisition</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In October 2014, we completed the first step (&#8220;Step 1&#8221;) of a two-step acquisition of Oiltanking by paying approximately $4.41 billion to OTA for Oiltanking GP, the related IDRs and approximately 65.9% of the limited partner interests of Oiltanking. As a second step (&#8220;Step 2&#8221;) of the Oiltanking acquisition (separately negotiated by the conflicts committee of Oiltanking GP on behalf of Oiltanking), we entered into an Agreement and Plan of Merger (the &#8220;merger agreement&#8221;) with Oiltanking in November 2014 that provided for the following:</div><div style="line-height: 11.4pt;"><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div><table cellpadding="0" cellspacing="0" class="DSPFListTable" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td style="vertical-align: top; width: 18pt; align: right;"><div style="font-size: 10pt; font-family: Wingdings; color: #000000; text-align: left; line-height: 11.4pt;">&#167;</div></td><td style="vertical-align: top; width: auto;"><div style="font-size: 10pt; font-family: 'Times New Roman', serif; color: #000000; text-align: justify; line-height: 11.4pt;">the merger of a wholly owned subsidiary of Enterprise with and into Oiltanking, with Oiltanking surviving the merger as a wholly owned subsidiary of Enterprise; and</div></td></tr></table></div></div><div style="line-height: 11.4pt;"><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div><table cellpadding="0" cellspacing="0" class="DSPFListTable" style="font-size: 10pt; font-family: 'Times New Roman', Times, serif; width: 100%;"><tr><td style="vertical-align: top; width: 18pt; align: right;"><div style="font-size: 10pt; font-family: Wingdings; color: #000000; text-align: left; line-height: 11.4pt;">&#167;</div></td><td style="vertical-align: top; width: auto;"><div style="font-size: 10pt; font-family: 'Times New Roman', serif; color: #000000; text-align: justify; line-height: 11.4pt;">all outstanding common units of Oiltanking at the effective time of the merger held by Oiltanking&#8217;s public unitholders (which consisted of Oiltanking unitholders other than Enterprise and its subsidiaries) to be cancelled and converted into Enterprise common units based on an exchange ratio of 1.30 Enterprise common units for each Oiltanking common unit.</div></td></tr></table></div><div style="line-height: 11.4pt;">&#160;</div></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In accordance with the merger agreement and Oiltanking&#8217;s partnership agreement, the merger was submitted to a vote of Oiltanking&#8217;s common unitholders, with the required majority of unitholders (including our ownership interests) voting to approve the merger on February 13, 2015.&#160; Upon approval of the merger, a total of 36,827,517 of our common units were issued to Oiltanking&#8217;s former public unitholders.&#160; With the completion of Step 2, total consideration paid by Enterprise for Oiltanking was approximately $5.9 billion.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">Step 2 of the acquisition was accounted for in accordance with ASC Topic 810, <font style="font-size: 10pt; font-family: 'Times New Roman'; font-style: italic;">Consolidations &#8211; Overall &#8211; Changes in Parent&#8217;s Ownership Interest in a Subsidiary</font>. Since we had a controlling financial interest in Oiltanking before and after completion of Step 2, the increase in our ownership interest in Oiltanking was accounted for as an equity transaction with no gain or loss recognized. 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Cash distributions paid in the first quarter of 2015 to the limited partners of Oiltanking other than EPO and its subsidiaries are presented as amounts paid to noncontrolling interests.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">In February 2015, we formed a joint venture involving our Panola NGL Pipeline with affiliates of Anadarko Petroleum Corporation (&#8220;Anadarko&#8221;), DCP Midstream Partners, LP (&#8220;DCP&#8221;) and MarkWest Energy Partners, L.P. (&#8220;MarkWest&#8221;).&#160; We will continue to serve as operator of the Panola Pipeline and own 55% of the member interests in the joint venture.&#160; Affiliates of Anadarko, DCP and MarkWest will own the remaining 45% member interests, with each holding a 15% interest.&#160; The Panola Pipeline transports mixed NGLs from points near Carthage, Texas to Mont Belvieu, Texas and supports the Haynesville and Cotton Valley oil and gas production areas.</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><div style="font-size: 10pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; font-style: italic; text-align: left; line-height: 11.4pt;">Accumulated Other Comprehensive Income (Loss)</div><div style="font-size: 10pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; line-height: 11.4pt;">The following tables present the components of accumulated other comprehensive income (loss) as reported on our Unaudited Condensed Consolidated Balance Sheets at the dates indicated:</div><div style="line-height: 11.4pt;"><br style="line-height: 11.4pt;" /></div><table align="center" cellpadding="0" cellspacing="0" style="font-size: 10pt; 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background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">1,792.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3,347.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">4,869.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: justify; margin-left: 9pt; line-height: 9.1pt; text-indent: -9pt;">Offshore Pipelines &amp; Services:</div></td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;">&#160;</td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Sales of natural gas</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Sales of crude oil</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">0.4</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; 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font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">3.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">7.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 52%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: justify; 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text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(936.5</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td></tr><tr><td valign="bottom" style="vertical-align: bottom; width: 52%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; text-indent: -9pt;">Subtract impairment charges not reflected in gross operating margin</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(26.8</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(5.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; 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text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(12.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2.6</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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color: #000000; line-height: 9.1pt;">45.3</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">--</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 52%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 18pt; line-height: 9.1pt; 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border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(50.0</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(143.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(150.9</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; 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width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">937.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,605.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; text-align: right; width: 9%; background-color: #cceeff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">2,854.7</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; text-align: left; width: 1%; background-color: #cceeff;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 52%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; text-align: left; margin-left: 27pt; line-height: 9.1pt; text-indent: -9pt;">Other expense, net</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: right; width: 9%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">(246.2</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left; width: 1%; background-color: #ffffff;"><div style="font-size: 8pt; font-family: 'Times New Roman'; color: #000000; line-height: 9.1pt;">)</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid; text-align: left; width: 1%; background-color: #ffffff;">&#160;</td><td valign="bottom" style="vertical-align: bottom; 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text-align: left; line-height: 9.1pt;">&#160;</div></td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="10" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">September 30, 2015</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td><td valign="bottom" style="vertical-align: bottom; padding-bottom: 2px;">&#160;</td><td colspan="10" valign="bottom" style="vertical-align: bottom; border-bottom: #000000 2px solid;"><div style="font-size: 8pt; font-family: 'Times New Roman'; font-weight: bold; color: #000000; text-align: center; line-height: 9.1pt;">December 31, 2014</div></td><td nowrap="nowrap" valign="bottom" style="vertical-align: bottom; padding-bottom: 2px; text-align: left;">&#160;</td></tr><tr><td valign="bottom" style="vertical-align: bottom; 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Fluctuations in these amounts are primarily due to changes in energy commodity prices and sales volumes associated with our marketing activities. Fixed rate of 7.034% through January 15, 2018 (i.e., first call date without a make-whole redemption premium); thereafter, the rate will be the greater of 7.034% or a variable rate based on 3-month LIBOR plus 2.68%. Fixed rate of 7.0% through September 1, 2017 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 2.7775%. During the third quarter of 2015, EPO retired $26.3 million of these junior notes. Fixed rate of 8.375% through August 1, 2016 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 3.7075%. During the third quarter of 2015, EPO retired $28.1 million of these junior notes. Depreciation expense is a component of "Costs and expenses" as presented on our Unaudited Condensed Statements of Consolidated Operations. The fair value of these derivative instruments will be reclassified to their respective locations on the Unaudited Condensed Statement of Consolidated Operations upon settlement of the underlying derivative transactions, as appropriate. Primarily represents the impairment charge recorded in second quarter of 2015 upon reclassification of our Offshore Business to held for sale status. Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015. There were $1.1 million of unrealized losses included in these amounts for the nine months ended September 30, 2015. There were unrealized gains of $0.8 million and $1.3 million included in these amounts for the three and nine months ended September 30, 2014, respectively. At December 31, 2014, we had indefinite-lived intangible assets outstanding with a carrying value of $1.46 billion recorded in connection with our acquisition of the Oiltanking IDRs in October 2014. The IDRs represented contractual rights to future cash incentive distributions to be paid by Oiltanking. In February 2015 (following completion of Step 2 of the Oiltanking acquisition), the Oiltanking IDRs were cancelled and the carrying value of the IDRs were reclassified to goodwill. Our intangible assets classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015 (see Note 6). Each phantom unit award includes a DER, which entitles the recipient to receive cash payments equal to the product of the number of phantom unit awards and the cash distribution per unit paid to our common unitholders. Cash payments made in connection with DERs are nonforfeitable. As a result, the phantom units are considered participating securities for purposes of computing basic earnings per unit. Phantom unit awards were first issued in February 2014. We capitalize interest costs incurred on funds used to construct property, plant and equipment while the asset is in its construction phase. The capitalized interest is recorded as part of the asset to which it relates and is amortized over the asset's estimated useful life as a component of depreciation expense. When capitalized interest is recorded, it reduces interest expense from what it would be otherwise. Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis on July 24, 2015 (see Note 6). At June 30, 2015, the carrying value of these investments was $482.4 million. New joint venture formed with Oxy Delaware Basin Plant, LLC, a subsidiary of Occidental Petroleum Corporation, in April 2015 that will plan, design and construct a new cryogenic natural gas processing plant to accommodate the growing production of NGL-rich natural gas in the Delaware Basin. New joint venture formed with Plains Marketing, L.P., a subsidiary of Plains All American Pipeline, L.P., in March 2015 to construct and operate a marine terminal that will handle crude oil delivered by Eagle Ford Pipeline LLC. We expect to refinance the current maturities of our debt obligations at or prior to their maturity. Represents cost of operating our plants, pipelines and other fixed assets, excluding depreciation, amortization and accretion charges. Transportation equipment includes tractor-trailer tank trucks and other vehicles and similar assets used in our operations. Platforms and facilities included offshore platforms and related facilities and other associated assets located in the Gulf of Mexico prior to the sale of our Offshore Business (see below). Plants, pipelines and facilities include processing plants; NGL, natural gas, crude oil and petrochemical and refined products pipelines; terminal loading and unloading facilities; office furniture and equipment; buildings; laboratory and shop equipment and related assets. In general, the estimated useful lives of major assets within this category are: processing plants, 20-35 years; pipelines and related equipment, 5-45 years; terminal facilities, 10-35 years; office furniture and equipment, 3-20 years; buildings, 20-40 years; and laboratory and shop equipment, 5-35 years. In general, the estimated useful lives of assets within this category are: underground storage facilities, 5-35 years; storage tanks, 10-40 years; and water wells, 5-35 years. Underground and other storage facilities include underground product storage caverns; above ground storage tanks; water wells and related assets. Marine vessels include tow boats, barges and related equipment used in our marine transportation business. The aggregate grant date fair value of phantom unit awards issued during 2015 was $118.6 million based on a grant date market price of our common units ranging from $27.31 to $34.40 per unit. An estimated annual forfeiture rate of 3.5% was applied to these awards. Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued. Aggregate intrinsic value reflects fully vested unit option awards at the dates indicated. All of the unit option awards outstanding at September 30, 2015 were exercisable. None of the unit option awards outstanding at December 31, 2014 were exercisable. The maximum term for derivatives designated as cash flow hedges, derivatives designated as fair value hedges and derivatives not designated as hedging instruments is December 2017, April 2016 and March 2018, respectively. Volume for derivatives designated as hedging instruments reflects the total amount of volumes hedged whereas volume for derivatives not designated as hedging instruments reflects the absolute value of derivative notional volumes. Current and long-term volumes include 38.7 Bcf and 0.9 Bcf, respectively, of physical derivative instruments that are predominantly priced at a marked-based index plus a premium or minus a discount related to location differences. Reflects the use of derivative instruments to manage risks associated with transportation, processing and storage assets. Forecasted sales of NGL volumes under natural gas processing exclude 0.7 MMBbls of additional hedges executed under contracts that have been designated as normal sales agreements. 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Liabilities Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block] Fair Value, Measurements, Recurring [Member] Fair Value by Measurement Frequency [Axis] Fair Value, Hierarchy [Axis] Fair Value, Hierarchy [Axis] Total gains (losses) included in: Net income Fair Value, Assets and Liabilities Measured on Recurring Basis, Gain (Loss) Included in Earnings Reconciliation of changes in the fair value of Level 3 financial assets and liabilities [Roll Forward] Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation [Roll Forward] Fair Value by Liability Class [Domain] Fair Value, Measurements, Fair Value Hierarchy [Domain] Nonrecurring Fair Value Measurements Fair Value Measurements, Nonrecurring [Table Text Block] Fair Value, Measurement Frequency [Domain] Fair Value, by Balance Sheet Grouping [Table] Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items] Fair Value, Disclosure Item Amounts [Domain] Level 3 [Member] Level 1 [Member] Level 2 [Member] Fair Values Derivatives, Balance Sheet Location, by Derivative Contract Type [Table] Derivatives in fair value hedging relationships [Member] Fair Value Hedging [Member] Financial Liabilities: [Abstract] Accumulated Amortization Intangible assets, accumulated amortization Forecasted amortization expense [Abstract] 2017 Finite-Lived Intangible Assets, Amortization Expense, Year Three Finite-Lived Intangible Assets, Major Class Name [Domain] Gross Value Finite-Lived Intangible Assets, Gross Finite-Lived Intangible Assets by Major Class [Axis] Finite-Lived Intangible Asset, Useful Life 2018 Finite-Lived Intangible Assets, Amortization Expense, Year Four 2019 Finite-Lived Intangible Assets, Amortization Expense, Year Five 2016 Finite-Lived Intangible Assets, Amortization Expense, Year Two Remainder of 2015 Finite-Lived Intangible Assets, Amortization Expense, Remainder of Fiscal Year Foreign currency derivatives [Member] Net losses (gains) attributable to asset sales and insurance recoveries (see Note 16) Net gains (losses) attributable to asset sales and insurance recoveries Gains on early extinguishment of debt Gains on early extinguishment of debt Processing equipment [Member] Total general and administrative costs General and administrative costs Subtract general and administrative costs not reflected in gross operating margin General and administrative costs: Balance at end of period Balance at beginning of period Goodwill Goodwill (see Note 9) Purchase price and other adjustments Purchase price adjustment to goodwill Goodwill, Purchase Accounting Adjustments Reclassification of goodwill Reduction in goodwill related to the sale of assets Goodwill, Written off Related to Sale of Business Unit Addition to goodwill related to the acquisition of EFS Midstream Intangible Assets and Goodwill Goodwill and Intangible Assets Disclosure [Text Block] Goodwill [Line Items] Goodwill reclassified to assets held-for-sale Goodwill, Other Changes Changes in carrying amount of goodwill [Roll Forward] Intangible Assets and Goodwill [Abstract] Hedging Designation [Axis] Hedging Designation [Domain] Hedging Relationship [Domain] Eliminations [Member] Impaired Long-Lived Assets Held and Used, Asset Name [Domain] Impaired Long-Lived Assets Held and Used by Type [Axis] Impairment of long-lived assets held for sale Impairment of long-lived assets held and used Impairment of Long-Lived Assets Held-for-use Equity in income of unconsolidated affiliates Equity in income of unconsolidated affiliates Add equity in income of unconsolidated affiliates Equity in income (loss) of unconsolidated affiliates Disposal Group Name [Axis] Derivative Instruments, Gain (Loss) by Income Statement Location [Axis] UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED OPERATIONS Condensed Consolidating Statement of Operations Income before income taxes Income (Loss) from Continuing Operations before Income Taxes, Extraordinary Items, Noncontrolling Interest Significant Disposals [Line Items] Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items] Income Statement and Other Comprehensive Income Location [Domain] Schedule of Significant Disposals [Table] Disposal Groups, Including Discontinued Operations [Table] Provision for income taxes Income Tax Expense (Benefit) Accounts receivable - trade Increase (Decrease) in Accounts Receivable Accounts payable - trade Prepaid and other current assets Increase (Decrease) in Other Current Assets Accounts receivable - related parties Increase (Decrease) in Accounts Receivable, Related Parties Other current liabilities Other liabilities Increase (Decrease) in Partners' Capital [Roll Forward] Summary of changes in outstanding units [Roll Forward] Other assets Increase (Decrease) in Other Noncurrent Assets Accounts payable - related parties Increase (Decrease) in Accounts Payable, Related Parties Increase (decrease) in: Inventories Increase (Decrease) in Inventories Net effect of changes in operating accounts (see Note 16) Net effect of changes in operating accounts Increase (Decrease) in Operating Capital Accrued interest Decrease (increase) in: Decrease (increase) in restricted cash Increase (Decrease) in Restricted Cash Incremental option units (in units) Phantom units (in units) Carrying Value Intangible assets, net Intangible assets, net (see Note 9) Intangible assets, net of accumulated amortization of $1,192.2 at September 30, 2015 and $1,246.3 at December 31, 2014 (see Note 9) Capitalized interest Interest Costs Capitalized Interest expense Interest expense Accrued interest Accrued interest Interest Payable, Current Interest rate derivative instruments: Accumulated other comprehensive loss related to interest rate derivative instruments expected to be reclassified to earnings in interest expense over the next twelve months Interest rate derivatives Interest Rate Derivative Assets, at Fair Value Interest Rate Swap [Member] Interest rate derivatives Location - Interest expense [Member] Interest rate derivatives [Member] Interest rate derivatives [Member] Available-for-Sale Inventory by Product Type [Abstract] Inventories Inventory Disclosure [Text Block] Total Inventories Inventory, Net Lower of cost or market adjustments Summary of cost of sales and lower of cost or market adjustments [Abstract] Inventories [Abstract] Total investments in unconsolidated affiliates Investments in unconsolidated affiliates Investments in unconsolidated affiliates Junior Subordinated Notes [Member] Junior Subordinated Debt [Member] Long-term Debt, Type [Axis] Long-term Debt, Type [Domain] Land [Member] Lease and rental expense included in costs and expenses Operating lease obligations [Abstract] Leases, Operating [Abstract] Total current liabilities Liabilities, Current Liabilities related to assets held for sale (see Note 6) Liabilities related to assets held for sale Total liabilities Current liabilities: LIABILITIES AND EQUITY Liabilities and Equity [Abstract] Financial liabilities [Abstract] Total Financial and Nonfinancial Liabilities, Fair Value Disclosure Total liabilities and equity Liabilities and Equity Capital account, units outstanding (in units) Limited Partners' Capital Account, Units Outstanding Limited partners: Limited partners ownership interest (in hundredths) Limited Liability Company (LLC) or Limited Partnership (LP), Members or Limited Partners, Ownership Interest Maximum common units authorized for issuance (in units) Limited Partners [Member] Common units (2,005,785,601 units outstanding at September 30, 2015 and 1,937,324,817 units outstanding at December 31, 2014) Limited Partners' Capital Account Maximum borrowing capacity Litigation Case [Domain] Litigation Case [Axis] Long Lived Assets Held-for-sale, Name [Domain] Remainder of 2015 Long Lived Assets Held-for-sale by Asset Type [Axis] 2018 Long-term Debt, Maturities, Repayments of Principal in Year Four 2019 Long-term Debt, Maturities, Repayments of Principal in Year Five 2017 Long-term Debt, Maturities, Repayments of Principal in Year Three After 2019 Long-term Debt, Maturities, Repayments of Principal after Year Five Less current maturities of debt Current maturities of debt Current maturities of debt (see Note 10) 2016 Long-term Debt, Maturities, Repayments of Principal in Year Two Total long-term debt Long-term debt Long-term debt (see Note 10) Loss contingency, damages awarded Litigation accruals on an undiscounted basis Loss Contingencies [Table] Loss contingency, total damages sought Loss Contingencies [Line Items] Loss Contingencies by Nature of Contingency [Axis] Loss Contingency, Nature [Domain] Unconsolidated affiliates [Member] Majority-Owned Subsidiary, Unconsolidated [Member] Marine vessels [Member] Marine Services Equipment [Member] Adjustments [Member] Repayment of debt obligations Maturities of Senior Debt Scheduled Maturities of Debt [Abstract] Maturities of Long-term Debt [Abstract] Maximum [Member] Minimum [Member] Noncontrolling interests acquired Noncontrolling Interest Cash distributions paid to noncontrolling interests Noncontrolling Interest, Decrease from Distributions to Noncontrolling Interest Holders Noncontrolling Interest [Table] Noncontrolling Interest, Ownership Percentage by Parent (in hundredths) Noncontrolling Interest, Ownership Percentage by Noncontrolling Owners (in hundredths) Processing plants [Member] Natural Gas Processing Plant [Member] Midstream services Basic earnings per unit (in dollars per unit) As reported basic earnings per unit (in dollars per unit) Net Income (Loss), Per Outstanding Limited Partnership Unit, Basic, Net of Tax Diluted earnings per unit (in dollars per unit) As reported diluted earnings per unit (in dollars per unit) Net Income (Loss), Net of Tax, Per Outstanding Limited Partnership Unit, Diluted Financing activities: Cash used in investing activities Net Cash Provided by (Used in) Investing Activities, Continuing Operations Net cash flows provided by operating activities Net Cash Provided by (Used in) Operating Activities, Continuing Operations Net income attributable to limited partners Net income attributable to entity Net income attributable to limited partners Net Income (Loss) Attributable to Parent Investing activities: Operating activities: Cash provided by (used in) financing activities Net Cash Provided by (Used in) Financing Activities, Continuing Operations Net income attributable to noncontrolling interests (see Note 11) Net loss (income) attributable to noncontrolling interests Net Income (Loss) Attributable to Noncontrolling Interest Other Subsidiaries (Non-guarantor) [Member] Non-Guarantor Subsidiaries [Member] Total other expense, net Other expense, net Other income (expense): Other income (expense): Number of reportable segments Number of Reportable Segments Cash contributions from noncontrolling interests Noncontrolling Interest, Increase from Subsidiary Equity Issuance Noncontrolling Interests [Member] Noncontrolling Interest [Member] Derivatives not designated as hedging instruments [Member] Not Designated as Hedging Instrument [Member] Offsetting Financial Liabilities Offsetting Liabilities [Table Text Block] Offsetting Financial Assets Offsetting Assets [Table Text Block] Offsetting Liabilities [Line Items] Offsetting Assets [Line Items] Offsetting Assets [Table] Offsetting Liabilities [Table] Office furniture and equipment [Member] Office Equipment [Member] Total operating costs and expenses Subtract operating costs and expenses Operating costs and expenses Reportable Business Segments [Member] Operating costs and expenses: Operating costs and expenses: Operating income Operating income Location - Operating costs and expenses [Member] Total lease commitments Partnership Operations and Organization Organization, Consolidation and Presentation of Financial Statements Disclosure [Text Block] Partnership Operations and Organization [Abstract] Other current liabilities [Member] Other Current Liabilities [Member] Other current assets [Member] Other Current Assets [Member] Total other comprehensive income Total other comprehensive income (loss) Other Comprehensive Income (Loss), Net of Tax Cash flow hedges Total cash flow hedges Other comprehensive income before reclassifications Impairment of long-lived assets disposed of other than by sale Other assets Other assets Other Assets, Noncurrent Incentive distribution rights [Member] Other operating activities Prepaid and other current assets Other Assets, Current Cash flow hedges: Other operating costs and expenses Other current liabilities Other current liabilities Other Liabilities, Current Pumps and compressors [Member] Other long-term liabilities Other Liabilities, Noncurrent Other, net Location - Other Expense [Member] Other Expense [Member] Other liabilities [Member] Other Liabilities [Member] Location - Other income [Member] Other assets [Member] Other Assets [Member] Phantom Unit Awards [Member] Enterprise Products Partners L.P. (Guarantor) [Member] Parent Company [Member] Undistributed earnings allocated and cash payments on phantom unit awards Participating Securities, Distributed and Undistributed Earnings (Loss), Basic Partner Capital Components [Domain] Statement, Partner Type of Partners' Capital Account [Axis] Partner Type of Partners' Capital Account, Name [Domain] Partner Capital Components [Axis] Common units issued in connection with Step 2 of Oiltanking acquisition Partners' Capital Account, Acquisitions Other Partners' Capital, Other Balance Balance Total equity Partners' Capital, Including Portion Attributable to Noncontrolling Interest Partners' equity Partners' equity: Ending Balance (in units) Beginning Balance (in units) Partners' Capital Account, Units Cash distributions paid to limited partners Partners' Capital Account, Distributions Amortization of fair value of equity-based awards Acquisition and cancellation of treasury units in connection with the vesting of equity-based awards (in units) Partners' Capital Account, Units, Treasury Units Purchased Partners' and other owners' equity Total partners' equity Noncontrolling interests Common units issued in connection with the vesting and exercise of unit options (in units) Number of common units issued (in units) Net cash proceeds from the issuance of common units Partners' Capital Account, Sale of Units Monetization of interest rate derivative instruments (see Note 4) Payments for (Proceeds from) Hedge, Financing Activities Other investing activities Payments for (Proceeds from) Other Investing Activities Cash distributions paid to noncontrolling interests Cash distributions paid to noncontrolling interests Payments of Ordinary Dividends, Noncontrolling Interest Cash used for business combinations, net of cash received Cash used for business combinations, net of cash received (see Note 8) Payments to Acquire Businesses, Net of Cash Acquired Cash Payments to Acquire Businesses, Gross Investments in unconsolidated affiliates Payments to Acquire Interest in Subsidiaries and Affiliates Capital expenditures Payments to Acquire Property, Plant, and Equipment Debt issuance costs Payments of Debt Issuance Costs Litigation matters [Member] Pending Litigation [Member] Pipelines and related equipment [Member] Pipelines [Member] Plan Name [Axis] Plan Name [Domain] Plan Name [Domain] Portion at Fair Value Measurement [Member] Prepaid and other current assets Prepaid Expense and Other Assets, Current Commodity derivatives Commodity asset derivatives Net accumulated other comprehensive income (loss) related to commodity derivative instruments expected to be reclassified to earnings over the next twelve months Commodity derivatives Commodity liability derivatives Commodity derivative instruments: Contributions in aid of construction costs Other financing activities Proceeds from (Payments for) Other Financing Activities Net Cash Proceeds from Sale of Common Units [Abstract] Net cash proceeds from the issuance of common units Net cash proceeds from issuance of common units Net cash proceeds from the issuance of common units Borrowings under debt agreements Cash contributions from noncontrolling interests Proceeds from asset sales and insurance recoveries (see Note 16) Proceeds from asset sales and insurance recoveries Net income Net income Net income Total Net Income (Loss), Including Portion Attributable to Noncontrolling Interest Property, Plant and Equipment and Accumulated Depreciation Property, Plant and Equipment by Type [Axis] Property, Plant and Equipment [Abstract] Property, Plant and Equipment [Member] Property, Plant and Equipment [Member] Estimated useful life Property, Plant and Equipment, Type [Domain] Property, plant and equipment, net Property, plant and equipment, net (see Note 6) Property, Plant and Equipment, Net Total historical cost of property, plant and equipment Property, Plant and Equipment, Gross Property, plant and equipment and accumulated depreciation [Abstract] Property, Plant and Equipment [Line Items] Property, Plant and Equipment Property, Plant and Equipment Disclosure [Text Block] Range [Domain] Range [Axis] Reclassification out of Accumulated Other Comprehensive Income [Member] Reclassification out of Accumulated Other Comprehensive Income [Axis] Amounts reclassified from accumulated other comprehensive loss (income) Reclassification from Accumulated Other Comprehensive Income, Current Period, Net of Tax Reclassification out of Accumulated Other Comprehensive Income (Loss) Reclassification out of Accumulated Other Comprehensive Income [Table Text Block] Reclassification out of Accumulated Other Comprehensive Income [Domain] Reclassification Out Of Accumulated Other Comprehensive Income [Table] Reconciliation of total Segment Gross Operating Margin [Abstract] Related Party Transaction [Domain] Related Party Transactions Related Party Transactions Disclosure [Text Block] Related Party Transaction [Line Items] General and administrative expenses Related parties Related Party Transaction, Selling, General and Administrative Expenses from Transactions with Related Party Related Party Transaction [Axis] Related Party Transactions, by Related Party [Axis] Related Party Transactions, by Related Party [Axis] Total costs and expenses - related parties Related Party [Domain] Related Party Transactions [Abstract] Repayments of debt Repayments of Notes Payable Restricted Common Unit Awards [Member] Restricted Common Units [Member] Restricted cash Restricted cash [Abstract] Total revenue - related parties Related parties Revenues from related parties Total consolidated revenues Revenues: Weighted average remaining contractual term Exercisable - Aggregate intrinsic value Exercisable - Weighted average remaining contractual term (in years) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Remaining Contractual Term Forecasted Amortization Expense Schedule of Finite-Lived Intangible Assets, Future Amortization Expense [Table Text Block] Location - Revenue [Member] Total revenues (see Note 12) Revenues Total revenues Revenue Revenue, Net Fair Value Measurements of Financial Assets and Liabilities Measured on a Recurring Basis Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block] Related Party Transactions Schedule of Related Party Transactions [Table Text Block] AROs Condensed Consolidating Statement of Operations Condensed Income Statement [Table Text Block] Allocation of Total Purchase Prices Paid in Connection with Business Combinations Unit Option Awards Restricted Common Unit Awards Derivative Instruments Effects on Statements of Comprehensive Income Net Effect of Changes in Operating Assets and Liabilities Consolidated Debt Maturities Condensed Consolidating Balance Sheet Condensed Balance Sheet [Table Text Block] Condensed Consolidating Statement of Cash Flows Condensed Cash Flow Statement [Table Text Block] Components of Accumulated Other Comprehensive Income (Loss) Phantom Unit Awards Gain/(Loss) Recognized in Income on Derivative Schedule of Other Derivatives Not Designated as Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block] Basic and Diluted Earnings Per Unit Schedule of Capital Units [Table] Schedule of Finite And Indefinite Lived Intangible Assets by Major Class [Table] Gain/(Loss) Reclassified from Accumulated Other Comprehensive Income/(Loss) to Income (Effective Portion) Schedule of Cash Flow Hedges Included in Accumulated Other Comprehensive Income (Loss) [Table Text Block] Summary of Changes in Outstanding Units Schedule of Common Stock Outstanding Roll Forward [Table Text Block] Gain/(Loss) Recognized in Income on Derivative (Ineffective Portion) Schedule of Cash Flow Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block] Supplemental Information Regarding Unit Option Awards Schedule of Business Acquisitions, by Acquisition [Table] Schedule of Business Acquisitions, by Acquisition [Table] Inventory Amounts by Product Type Schedule of Condensed Financial Statements [Table] Condensed Financial Statements [Table] Consolidated Debt Obligations Schedule of Significant Acquisitions and Disposals Disposal Groups, Including Discontinued Operations [Table Text Block] Equity-based Award Expense Hedging Instruments Under the FASB's Derivative and Hedging Guidance Schedule of Equity Method Investment, Equity Method Investee, Name [Axis] Investment, Name [Axis] Changes in Carrying Amount of Goodwill Schedule of Equity Method Investments [Table] Schedule of Equity Method Investments [Line Items] Schedule of Goodwill [Table] Schedule of Property, Plant and Equipment [Table] Schedule of Related Party Transactions, by Related Party [Table] Schedule of Segment Reporting Information, by Segment [Table] Information by Business Segments Derivative Assets and Liabilities Balance Sheet Derivative Instruments Effects on Statements of Operations Equity-Based Awards [Table] Equity-Based Awards [Table] Consolidated Revenues [Abstract] Segment Reporting Information, Revenue for Reportable Segment [Abstract] Business Segments [Abstract] Segment [Domain] Segment [Domain] Information by business segment [Abstract] Segment Reporting Information [Line Items] Business Segments Segment Reporting Disclosure [Text Block] Senior Debt Obligations [Member] Senior Notes [Member] Vesting period Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period Summary of awards activity, equity instruments other than options, additional disclosures [Abstract] Granted (in units) Granted weighted-average grant date fair value per unit (in dollars per unit) End of period (in units) Beginning of period (in units) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number Weighted average strike price, exercised (in dollars per unit) Equity-based compensation expense [Abstract] Weighted-average grant date fair value per unit, at end of period (in dollars per unit) Weighted-average grant date fair value per unit, at beginning of period (in dollars per unit) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value Summary of awards activity, equity instruments other than options [Roll Forward] Options outstanding, weighted-average strike price [Roll Forward] Share-based Compensation Arrangement by Share-based Payment Award [Line Items] Restricted units outstanding, weighted-average grant date fair value [Roll Forward] Phantom units outstanding, weighted-average grant date fair value [Roll Forward] Forfeited weighted-average grant date fair value per unit (in dollars per unit) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Forfeitures, Weighted Average Grant Date Fair Value Forfeited (in units) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Forfeited in Period Exercisable - Weighted average strike price (in dollars per unit) Vested weighted-average grant date fair value per unit (in dollars per unit) Exercisable (in units) Weighted average strike price, forfeited (in dollars per unit) Remaining number of common units available to be issued as awards (in units) Vested (in units) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period Total intrinsic value of our restricted common unit awards that vested during period Total intrinsic value of phantom unit awards that vested during period Maximum number of common units that may be issued as awards (in units) Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized Forfeited (in units) Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures and Expirations in Period Total intrinsic value of unit option awards exercised during period Aggregate intrinsic value Award Type [Domain] Equity Award [Domain] Beginning of period (in units) End of period (in units) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number Weighted average strike price, beginning of period (in dollars per unit) Weighted average strike price, end of period (in dollars per unit) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price Summary of awards activity, options [Roll Forward] Offering price of common unit (in dollars per unit) General Accounting Matters Significant Accounting Policies [Text Block] Statement [Line Items] STATEMENTS OF CONSOLIDATED EQUITY UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED CASH FLOWS Condensed Consolidating Statement of Cash Flows STATEMENTS OF CONSOLIDATED COMPREHENSIVE INCOME Condensed Consolidating Statement of Comprehensive Income Equity Components [Axis] Statement [Table] Statement, Business Segments [Axis] Statement, Business Segments [Axis] Condensed Consolidating Balance Sheet UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS Exercised (in units) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period Unit Appreciation Rights [Member] Equity and Distributions Stockholders' Equity Note Disclosure [Text Block] Unit split conversion ratio Stockholders' Equity Note, Stock Split, Conversion Ratio Junior Debt Obligations [Member] Subsidiary Issuer (EPO) [Member] Supplemental Cash Flow Information [Abstract] Electrical and metering equipment [Member] Transportation equipment [Member] Type of Derivatives Outstanding Changes in fair market value of derivative instruments Unrealized gain (loss) recognized as a component of net income related to financial assets and liabilities Unrealized Gain (Loss) on Derivatives Estimates Diluted weighted-average number of units outstanding: Weighted Average Number of Shares Outstanding, Diluted [Abstract] Distribution-bearing common units (in units) Weighted Average Limited Partnership Units Outstanding, Diluted Basic weighted-average number of common units outstanding (in units) Weighted Average Limited Partnership Units Outstanding, Basic Total (in units) Weighted Average Number of Shares Outstanding, Diluted Amount of write-down of assets recognized in the income statement in costs and expenses. Includes, but is not limited to, losses from tangible assets, intangible assets and goodwill. Asset impairment charges in costs and expenses Non-cash asset impairment charges (see Note 4) Non-cash asset impairment charges Total cash payments made in connection with distribution equivalent rights. Cash payments made in connection with distribution equivalent rights Cash payments made in connection with distribution equivalent rights Cash payments made in connection with DERs Cash payments made in connection with DERs The net change in the difference between the fair value and the carrying value, or in the comparative fair values, of liquidity option agreement. Unrealized Gain (Loss) on Option Agreement Changes in fair value of Liquidity Option Agreement Onshore Crude Oil Pipelines and Services business segment. Onshore Crude Oil Pipelines and Services [Member] Crude Oil Pipelines & Services [Member] NGL Pipelines and Services business segment. NGL Pipelines and Services [Member] NGL Pipelines & Services [Member] Petrochemical and Refined Products and Services business segment. Petrochemical and Refined Products Services [Member] Petrochemical & Refined Products Services [Member] Offshore Pipelines and Services business segment. Offshore Pipelines And Services [Member] Offshore Pipelines & Services [Member] Long-lived assets disposed of other than by sale member. Long lived Assets Disposed of Other Than By Sale [Member] Long-lived Assets Disposed of Other Than By Sale [Member] Long-lived assets disposed of by sale member. Long lived Assets Disposed of by Sale [Member] Long-lived Assets Disposed of By Sale [Member] Long-lived assets held and used member. Long lived assets held and used [Member] Long-lived Assets Held and Used [Member] Represents spare parts inventory. Spare Parts Inventory [Member] Onshore Natural Gas Pipelines and Services business segment. Onshore Natural Gas Pipelines and Services [Member] Natural Gas Pipelines & Services [Member] This element represents impairments of assets that are scheduled for abandonment. Expected Loved lived Asset Abandonment [Member] Expected Loved-lived Asset Abandonment [Member] Represents our offshore Gulf of Mexico midstream energy services business. Offshore Gulf of Mexico Business [Member] Offshore Business [Member] Primary financial statement caption encompassing current assets. Current Assets [Member] Current assets [Member] The amount of the derivative asset to be cleared under master netting arrangements that have not been offset against net derivative instrument positions. Asset Derivative Settlement Offset Financial Instruments Maximum number of additional units to be authorized for issuance due to the amendment of the long-term incentive plan. Maximum number of additional units to be authorized for issuance Maximum number of additional units to be authorized for issuance (in units) The number of common units for issuance under the plan will automatically increase under the terms of the plan by per year, beginning on January 1, 2014 and subsequently on each January 1 thereafter during the term of the plan before reaching a maximum amount. Incremental number of units to be authorized Incremental number of units to be authorized annually (in units) Other equity-based awards, not otherwise specified, as awarded by a company to their employees as a form of incentive compensation. Other Equity Based Awards [Member] Other [Member] The 1998 Long-Term Incentive Plan provides for awards of our common units and other rights to our non-employee directors and to employees of EPCO and its affiliates providing services to us. Long Term Incentive Plan (1998) [Member] The 2008 Long-Term Incentive Plan provides for awards of our common units and other rights to our non-employee directors and to consultants and employees of EPCO and its affiliates providing services to us. Long Term Incentive Plan (2008) [Member] Long-Term Incentive Plan (2008) [Member] Information by award classification pertaining to equity-based compensation. Award Classification [Axis] Classification of awards. Equity Award Classification [Domain] Equity-based awards that are settled in cash upon vesting. Liability-classified awards [Member] Equity-based awards that are expected to results in the issuance of common units upon vesting. Equity-classified awards [Member] The number of Enterprise common units pledged as security under a credit facility as of the balance sheet date. Common Units Pledged As Security Enterprise common units pledged as security (in units) Registration Statements and Equity Offerings [Axis] Related Party Costs And Expenses [Abstract] Costs and expenses - related parties: Related Party Revenues [Abstract] Revenues - related parties: Relationship with Affiliates [Abstract] Description of the type of registration statement or equity offering. Registration Statements and Equity Offerings [Domain] A 2013 registration statement with the SEC authorizing the issuance of up to $1.25 billion in our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of our offerings. 2013 Registration ATM [Member] 2013 At-the-Market Registration [Member] Represents the number of units held by related party affiliates. Outstanding Units Owned By Affiliates Under Common Control Total Number of Units (in units) Represents entity's subsidiary, Holdings Holdings [Member] The number of common units owned (as a percentage) by an affiliate under common control. Outstanding Units Percentage Owned By Affiliates Under Common Control Percentage of Total Units Outstanding (in hundredths) Administrative Services Agreement [Abstract] Related Party Transactions [Abstract] Represents the distributions received by related party affiliates from the entity. Distributions Received By Affiliates Total cash distributions This element represents an investment in the stock of an investee (Evangeline). Evangeline [Member] This element represents an investment in the stock of an investee (K/D/S Promix, L.L.C.). K D S Promix, LLC [Member] K/D/S Promix, L.L.C. [Member] This element represents an investment in the stock of an investee (Seaway Crude Pipeline Company). Seaway Crude Pipeline Company [Member] Seaway Crude Pipeline Company LLC [Member] This element represents other investments in the stock of investees. Other Investments in Unconsolidated Subsidiaries [Member] Other investments in unconsolidated subsidiaries [Member] The business and operations of Enterprise Products Partners L.P. and its consolidated subsidiaries (excluding Duncan Energy Partners L.P.). Enterprise [Member] This element represents an investment in the stock of an investee (White River Hub, LLC). White River Hub, LLC [Member] This element represents an investment in the stock of an investee (Centennial Pipeline LLC). Centennial Pipeline LLC [Member] Represents related party transactions under the administrative services agreement. Administrative Services Agreement [Member] The distribution reinvestment plan (DRIP) provides unitholders of record and beneficial owners of our common units a voluntary means by which they can increase the number of common units they own by reinvesting the quarterly cash distributions they would otherwise receive into the purchase of additional common units. Distribution Reinvestment Plan [Member] The number of common units outstanding (the Designated Units) on which a private held affiliate agreed to temporarily waive regular quarterly cash distributions it would otherwise receive, for a five-year period after the merger beginning November 22, 2010. Number Of Designated Units Number of Designated Units excluded from distributions (in units) Tabular disclosure of the summary of costs related to goods produced and sold and services rendered during the period. Discloses any lower of cost or market adjustment recorded during the period. Cost Of Sales And Lower of Cost or Market Adjustment Summary [Table Text Block] Cost of Sales and Lower of Cost or Market Adjustments This element represents an investment in the stock of an investee (Cameron Highway Oil Pipeline Company). Cameron Highway Oil Pipeline Company [Member] This element represents an investment in the stock of an investee (Skelly-Belvieu Pipeline Company, L.L.C.). Skelly Belvieu Pipeline Company, LLC [Member] Skelly-Belvieu Pipeline Company, L.L.C. [Member] This element represents an investment in Delaware Basin Gas Processing LLC. Delaware Basin Gas Processing LLC [Member] This element represents an investment in the stock of an investee (Poseidon Oil Pipeline, L.L.C.). Poseidon Oil Pipeline Company, LLC [Member] Poseidon Oil Pipeline Company, L.L.C. [Member] Represents Southeast Keathley Canyon Pipeline Company LLC ("SEKCO"). Southeast Keathley Canyon Pipeline Company, LLC [Member] Southeast Keathley Canyon Pipeline Company L.L.C. [Member] This element represents an investment in the stock of an investee (Neptune Pipeline Company, L.L.C.). Neptune Pipeline Company, LLC [Member] Neptune Pipeline Company, L.L.C. [Member] This element represents an investment in an investee (Texas Express Gathering LLC). Texas Express Gathering LLC [Member] This element represents an investment in an investee (Texas Express Pipeline LLC). Texas Express Pipeline LLC [Member] This element represents an investment in the stock of an investee (Deepwater Gateway, L.L.C.). Deepwater Gateway LLC [Member] Deepwater Gateway, L.L.C. [Member] This element represents an investment in the stock of an investee (Baton Rouge Fractionators LLC). Baton Rouge Fractionators LLC [Member] This element represents other investments in the stock of investees. Other Unconsolidated Affiliates [Member] This element represents an investment in the stock of an investee (Venice Energy Service Company, L.L.C.). Venice Energy Service Company LLC [Member] Venice Energy Service Company, L.L.C. [Member] Forecasted amortization of excess cost amounts in year five following the date of the latest balance sheet presented in the financial statements. Forecasted Amortization Of Excess Cost Amounts Year Five Forecasted amortization of excess cost amounts - 2018 Forecasted amortization of excess cost amounts in year two following the date of the latest balance sheet presented in the financial statements. Forecasted Amortization Of Excess Cost Amounts Year Two Forecasted amortization of excess cost amounts - 2015 If the price paid to acquire an ownership interest exceeded the underlying book value of the capital accounts acquired, such excess cost amounts are included within the carrying values of the investments. These costs were attributable to the underlying tangible and amortizable intangible assets of certain unconsolidated affiliates, and are amortized as a reduction in equity earnings in a manner similar to depreciation. This represents the amortization of such excess cost amounts for the period. Equity Method Investment Tangible And Intangible Asset Amortization Expense Equity method investment amortization of excess cost Forecasted amortization of excess cost amounts in year three following the date of the latest balance sheet presented in the financial statements. Forecasted Amortization Of Excess Cost Amounts Year Three Forecasted amortization of excess cost amounts - 2016 Forecasted amortization of excess cost amounts in year four following the date of the latest balance sheet presented in the financial statements. Forecasted Amortization Of Excess Cost Amounts Year Four Forecasted amortization of excess cost amounts - 2017 This element represents an investment in an investee (Front Range Pipeline LLC). Front Range Pipeline LLC [Member] This element represents an investment in the stock of an investee (Baton Rouge Propylene Concentrator, L.L.C.). Baton Rouge Propylene Concentrator, LLC [Member] Forecasted amortization of excess cost amounts in year one following the date of the latest balance sheet presented in the financial statements. Forecasted Amortization Of Excess Cost Amounts Year One Forecasted amortization of excess cost amounts - 2014 Represents Eagle Ford Pipeline LLC, Eagle Ford Pipeline LLC [Member] Eagle Ford Terminals Corpus Christi LLC. Eagle Ford Terminals Corpus Christi LLC [Member] Operating costs and expenses from third parties. Third Party Operating Costs And Expenses Third parties General and administrative costs and expenses from third parties. General And Administrative Third Party Third parties Revenues from third parties. Third Party Revenue Third parties Revenues from third parties Expense associated with the change in fair value of the Liquidity Option Agreement. Expense of Liquidity Option Agreement Change in fair value of Liquidity Option Agreement (see Note 15) Change in fair value of Liquidity Option Agreement (see Note 15) Reclassification of accumulated gains and losses from a component of accumulated other comprehensive income to a component of net income. Reclassification Adjustment For Gains Losses In Net Income Related To Commodity Derivative Instruments Reclassification of losses (gains) to net income Net of tax effect change in accumulated gains and losses from interest rate derivative instruments designated and qualifying as the effective portion of cash flow hedges after taxes. A cash flow hedge is a hedge of the exposure to variability in the cash flows of a recognized asset or liability or a forecasted transaction that is attributable to a particular risk. The change includes an entity's share of an equity investee's increase (decrease) in deferred hedging gains or losses. Net Interest Rate Financial Instrument Gains Losses During Period Changes in fair value of cash flow hedges Reclassification of accumulated gains and losses from a component of accumulated other comprehensive income to a component of net income. Reclassification Adjustment For Gains Losses In Net Income Related To Interest Rate Derivative Instruments Reclassification of losses to net income Amount after tax and reclassification adjustments of other amounts of other comprehensive income (loss) not separately disclosed. Other Comprehensive Income Other Amounts During Period Net Of Tax Other Net of tax effect change in accumulated gains and losses from commodity derivative instruments designated and qualifying as the effective portion of cash flow hedges after taxes. A cash flow hedge is a hedge of the exposure to variability in the cash flows of a recognized asset or liability or a forecasted transaction that is attributable to a particular risk. The change includes an entity's share of an equity investee's increase (decrease) in deferred hedging gains or losses. Net Commodity Financial Instrument Gain Losses During Period Changes in fair value of cash flow hedges The difference between the sale price or salvage price and the book value of a property, plant, and equipment asset that was sold or retired during the reporting period. This element refers to the gain (loss) recorded in operating costs and expenses. Gain (Loss) From Asset Sales and Related Transactions in Operating Costs and Expenses Net losses (gains) attributable to asset sales and insurance recoveries Revenue from the sale of natural gas, including marketing activities. Natural Gas Sales Revenue Sales of natural gas Revenue from the sale of Natural Gas Liquids, including marketing activities. Natural Gas Liquids Sales Revenue Sales of NGLs and related products Revenue from the sale of crude oil, including marketing activities. Crude Oil Sales Revenue Sales of crude oil The amount of expense recognized and charged to operating costs and expenses in the current period that reflects the allocation of the cost of assets over the assets' useful lives. Depreciation, amortization and accretion in operating costs and expenses Depreciation, amortization and accretion Revenues from the sales of by products and other related services. Other Petroleum And Related Products Sales Revenue Sales of petrochemicals and refined products The amount of the derivative liability to be cleared under master netting arrangements that have not been offset against net derivative instrument positions. Liability Derivative Settlement Offset Financial Instruments Amount of right to receive cash collateral under master netting arrangements that have not been offset against derivative assets. Derivative Asset Collateral Right To Reclaim Cash Cash Collateral Paid Carrying amount as of the balance sheet date of natural gas inventories. Energy Related Inventory Natural Gas Natural gas Carrying amount as of the balance sheet date of crude oil inventories. Energy Related Inventory Crude Oil Crude oil Carrying amount as of the balance sheet date of petrochemicals and refined products inventories. Energy Related Inventory Petrochemicals And Refined Products Petrochemicals and refined products Tabular disclosure of noncash impairment charges by segment. Noncash Impairment Charges [Table Text Block] Noncash Impairment Charges by Segment The net change during the reporting period in product expenses incurred but not yet paid. This element should be used when there is no other more specific or appropriate element. Increase (Decrease) In Accrued Product Payable Accrued product payables Represents the West Storage location of our Mont Belvieu, Texas underground storage facility. West Storage Facilities [Member] Represents transactions involving pipeline line fill. Pipelinelinefill [Member] Pipeline Line Fill [Member] Represents marine transportation assets. Marine transportation assets [Member] Represents lubrication oil and specialty chemical distribution assets. Lubrication oil and specialty chemical distribution assets [Member] This element represents transactions involving chemical trucking assets. Chemical Trucking Assets [Member] This element represents the sale of segments of the Seminole Pipeline. Seminole Pipeline segment [Member] Other asset sales during the period. Other Asset Sales [Member] Other Disposal of Assets [Member] Amount of liabilities accrued as of the balance sheet date by the acquirer as part of consideration in a business combination due within 12 months. Business Combination, Consideration, Liabilities Accrued Accrued liability related to EFS Midstream acquisition (see Note 8) Accrued liability related to EFS Midstream acquisition Contractual obligation table. Contractual Obligation [Table] Information about contractual obligations. Contractual Obligation [Axis] Contractual obligation [Line Items] Represents lawsuit filed by Energy Transfer Partners L.P. ("ETP") against us and a third party in September 2011. ETP Lawsuit [Member] Total amount of required minimum rental payments over the next five years. Operating Leases Total Future Minimum Payments Due Over Next Five Years Total lease commitments over the next five years The rate at which interest will accrue on legal award after the judgment has been entered by the court. Post-judgment interest rate Post-judgment interest rate (in hundredths) Interest accruing on the amount of a legal award from the time of the injury or damage to the time the judgment is entered by the court. Prejudgment interest The value (monetary amount) of the award the plaintiff seeks in the legal matter related to disgorgement. Loss contingency, disgorgement damages sought value Loss contingency, disgorgement damages sought Description about contractual obligations. Contractual Obligation [Domain] Lease agreements entered into during the current fiscal year. New Lease Agreements [Member] EFS Midstream contract with producers. EFS Midstream Contract with Producers [Member] Term of contract. Contract term Contract term (in years) Adjustments To Reconcile Total Segment Gross Operating Margin To Operating Income [Abstract] Adjustments to reconcile total segment gross operating margin to operating income: Operating income before: (i) depreciation, amortization and accretion expense; (ii) non-cash consolidated asset impairment charges; (iii) operating lease expenses for which the entity does not have the payment obligation; (iv) gains and losses from asset sales and related transactions and (v) general and administrative costs. Total Segment Gross Operating Margin Total segment gross operating margin Gross operating margin The difference between the sale price or salvage price and the book value of a property, plant, and equipment asset that was sold or retired during the reporting period. This element refers to the gain (loss) recorded in operating costs and expenses excluded from gross operating margin. Gains Attributable To Asset Sales And Insurance Recoveries Excluded From Gross Operating Margin Add net gains or subtract net losses attributable to asset sales and insurance recoveries not reflected in gross operating margin Add net losses or subtract net gains attributable to asset sales and insurance recoveries not reflected in gross operating margin (see Note 16) The amount of expense recognized and charged to operating costs and expenses in the current period that reflects the allocation of the cost of assets over the assets' useful lives excluded from gross operating margin. Depreciation Amortization And Accretion In Operating Costs And Expenses Excluded From Gross Operating Margin Subtract depreciation, amortization and accretion expense amounts not reflected in gross operating margin Add depreciation, amortization and accretion expense amounts not reflected in gross operating margin The aggregate amount of write-downs for impairments recognized during the period for long lived assets held for use (including those held for disposal by means other than sale). Impairment Charges Excluded From Gross Operating Margin Subtract impairment charges not reflected in gross operating margin Add impairment charges not reflected in gross operating margin Non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects included in gross operating margin. Non-refundable Deferred Revenues Attributable To Shipper Make-up Rights On New Pipeline Projects Included In Gross Operating Margin Subtract non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin Add non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin Segment Gross Operating Margin [Abstract] Revenue related to make-up rights recognized during period. Amounts were previously deferred and included in gross operating margin. Make-up rights revenue Subtract subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin Add subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin Condensed Consolidating Financial Information [Abstract] Enterprise Products Operating LLC and subsidiaries, through which the parent company conducts it's business. Consolidated EPO and Subsidiaries [Member] Other income (expense), net items not separately disclosed on the income statement due to materiality considerations. Other Income Expense Other Net Other, net The net cash outflow (inflow) from other investing activities. This element is used when there is not a more specific and appropriate element in the taxonomy. Other Investing Activities Other investing activities The net increase (decrease) during the reporting period of all assets and liabilities used in operating activities. Net Effect Of Changes In Operating Accounts And Other Operating Activities Net effect of changes in operating accounts and other operating activities The cash outflow associated with the acquisition of long-lived, physical assets that are used in the normal conduct of business to produce goods and services and not intended for resale; includes cash outflows to pay for construction of self-constructed assets. Net of nonrefundable contributions recorded as contributions in aid of construction (CIAC) and are amortized as a reduction of the depreciation expense associated with the contributed asset. Capital Expenditures Net Of Contributions In Aid Of Construction Cost Capital expenditures, net of contributions in aid of construction costs The cash outflow for total distributions to each class of partners (i.e., general, limited and preferred partners). Cash distributions paid to partners Cash distributions paid to partners The net cash inflow (outflow) from other financing activities. This element is used when there is not a more specific and appropriate element in the taxonomy. Other Financing Activities Other financing activities Cash contributions to entity from any members. Cash contributions from members Cash contributions from owners Eliminations and adjustments to the entity's primary operating subsidiary financial statements recorded in consolidation. EPO and Subsidiaries Eliminations and Adjustments [Member] EPO Senior Notes LL, MM, NN and II. EPO Senior Notes LL, MM, NN and II [Member] EPO Senior Notes LL. EPO Senior Notes LL [Member] EPO Senior Notes LL [Member] EPO Junior Subordinated Notes A. EPO Junior Subordinated Notes A [Member] TEPPCO Junior Subordinated Notes. TEPPCO Junior Subordinated Notes [Member] TEPPCO Senior Notes due April 2018. TEPPCO Senior Notes 4 [Member] Senior debt obligation: Senior Notes V. EPO Senior Notes V [Member] Senior debt obligation: Senior Notes D. EPO Senior Notes D [Member] Represents EPO's Senior Notes FF. EPO Senior Notes FF [Member] Represents EPO's Senior Notes DD. EPO Senior Notes DD [Member] Senior debt obligation: Senior Notes R. EPO Senior Notes R [Member] Senior Debt Obligation: Senior Notes HH. EPO Senior Notes HH [Member] EPO Senior Notes MM. EPO Senior Notes MM [Member] Senior debt obligation: Senior Notes J. EPO Senior Notes J [Member] Senior debt obligation: Senior Notes EE. EPO Senior Notes EE [Member] Senior debt obligation: Senior Notes I. EPO Senior Notes I [Member] Represents EPO's Senior Notes CC. EPO Senior Notes CC [Member] Commercial Paper Notes Program. Commercial Paper Notes [Member] Senior debt obligation: Senior Notes L. EPO Senior Notes L [Member] EPO Junior Subordinated Notes C. EPO Junior Subordinated Notes C [Member] Senior debt obligation: Senior Notes Y. EPO Senior Notes Y [Member] EPO Junior Subordinated Notes B. EPO Junior Subordinated Notes B [Member] Senior debt obligation: Senior Notes BB. EPO Senior Notes BB [Member] Senior debt obligation: Senior Notes Z. EPO Senior Notes Z [Member] EPO Senior Notes NN. EPO Senior Notes NN [Member] Senior debt obligation: Senior Notes H. EPO Senior Notes H [Member] Senior debt obligation: Senior Notes JJ. EPO Senior Notes JJ [Member] EPO Senior Notes JJ [Member] Senior debt obligation: Senior Notes W. EPO Senior Notes W [Member] TEPPCO Senior Notes due April 2038. TEPPCO Senior Notes 5 [Member] Senior debt obligation: Senior Notes Q. EPO Senior Notes Q [Member] Total of other, non-principal amounts of long term debt as of the balance sheet date. Long Term Debt Total Other Non Principal Amounts Other, non-principal amounts Senior debt obligation: Senior Notes X. EPO Senior Notes X [Member] Represents EPO's $3.5 Billion Multi-Year Revolving Credit Facility. Epo Multi Year Revolving Credit Facility [Member] EPO Multi-Year Revolving Credit Facility [Member] The minimum interest rate; if the variable annual interest rate is greater, the variable annual interest rate prevails. If the variable annual interest rate is less, the minimum interest rate prevails. Debt Instrument Minimum Variable Annual Interest Rate Minimum variable annual interest rate (in hundredths) The amount outstanding on a letter of credit related to operations at our facilities and motor fuel tax obligations . These letters of credit reduce the amount available for borrowing under EPO's Multi-Year Revolving Credit Facility. Letter of credit outstanding for facilities and motor fuel tax obligations Letters of credit outstanding for facilities and motor fuel tax obligations The principal amount of senior notes issued during the period, under the universal shelf registration statement. Senior notes issued under universal shelf registration Aggregate debt principal issued Date through which interest rate is fixed. Fixed Interest Rate Term For Junior Notes Date through which interest rate is fixed Senior debt obligation: Senior Notes N. EPO Senior Notes N [Member] Senior debt obligation: Senior Notes AA. EPO Senior Notes AA [Member] Senior Debt Obligation : Senior Notes II. EPO Senior Notes II [Member] Represents EPO's Senior Notes GG. EPO Senior Notes GG [Member] Senior debt obligation: Senior Notes KK. EPO Senior Notes KK [Member] EPO 2014 364 Day Credit Agreement. EPO 2014 364 Day Credit Agreement [Member] EPO 364-Day Credit Agreement [Member] The maximum amount by which the total commitments may be increased by the borrower by adding one or more lenders to the facility and/or requesting that the commitments of the existing lenders be increased. Maximum Bank Commitments Increase Maximum bank commitments increase EPO Senior Notes OO. EPO Senior Notes OO [Member] EPO Senior Notes PP. EPO Senior Notes PP [Member] EPO Senior Notes QQ. EPO Senior Notes QQ [Member] Tabular disclosure of interest rates and weighted-average interest rates paid on consolidated variable-rate debt obligations. Variable Interest Rate Information [Table Text Block] Interest Rates and Weighted-Average Interest Rates Paid on Consolidated Variable-Rate Debt Obligations Amount of cash distribution paid to restricted common unit-holder. Distribution Made to Restricted Common Unitholders, Cash Distributions Paid Cash distributions paid to restricted common unitholders The estimated grant date forfeiture rate applied to the recognized compensation expense of equity based awards. Grant Date Estimated Forfeiture Rate Equity Awards Estimated forfeiture rate (in hundredths) The total grant date fair value of share-based awards issued during the period. Grant Date Fair Value Of Equity Awards Issued During Period Aggregate grant date fair value Refers to percentage of vesting rate of equity-based awards per year beginning one year after the grant date. Percentage of Vesting Rate of Equity-based Awards Vesting rate of restricted common unit awards (in hundredths) Vesting rate of phantom unit awards (in hundredths) The grant date fair value price per unit for share-based awards issued during the period. Grant Date Fair Value Of Equity Awards Issued Price Grant date market price of common units (in dollars per unit) The derivative instruments entered into in connection with NGL risk management activities by the entity. NGL risk management activities [Member] The volumes expected to be settled at least one year after the date indicated in accordance with derivative instruments. Long Term Volume The amount of normal sales agreements related to forecasted NGL sales. Ngl Inventory Management Executed As Normal Sales Agreements Forecasted NGL sales designated as normal sales agreements The derivative instruments entered into in connection with natural gas risk management activities by the entity. Represents the short term contracts that are priced as an index plus a premium or minus a discount. Short Term Natural Gas Risk Management Derivatives Designated As Hedging Activities Priced Based On An Index Current natural gas hedging volumes designated as an index plus or minus a discount Refers to accumulated other comprehensive loss, forecasted hedging period. Accumulated Other Comprehensive Loss, Forecasted Hedging period Derivative relationship that do not qualify for hedge accounting treatment; therefore, they are accounted for using mark-to-market accounting. Mark-to-market [Member] Derivatives in mark-to-market relationships [Member] A forward-based contract hedges the expected underlying benchmark interest rates related to forecasted issuances of debt. Forward Starting Swaps [Member] The derivative instruments entered into in connection with refined products risk management activities by the entity. Refined products risk management activities [Member] The derivative instruments entered into in connection with refined products inventory management activities with refined products marketing activities. Refined products marketing: Refined products inventory management activities [Member] A forward-based contract in which two parties agree to swap streams of payments over a specified period. The payment streams are based on an agreed-upon (or notional) principal amount. This derivative instrument is not designated as a hedging instrument. Non Hedged Swaps 1 [Member] Expired Undesignated Swaps [Member] The derivative instruments entered into in connection with the forecasted purchases of refined products in connection with refined products marketing activities. Refined products marketing: Forecasted purchases of refined products [Member] The derivative instruments entered into in connection with the plant thermal reduction of natural gas processing plants. Natural gas processing: Forecasted natural gas purchases for plant thermal reduction (PTR) [Member] The derivative instruments entered into in connection with the forecasted purchases of crude oil in connection with crude oil marketing activities. Crude oil marketing: Forecasted purchases of crude oil [Member] The derivative instruments entered into in connection with the forecasted sales of refined products in connection with refined products marketing activities. Refined products marketing: Forecasted sales of refined products [Member] The derivative instruments entered into in connection with the forecasted purchases of NGLs and related hydrocarbon purchases in connection with NGL marketing activities. NGL marketing Forecasted purchases of NGLs and related hydrocarbon products [Member] NGL marketing: Forecasted purchases of NGLs and related hydrocarbon products [Member] The derivative instruments entered into in connection with the forecasted purchases of NGLs in connection with octane enhancement production. Octane enhancement: Forecasted purchases of NGLs [Member] The derivative instruments entered into in connection with the forecasted sales of crude oil in connection with crude oil marketing activities. Crude oil marketing: Forecasted sales of crude oil [Member] The derivative instruments entered into in connection with the forecasted sales of natural gas. Natural gas marketing: Forecasted sales of natural gas [Member] The derivative instruments entered into in connection with the forecasted NGL sales of natural gas processing plants. Natural gas processing: Forecasted sales of NGLs [Member] The derivative instruments entered into in connection with crude oil risk management activities. Crude oil risk management activities [Member] The derivative instruments entered into in connection with the forecasted sales of NGLs and related hydrocarbon purchases in connection with NGL marketing activities. NGL marketing Forecasted sales of NGLs and related hydrocarbon products [Member] NGL marketing: Forecasted sales of NGLs and related hydrocarbon products [Member] A forward-based contract in which two parties agree to swap streams of payments over a specified period. The payment streams are based on an agreed-upon (or notional) principal amount. This derivative instrument is not designated as a hedging instrument. Non Hedged Swaps 2 [Member] Undesignated Swaps [Member] This represents the group of treasury rate lock interest rate swaps, which hedge the expected underlying benchmark interest rates related to forecasted issuances of debt. Treasury Rate Locks [Member] Amount of unrealized gain (loss) related to the increase (decrease) in fair value of interest rate derivatives designated as cash flow hedging instruments, which was recorded in accumulated other comprehensive income to the extent that the cash flow hedge was determined to be effective. Interest Rate Cash Flow Hedges Accumulated Other Comprehensive Income Accumulated other comprehensive income (loss) related to interest rate derivative instruments The derivative instruments entered into in connection with natural gas storage inventory management activities. Natural gas marketing: Natural gas storage inventory management activities [Member] The derivative instruments entered into in connection with natural gas risk management activities by the entity. Natural gas risk management activities [Member] The derivative instruments entered into in connection with the forecasted octane enhancement product sales. Octane enhancement: Forecasted sales of octane enhancement products [Member] The number of derivative instruments settled. Number of derivative instruments settled Number of derivative instruments settled The volumes expected to be settled within one year after the date indicated in accordance with derivative instruments. Current Volume The notional value of derivative instruments terminated during the period. Notional Amount Of Terminated Derivative Instruments Notional amount of settled derivative instruments The period of hedges of the derivative instruments employed related to the noted item. Derivative Instruments Period Of Hedges Period of Hedge Long-term natural gas hedging volumes designated as an index plus or minus a discount or premium. Entities long-term natural gas risk management derivatives designated as hedging activities priced based on index Long-term natural gas hedging volumes designated as an index plus or minus a discount The derivative instruments entered into in connection with the forecasted purchases of natural gas. Natural gas marketing: Forecasted purchases of natural gas [Member] Natural gas marketing: Forecasted purchases of natural gas for fuel [Member] Decrease in noncontrolling interest balance because of a sale of assets that occurred during the period. Noncontrolling Interest, Decrease from Sale of Assets Transfer of noncontrolling interests in connection with sale of Offshore Business Total cash payments made in connection with distribution equivalent rights. Partners Capital Distribution Equivalent Rights Paid Cash payments made in connection with distribution equivalent rights Refers to number of natural gas processing plants. Number of natural gas processing plants Refers to number of miles of onshore and offshore pipelines as a part of assets of the entity. Number of miles of onshore and offshore pipelines Refers to number of offshore hub platforms. Number of offshore hub platforms Refers to number of fractionators. Number of fractionators Refers to number of cubic feet of storage capacity. Number of cubic feet of storage capacity Refers to number of barrels of storage capacity for petrochemicals, refined products and crude oil. Number of barrels of storage capacity Oiltanking Partners L.P. owns marine terminals located on the Houston Ship Channel and at the Port of Beaumont. Oiltanking Partners L.P. [Member] Fair value of liquidity option agreement. Option Agreement Fair Value Disclosure Liquidity Option Agreement This element represents [net] transfers in to and out of assets and liabilities measured at fair value on a recurring basis using unobservable inputs (Level 3) which have taken place during the period. Fair Value Measurement With Unobservable Inputs Reconciliation Recurring Basis Transfers Net Assets And Liabilities Transfers out of Level 3 Tabular disclosure of the components of consolidated revenue by segment and type. This element also provides a detailed disclosure of consolidated costs and expenses. Consolidated Revenues And Expenses [Table Text Block] Consolidated Revenues and Expenses Tabular disclosure of the calculation of total segment gross operating margin. Total segment gross operating margin is defined as operating income before: (i) depreciation, amortization and accretion expense; (ii) non-cash consolidated asset impairment charges; (iii) operating lease expenses for which we do not have the payment obligation; (iv) gains and losses from asset sales and related transactions and (v) general and administrative costs. Total Segment Gross Operating Margin [Table Text Block] Measurement of Total Segment Gross Operating Margin Tabular disclosure of the reconciliation of total segment gross operating margin to the GAAP measure of income before provision for income taxes. Total Segment Gross Operating Margin Reconciliation [Table Text Block] Reconciliation of Total Segment Gross Operating Margin to Operating Income and Income Before Provision for Income Taxes Tabular disclosure of amortizable finite and indefinite lived intangibles assets by segment, including the gross carrying amount and accumulated amortization. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in the operations of a company. Schedule Of Finite And Indefinite Lived Intangible Assets By Segment [Table Text Block] Intangible Assets by Segment Tabular disclosure of the amortization expense of intangible assets for each reportable segment. An entity discloses certain information on each reportable segment if the amounts (a) are included in the measure of segment profit or loss reviewed by the chief operating decision maker or (b) are otherwise regularly provided to the chief operating decision maker, even if not included in that measure of segment profit or loss. Amortization Expense Of Intangible Assets By Segment [Table Text Block] Amortization Expense of Intangible Assets by Segment Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table. Schedule of Finite And Indefinite Lived Intangible Assets by Major Class [Line Items] Identifiable intangible assets [Abstract] Step 1 of the acquisition of Oiltanking Partners L.P., which owns marine terminals located on the Houston Ship Channel and at the Port of Beaumont. Oiltanking Partners L.P. - Step 1 [Member] Oiltanking Partners L.P. - Step 1 [Member] EFS Midstream provides gas gathering, treating, compression and condensate processing services in the Eagle Ford Shale. Eagle Ford Midstream Assets [Member] The forward commodity price (in dollars per unit of measure), used as an input to measure fair value. Fair value inputs, forward commodity price Fair value inputs, forward commodity price (in dollars per unit) This element represents a liability related to normal butane commodity derivatives. Liability commodity derivatives Normal butane [Member] Liability commodity derivatives - Normal butane [Member] This element represents a liability related to crude oil commodity derivatives. Liability Commodity Derivatives Crude Oil [Member] Liability commodity derivatives - Crude oil [Member] This element represents a liability related to propane commodity derivatives. Liability Commodity Derivatives Propane [Member] Liability commodity derivatives - Propane [Member] This element represents a liability related to natural gasoline commodity derivatives. Liability Commodity Derivatives Natural Gasoline [Member] Liability commodity derivatives - Natural gasoline [Member] The input used for the valuation of unobservable input. Input description This element represents a liability related to natural gas commodity derivatives. Liability Commodity Derivatives Natural Gas [Member] Liability commodity derivatives - Natural gas [Member] This element represents an asset related to normal butane commodity derivatives. Asset commodity derivatives Normal butane [Member] Asset commodity derivatives - Normal butane [Member] This element represents an asset related to propane commodity derivatives. Asset Commodity derivatives Propane [Member] Asset commodity derivatives - Propane [Member] This element represents an asset related to natural gasoline commodity derivatives. Asset Commodity Derivatives Natural Gasoline [Member] Asset commodity derivatives - Natural gasoline [Member] This element represents an asset related to natural gas commodity derivatives. Asset Commodity derivatives Natural gas [Member] Assets commodity derivatives - Natural gas [Member] This element represents an asset related to crude oil commodity derivatives. Asset Commodity derivatives Crude oil [Member] Asset commodity derivatives - Crude oil [Member] This element represents a liability related to the Liquidity Option Agreement. Liability - Liquidity Option Agreement [Member] Liquidity Option Agreement [Member] The expected partnership growth rate (in hundredths), used as an input to measure fair value. Fair value inputs, partnership growth rate Fair value inputs, Estimated growth rates in Enterprise earnings before interest, taxes, depreciation and amortization (in hundredths) The forecasted yield on company units (in hundredths), used as an input to measure fair value. Fair value inputs, forecasted yield on units Fair value inputs, Forecasted yield on Enterprise common units (in hundredths) The expected interest rate on debt allocated post-option exercise, used as an input to measure fair value. Fair value inputs, interest rate on debt allocated post-option exercise Fair value inputs, Interest rate on assumed debt of OTA following option exercise The expected ownership interests in company (in hundredths), used as an input to measure fair value. Fair value inputs, ownership interest in Company Fair value inputs, OTA ownership interest in Enterprise common units (in hundredths) The federal and state tax rate (in hundredths), used as an input to measure fair value. Fair value inputs, federal and state tax rate Fair value inputs, federal and state tax rate (in hundredths) Additional option awards exercisable in year two following the date of the latest balance sheet presented in the financial statements, of the option awards outstanding as of the balance sheet date. Equity Awards Exercisable In Year Two Awards exercisable in 2015 (in units) Additional option awards exercisable in the next fiscal year following the date of the latest balance sheet presented in the financial statements, of the option awards outstanding as of the balance sheet date. Equity Awards Exercisable In Next Fiscal Year Awards exercisable in 2014 (in units) Reimbursement to private company affiliate for the cash difference between the strike price paid by the employee and the actual price paid for the units issued to the employee. Unit Option Reimbursements To Private Company Affiliate Unit option award-related cash reimbursements to EPCO The number of option awards that vested during the period. Option Awards Vested Option awards vested during period (in units) The cash received from private company affiliate in connection with the exercise of unit option awards. Unit Option Exercises Cash Received From Private Company Affiliate Cash received from EPCO in connection with the exercise of unit option awards The number of option awards that in next twelve months. Option Awards Vested, in Next Twelve Months Option awards vested in 2014 This element represents the portion of the balance sheet assertion valued at fair value by the entity whether such amount is presented as a separate caption or as a parenthetical disclosure. Additionally, this element may be used in connection with the fair value disclosures required in the footnote disclosures to the financial statements. This item represents the fair value of the principal balance of our fixed rate debt as of the balance sheet date. Fixed Rate Debt Principal Amount Fair Value Disclosure Weighted average number of limited partnership Class B units outstanding determined by relating the portion of time within a reporting period that limited partnership units have been outstanding to the total time in that period. Used in the calculation of diluted earnings per unit. Weighted Average Number of Shares, Class B Units Class B units (in units) Privately held units by an affiliate that temporarily waive the regular quarterly cash distributions it would otherwise receive. Incremental Common Shares Temporarily Waive Cash Distributions Designated Units (in units) Net income available to common unit holders, which excludes undistributed earnings allocated and distributions paid on phantom unit awards. Net income available to common unitholders Net income available to common unitholders Carrying value as of the balance sheet date of obligations incurred and payable to third parties for natural gas, NGLs and petrochemicals that has been sold but not delivered. For classified balance sheets, used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer); for unclassified balance sheets, used to reflect the total liabilities (regardless of due date). Accrued product payables Amount classified as noncontrolling interests attributable to disposal group held for sale or disposed of, expected to be disposed of within one year or the normal operating cycle, if longer. Disposal Group, Including Discontinued Operation, Noncontrolling Interests Noncontrolling interests in assets held for sale Noncontrolling interests in assets held for sale (See Note 6) Total of all Partners' Capital (deficit) items which is directly or indirectly attributable to that ownership interest in subsidiary equity which is not attributable to the parent (noncontrolling interest, minority interest). Excludes noncontrolling interests in assets held for sale. Noncontrolling Interests Held Excluding Disposal Group Noncontrolling interests held Amount of total assets attributed to the reportable segment. Segment assets Segment assets Amount of revenue from transactions with other operating segments of the same entity. Intersegment and intrasegment revenues Intersegment and intrasegment revenues Other equity method investments not related to any particular business segment. Other Equity Investments [Member] Other Investment [Member] Long-lived, physical assets, by name, that are used in the normal conduct of business to produce goods and services and not intended for resale. Property, Plant and Equipment by Name [Axis] The name of long-lived, physical assets that are used in the normal conduct of business to produce goods and services and not intended for resale. Property, Plant and Equipment, Name [Domain] Summary of depreciation expense and capitalized interest [Abstract] Long-lived depreciable assets used for offshore infrastructure including pipeline connection and natural gas and crude oil processing. Platforms and facilities [Member] Assets that are used for the delivery, receipt and storage of products for consumers. Terminal facilities [Member] Water wells drilled for access to groundwater. Water wells [Member] Laboratory and shop equipment used for operations at facilities. Laboratory and shop equipment [Member] Long-lived depreciable assets used to transport and process product for the consumer. Plants, pipelines and facilities [Member] Long-lived depreciable assets used to store product for the consumer. Underground and other storage facilities [Member] Forecasted Accretion Expense [Abstract] Forecasted accretion expense [Abstract] Estimate of accretion expense for second full fiscal year after end of current fiscal year. Accretion Expense Forecast Second Full Fiscal Year After End Of Current Fiscal Year 2016 Estimate of accretion expense for fifth full fiscal year after end of current fiscal year. Accretion Expense Forecast Fifth Full Fiscal Year After End Of Current Fiscal Year 2019 Estimate of accretion expense for fourth full fiscal year after end of current fiscal year. Accretion Expense Forecast Fourth Full Fiscal Year After End Of Current Fiscal Year 2018 Underground wells used for the storage of inventories or customer's goods. Underground storage facilities [Member] Estimate of accretion expense for third full fiscal year after end of current fiscal year. Accretion Expense Forecast Third Full Fiscal Year After End Of Current Fiscal Year 2017 Estimate of accretion expense for remainder of current fiscal year. Accretion Expense Forecast Remainder Of Current Fiscal Year Remainder of 2015 Haynesville Extension of the Acadian Gas System. Haynesville Extension [Member] Haynesville Extension [Member] Property, plant and equipment before reclassification to assets held for sale. Property, plant and equipment before reclassification of assets held to sale Subtotal property, plant and equipment, net Amount of asset retirement obligations related to assets sold during the period. Asset Retirement Obligation Related to Assets Sold AROs related to Offshore Business sold in July 2015 Represents the Matagorda Gathering System, which is located in Texas state waters. Matagorda Gathering System [Member] Tabular disclosure of depreciation expense and capitalized interest. Depreciation Expense And Capitalized Interest [Table Text Block] Depreciation Expense and Capitalized Interest The estimated net amount of unrealized gains or losses on price risk cash flow hedges as of the balance sheet date expected to be reclassified to earnings (revenue) within the next twelve months. Price Risk Cash Flow Hedge Unrealized Gain Loss To Be Reclassified During Next 12 Months, Revenue Accumulated other comprehensive income (loss) related to commodity derivative instruments expected to be reclassified to revenue over the next twelve months The estimated net amount of unrealized gains or losses on price risk cash flow hedges as of the balance sheet date expected to be reclassified to earnings (operating costs and expenses) within the next twelve months. Price Risk Cash Flow Hedge Unrealized Gain Loss To Be Reclassified During Next 12 Months, Operating Costs and Expenses Accumulated other comprehensive income (loss) related to commodity derivative instruments expected to be reclassified to operating costs and expenses over the next twelve months Total restricted unit change during the year due to the forfeiture or settlement of restricted unit awards. Partners Capital Account Units Forfeiture Or Settlement Of Restricted Units Forfeiture of restricted common unit awards (in units) Total common units issued in connection with the vesting of phantom unit awards. Partners Capital Account Units Phantom Unit Awardss Converted To Common Units Common units issued in connection with the vesting of phantom unit awards (in units) Other changes in units during the period. Partners Capital Account Other Units Changes Other (in units) The number of units sold in connection with at-the-market program of each class of partners' capital account. Units represent shares of ownership of the general, limited, and preferred partners. Partners Capital Account Units Sold In At the Market Program Common units issued in connection with at-the-market program (in units) Total change in restricted units and common units due to the vesting and subsequent conversion of restricted unit awards. Partners Capital Account Units Converted Restricted Units To Common Units Common units issued in connection with the vesting of restricted common unit awards (in units) Represents unrestricted common units. Common Units Unrestricted [Member] Common Units (Unrestricted) [Member] The total number of units sold in connection with our discount programs, the DRIP and EUPP. Partners Captial Account Units Sold in Discount Program Common units issued in connection with DRIP and EUPP (in units) The total number of units sold in connection with the Oiltanking acquisition. Partners Capital Account Units Issued in Connection with Oiltanking acuqisiont Common units issued in connection with Step 2 of Oiltanking acquisition (in units) A 2015 registration statement with the SEC authorizing the issuance of up to $1.92 billion in our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of our offerings. Registration ATM 2015 [Member] 2015 At-the-Market Registration [Member] Registration Statements and Equity Offerings [Table] Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table. Registration Statements and Equity Offerings [Line Items] 2010 Universal shelf registration statement filed with the SEC that allowed us to issue an unlimited amount of debt and equity securities. Shelf Registration 2010 [Member] A registration statement with the SEC authorizing the issuance of up to $1.0 billion in our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of our offerings. 2012 Registration [Member] 2012 At-the-Market Registration [Member] The dollar amount of limited partner units authorized to be issued in amounts, at prices and on terms to be determined by market conditions and other factors at the time of offerings. Limited Partners Capital Account Units Authorized Dollars Maximum common units authorized for issuance Under the employee unit purchase plan (EUPP), employees can purchase our common units at a 10% discount through payroll deductions. Employee Unit Purchase Plan [Member] The remaining number of limited partner units available for issuance, after taking into account limited partner units issued to date. The limited partners are partners of a publicly traded limited partnership or master limited partnership. Limited partners have limited liability and do not manage the partnership. Limited Partners Capital Account Remaining Units Available For Issuance Remaining units available for issuance (in units) The dollar value of the remaining amount of limited partner units available for issuance, after taking into account limited partner units issued to date. The limited partners are partners of a publicly traded limited partnership or master limited partnership. Limited partners have limited liability and do not manage the partnership. Limited Partners Capital Account Remaining Units Available For Issuance in dollars Remaining units available for issuance 2013 Universal shelf registration statement filed with the SEC that allowed us to issue an unlimited amount of debt and equity securities. Shelf Registration 2013 [Member] Gross proceeds from the sale of common units excluding any related fees. Gross proceeds from the sale of common units Step 2 of the acquisition of Oiltanking Partners L.P., which owns marine terminals located on the Houston Ship Channel and at the Port of Beaumont. Oiltanking Partners L.P. - Step 2 [Member] The number of common units exchanged for each common unit of the entity being acquired. Business Combination. Common units exchanged Common units exchanged for each Oiltanking unit (in units) Includes Steps 1 and 2 of Oiltanking Acquisition. Oiltanking Acquisition [Member] Distribution of third quarter 2015 earnings declared by the board of directors to be distributed to shareholders. Third Quarter 2015 Distribution [Member] Distribution of first quarter 2015 earnings declared by the board of directors to be distributed to shareholders. First Quarter 2015 Distribution [Member] Distribution of fourth quarter 2014 earnings declared by the board of directors to be distributed to shareholders. Fourth Quarter 2014 Distribution [Member] Distribution of first quarter 2014 earnings declared by the board of directors to be distributed to shareholders. First Quarter 2014 Distribution [Member] Distribution of second quarter 2014 earnings declared by the board of directors to be distributed to shareholders. Second Quarter 2014 Distribution [Member] Number of Designated Units expected to be excluded from distributions during the second calendar year following the latest calendar year. Number of Designated Units expected to be excluded from distributions during the second calendar year. Number of Designated Units to be excluded from distributions during 2015 (in units) Distribution of third quarter 2014 earnings declared by the board of directors to be distributed to shareholders. Third Quarter 2014 Distribution [Member] Distribution of second quarter 2015 earnings declared by the board of directors to be distributed to shareholders. Second Quarter 2015 Distribution [Member] Reclassification out of Accumulated Other Comprehensive Income [Abstract] Tabular disclosure of the cash distributions paid with respect to restricted common units and the total intrinsic value of restricted common units that vested during the periods indicated. Cash Distributions and Total Intrinsic Value of Restricted Common Units [Table Text Block] Cash Distributions and Total Intrinsic Value of Restricted Common Unit Awards Tabular disclosure of supplemental information related to phantom unit awards. Cash Distributions and Total Intrinsic Value of Phantom Unit Awards [Table Text Block] Cash Distributions and Total Intrinsic Value of Phantom Unit Awards Document and Entity Information [Abstract] Represents Panola Pipeline Company, LLC. Panola Pipeline Company, LLC [Member] Represents Anadarko Petroleum Corporation ("Anadarko"). Anadarko Petroleum Corporation [Member] Represents DCP Midstream Partners, LP ("DCP"). DCP Midstream Partners, LP [Member] Represents MarkWest Energy Partners, L.P. ("MarkWest"). MarkWest Energy Partners, L.P. [Member] The expected business terms (in years), used as an input to measure fair value. Fair value inputs, expected business term Fair value inputs, Expected life of OTA following option exercise (in years) Liquidity Option Agreement [Abstract] Amount related to the option to purchase 100% of the issued and outstanding capital stock of the acquired entity. Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Liquidity Option Liquidity Option Agreement Easement granted or reserved over the land for transportation purposes. Rights of way [Member] Other property, plant and equipment. Property, plant and equipment, Other [Member] Other property, plant and equipment [Member] Percent of intangible assets acquired in relation to total assets acquired. Intangible assets as a percent of total assets acquired Intangible assets as a percent of total assets acquired (in hundredths) Represents the net income contribution from assets acquired in a business combination for the period presented. Net income from acquired assets Represents the revenues contribution from assets acquired in a business combination for the period presented. Revenues from acquired assets The pro form net income (loss) attributable to noncontrolling interest for the period as if the business combination or combinations had been completed at the beginning of a period. Business Acquisition, Pro Forma Net Income (Loss) Attributable to Noncontrolling Interest Net income attributable to noncontrolling interests The pro forma profit (loss) for the period, net of income taxes, including the portion attributable to the noncontrolling interest, as if the business combination or combinations had been completed at the beginning of a period. Business Acquisition, Pro Forma Profit (Loss) Net income The pro forma costs and expenses for a period as if the business combination or combinations had been completed at the beginning of the period. Business Acquisitions, Pro Forma Costs and Expenses Costs and expenses The pro forma operating income (loss) for the period as if the business combination or combinations had been completed at the beginning of a period. Business Acquisitions, Pro Forma Operating Income (Loss) Operating income Represents the percentage of total segment assets. Percentage of segment assets Percentage of segment assets (in hundredths) Description, in aggregate or in detail, of the major classifications and carrying amounts of total assets sold, or to be sold, as part of the disposal group, including a component of the entity (discontinued operation). Description of Disposal Group Including Discontinued Operation Description of assets sold Net assets attributable to disposal group held for sale or disposed of, expected to be disposed of within one year or the normal operating cycle, if longer. Fair value of Offshore Business based on estimated transaction price Represents percentage of total gross operating margin. Percentage of gross operating margin Percentage of gross operating margin (in hundredths) Net assets before adjustments attributable to disposal group held for sale or disposed of, expected to be disposed of within one year or the normal operating cycle, if longer. Net assets of Offshore Business before impairment charge Amount classified as investments in unconsolidated affiliates, attributable to disposal group held for sale or disposed of, expected to be disposed of within one year or the normal operating cycle, if longer. Disposal Group, Including Discontinued Operation, Investments In Unconsolidated Affiliates, Current Investments in unconsolidated affiliates EX-101.PRE 14 epd-20150930_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE XML 15 R39.htm IDEA: XBRL DOCUMENT v3.3.0.814
Condensed Consolidating Financial Information (Tables)
9 Months Ended
Sep. 30, 2015
Condensed Consolidating Financial Information [Abstract]  
Condensed Consolidating Balance Sheet
Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Balance Sheet
September 30, 2015

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
ASSETS
 
  
  
  
  
  
  
 
Current assets:
 
  
  
  
  
  
  
 
Cash and cash equivalents and restricted cash
 
$
46.9
  
$
85.3
  
$
(5.5
)
 
$
126.7
  
$
--
  
$
--
  
$
126.7
 
Accounts receivable – trade, net
  
791.0
   
2,011.3
   
(0.3
)
  
2,802.0
   
--
   
--
   
2,802.0
 
Accounts receivable – related parties
  
123.1
   
780.8
   
(901.5
)
  
2.4
   
--
   
(0.7
)
  
1.7
 
Inventories
  
889.1
   
196.6
   
(0.3
)
  
1,085.4
   
--
   
--
   
1,085.4
 
Derivative assets
  
139.1
   
102.7
   
--
   
241.8
   
--
   
--
   
241.8
 
Prepaid and other current assets
  
164.7
   
247.7
   
(10.2
)
  
402.2
   
0.2
   
--
   
402.4
 
Total current assets
  
2,153.9
   
3,424.4
   
(917.8
)
  
4,660.5
   
0.2
   
(0.7
)
  
4,660.0
 
Property, plant and equipment, net
  
3,432.3
   
27,780.4
   
1.4
   
31,214.1
   
--
   
--
   
31,214.1
 
Investments in unconsolidated affiliates
  
38,310.0
   
4,094.7
   
(39,779.4
)
  
2,625.3
   
20,397.5
   
(20,397.5
)
  
2,625.3
 
Intangible assets, net
  
726.8
   
3,370.1
   
(14.8
)
  
4,082.1
   
--
   
--
   
4,082.1
 
Goodwill
  
459.1
   
5,290.1
   
--
   
5,749.2
   
--
   
--
   
5,749.2
 
Other assets
  
226.4
   
49.0
   
(78.8
)
  
196.6
   
0.5
   
--
   
197.1
 
Total assets
 
$
45,308.5
  
$
44,008.7
  
$
(40,789.4
)
 
$
48,527.8
  
$
20,398.2
  
$
(20,398.2
)
 
$
48,527.8
 
 
                            
LIABILITIES AND EQUITY
                            
Current liabilities:
                            
Current maturities of debt
 
$
1,619.3
  
$
0.1
  
$
--
  
$
1,619.4
  
$
--
  
$
--
  
$
1,619.4
 
Accounts payable – trade
  
331.4
   
519.0
   
(5.5
)
  
844.9
   
--
   
--
   
844.9
 
Accounts payable – related parties
  
866.7
   
130.1
   
(916.5
)
  
80.3
   
0.7
   
(0.7
)
  
80.3
 
Accrued product payables
  
938.0
   
1,611.2
   
(1.3
)
  
2,547.9
   
--
   
--
   
2,547.9
 
Accrued liability related to EFS Midstream acquisition
  
--
   
997.7
   
--
   
997.7
   
--
   
--
   
997.7
 
Accrued interest
  
198.6
   
0.3
   
--
   
198.9
   
--
   
--
   
198.9
 
Other current liabilities
  
174.3
   
425.1
   
(10.0
)
  
589.4
   
(0.1
)
  
0.5
   
589.8
 
Total current liabilities
  
4,128.3
   
3,683.5
   
(933.3
)
  
6,878.5
   
0.6
   
(0.2
)
  
6,878.9
 
Long-term debt
  
20,825.4
   
15.3
   
--
   
20,840.7
   
--
   
--
   
20,840.7
 
Deferred tax liabilities
  
3.2
   
47.4
   
(1.0
)
  
49.6
   
--
   
3.8
   
53.4
 
Other long-term liabilities
  
10.6
   
234.3
   
(78.5
)
  
166.4
   
235.5
   
--
   
401.9
 
Commitments and contingencies
                            
Equity:
                            
Partners’ and other owners’ equity
  
20,341.0
   
39,986.1
   
(39,954.0
)
  
20,373.1
   
20,162.1
   
(20,373.1
)
  
20,162.1
 
Noncontrolling interests
  
--
   
42.1
   
177.4
   
219.5
   
--
   
(28.7
)
  
190.8
 
Total equity
  
20,341.0
   
40,028.2
   
(39,776.6
)
  
20,592.6
   
20,162.1
   
(20,401.8
)
  
20,352.9
 
Total liabilities and equity
 
$
45,308.5
  
$
44,008.7
  
$
(40,789.4
)
 
$
48,527.8
  
$
20,398.2
  
$
(20,398.2
)
 
$
48,527.8
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Balance Sheet
December 31, 2014

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
ASSETS
 
  
  
  
  
  
  
 
Current assets:
 
  
  
  
  
  
  
 
Cash and cash equivalents and restricted cash
 
$
18.7
  
$
70.4
  
$
(14.7
)
 
$
74.4
  
$
--
  
$
--
  
$
74.4
 
Accounts receivable – trade, net
  
1,128.5
   
2,698.2
   
(3.7
)
  
3,823.0
   
--
   
--
   
3,823.0
 
Accounts receivable – related parties
  
158.8
   
1,114.6
   
(1,266.6
)
  
6.8
   
--
   
(4.0
)
  
2.8
 
Inventories
  
831.8
   
182.8
   
(0.4
)
  
1,014.2
   
--
   
--
   
1,014.2
 
Derivative assets
  
102.0
   
124.0
   
--
   
226.0
   
--
   
--
   
226.0
 
Prepaid and other current assets
  
435.7
   
222.3
   
(308.5
)
  
349.5
   
--
   
0.8
   
350.3
 
Total current assets
  
2,675.5
   
4,412.3
   
(1,593.9
)
  
5,493.9
   
--
   
(3.2
)
  
5,490.7
 
Property, plant and equipment, net
  
2,871.7
   
26,912.0
   
97.9
   
29,881.6
   
--
   
--
   
29,881.6
 
Investments in unconsolidated affiliates
  
36,937.5
   
3,556.4
   
(37,451.9
)
  
3,042.0
   
18,287.5
   
(18,287.5
)
  
3,042.0
 
Intangible assets, net
  
2,527.3
   
1,292.4
   
482.4
   
4,302.1
   
--
   
--
   
4,302.1
 
Goodwill
  
1,956.1
   
1,721.4
   
622.7
   
4,300.2
   
--
   
--
   
4,300.2
 
Other assets
  
139.3
   
45.8
   
(0.7
)
  
184.4
   
--
   
--
   
184.4
 
Total assets
 
$
47,107.4
  
$
37,940.3
  
$
(37,843.5
)
 
$
47,204.2
  
$
18,287.5
  
$
(18,290.7
)
 
$
47,201.0
 
 
                            
LIABILITIES AND EQUITY
                            
Current liabilities:
                            
Current maturities of debt
 
$
2,206.4
  
$
--
  
$
--
  
$
2,206.4
  
$
--
  
$
--
  
$
2,206.4
 
Accounts payable – trade
  
216.6
   
571.4
   
(14.8
)
  
773.2
   
0.6
   
--
   
773.8
 
Accounts payable – related parties
  
1,226.5
   
173.3
   
(1,280.9
)
  
118.9
   
4.0
   
(4.0
)
  
118.9
 
Accrued product payables
  
1,570.0
   
2,287.9
   
(4.6
)
  
3,853.3
   
--
   
--
   
3,853.3
 
Accrued interest
  
335.4
   
0.7
   
(0.6
)
  
335.5
   
--
   
--
   
335.5
 
Other current liabilities
  
130.8
   
763.7
   
(308.7
)
  
585.8
   
--
   
--
   
585.8
 
Total current liabilities
  
5,685.7
   
3,797.0
   
(1,609.6
)
  
7,873.1
   
4.6
   
(4.0
)
  
7,873.7
 
Long-term debt
  
19,142.5
   
14.9
   
--
   
19,157.4
   
--
   
--
   
19,157.4
 
Deferred tax liabilities
  
4.9
   
58.5
   
(0.9
)
  
62.5
   
--
   
4.1
   
66.6
 
Other long-term liabilities
  
10.9
   
180.8
   
(0.3
)
  
191.4
   
219.7
   
--
   
411.1
 
Commitments and contingencies
                            
Equity:
                            
Partners’ and other owners’ equity
  
22,263.4
   
33,820.9
   
(37,820.6
)
  
18,263.7
   
18,063.2
   
(18,263.7
)
  
18,063.2
 
Noncontrolling interests
  
--
   
68.2
   
1,587.9
   
1,656.1
   
--
   
(27.1
)
  
1,629.0
 
Total equity
  
22,263.4
   
33,889.1
   
(36,232.7
)
  
19,919.8
   
18,063.2
   
(18,290.8
)
  
19,692.2
 
Total liabilities and equity
 
$
47,107.4
  
$
37,940.3
  
$
(37,843.5
)
 
$
47,204.2
  
$
18,287.5
  
$
(18,290.7
)
 
$
47,201.0
 

Condensed Consolidating Statement of Operations

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Three Months Ended September 30, 2015

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Revenues
 
$
4,685.2
  
$
4,531.1
  
$
(2,908.4
)
 
$
6,307.9
  
$
--
  
$
--
  
$
6,307.9
 
Costs and expenses:
                            
Operating costs and expenses
  
4,506.7
   
3,854.5
   
(2,908.6
)
  
5,452.6
   
--
   
--
   
5,452.6
 
General and administrative costs
  
11.1
   
38.3
   
--
   
49.4
   
(0.4
)
  
--
   
49.0
 
Total costs and expenses
  
4,517.8
   
3,892.8
   
(2,908.6
)
  
5,502.0
   
(0.4
)
  
--
   
5,501.6
 
Equity in income of unconsolidated affiliates
  
725.5
   
116.5
   
(738.9
)
  
103.1
   
653.2
   
(653.2
)
  
103.1
 
Operating income
  
892.9
   
754.8
   
(738.7
)
  
909.0
   
653.6
   
(653.2
)
  
909.4
 
Other income (expense):
                            
Interest expense
  
(239.5
)
  
(4.2
)
  
--
   
(243.7
)
  
--
   
--
   
(243.7
)
Other, net
  
1.7
   
0.1
   
--
   
1.8
   
(4.3
)
  
--
   
(2.5
)
Total other expense, net
  
(237.8
)
  
(4.1
)
  
--
   
(241.9
)
  
(4.3
)
  
--
   
(246.2
)
Income before income taxes
  
655.1
   
750.7
   
(738.7
)
  
667.1
   
649.3
   
(653.2
)
  
663.2
 
Provision for income taxes
  
(3.3
)
  
(2.2
)
  
--
   
(5.5
)
  
--
   
--
   
(5.5
)
Net income
  
651.8
   
748.5
   
(738.7
)
  
661.6
   
649.3
   
(653.2
)
  
657.7
 
Net loss (income) attributable to noncontrolling interests
  
--
   
--
   
(9.7
)
  
(9.7
)
  
--
   
1.3
   
(8.4
)
Net income attributable to entity
 
$
651.8
  
$
748.5
  
$
(748.4
)
 
$
651.9
  
$
649.3
  
$
(651.9
)
 
$
649.3
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Three Months Ended September 30, 2014

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Revenues
 
$
8,121.5
  
$
8,598.2
  
$
(4,389.5
)
 
$
12,330.2
  
$
--
  
$
--
  
$
12,330.2
 
Costs and expenses:
                            
Operating costs and expenses
  
7,950.9
   
7,853.5
   
(4,389.6
)
  
11,414.8
   
--
   
--
   
11,414.8
 
General and administrative costs
  
8.2
   
40.4
   
--
   
48.6
   
1.4
   
--
   
50.0
 
Total costs and expenses
  
7,959.1
   
7,893.9
   
(4,389.6
)
  
11,463.4
   
1.4
   
--
   
11,464.8
 
Equity in income of unconsolidated affiliates
  
762.5
   
94.4
   
(784.6
)
  
72.3
   
692.5
   
(692.5
)
  
72.3
 
Operating income
  
924.9
   
798.7
   
(784.5
)
  
939.1
   
691.1
   
(692.5
)
  
937.7
 
Other income (expense):
                            
Interest expense
  
(229.2
)
  
(0.6
)
  
--
   
(229.8
)
  
--
   
--
   
(229.8
)
Other, net
  
0.2
   
(1.2
)
  
--
   
(1.0
)
  
--
   
--
   
(1.0
)
Total other expense, net
  
(229.0
)
  
(1.8
)
  
--
   
(230.8
)
  
--
   
--
   
(230.8
)
Income before income taxes
  
695.9
   
796.9
   
(784.5
)
  
708.3
   
691.1
   
(692.5
)
  
706.9
 
Provision for income taxes
  
(4.0
)
  
(2.8
)
  
--
   
(6.8
)
  
--
   
(0.9
)
  
(7.7
)
Net income
  
691.9
   
794.1
   
(784.5
)
  
701.5
   
691.1
   
(693.4
)
  
699.2
 
Net income attributable to noncontrolling interests
  
--
   
0.1
   
(9.5
)
  
(9.4
)
  
--
   
1.3
   
(8.1
)
Net income attributable to entity
 
$
691.9
  
$
794.2
  
$
(794.0
)
 
$
692.1
  
$
691.1
  
$
(692.1
)
 
$
691.1
 
 

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Nine Months Ended September 30, 2015

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Revenues
 
$
15,301.0
  
$
14,751.0
  
$
(9,179.1
)
 
$
20,872.9
  
$
--
  
$
--
  
$
20,872.9
 
Costs and expenses:
                            
Operating costs and expenses
  
14,696.2
   
12,909.8
   
(9,179.5
)
  
18,426.5
   
--
   
--
   
18,426.5
 
General and administrative costs
  
28.9
   
113.9
   
--
   
142.8
   
0.4
   
--
   
143.2
 
Total costs and expenses
  
14,725.1
   
13,023.7
   
(9,179.5
)
  
18,569.3
   
0.4
   
--
   
18,569.7
 
Equity in income of unconsolidated affiliates
  
1,996.4
   
314.5
   
(2,008.4
)
  
302.5
   
1,852.6
   
(1,852.6
)
  
302.5
 
Operating income
  
2,572.3
   
2,041.8
   
(2,008.0
)
  
2,606.1
   
1,852.2
   
(1,852.6
)
  
2,605.7
 
Other income (expense):
                            
Interest expense
  
(717.9
)
  
(7.3
)
  
2.0
   
(723.2
)
  
--
   
--
   
(723.2
)
Other, net
  
4.0
   
0.6
   
(2.0
)
  
2.6
   
(15.8
)
  
--
   
(13.2
)
Total other expense, net
  
(713.9
)
  
(6.7
)
  
--
   
(720.6
)
  
(15.8
)
  
--
   
(736.4
)
Income before income taxes
  
1,858.4
   
2,035.1
   
(2,008.0
)
  
1,885.5
   
1,836.4
   
(1,852.6
)
  
1,869.3
 
Benefit from (provision for) income taxes
  
(8.9
)
  
5.4
   
--
   
(3.5
)
  
--
   
(0.9
)
  
(4.4
)
Net income
  
1,849.5
   
2,040.5
   
(2,008.0
)
  
1,882.0
   
1,836.4
   
(1,853.5
)
  
1,864.9
 
Net loss (income) attributable to noncontrolling interests
  
--
   
0.8
   
(32.9
)
  
(32.1
)
  
--
   
3.6
   
(28.5
)
Net income attributable to entity
 
$
1,849.5
  
$
2,041.3
  
$
(2,040.9
)
 
$
1,849.9
  
$
1,836.4
  
$
(1,849.9
)
 
$
1,836.4
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Operations
For the Nine Months Ended September 30, 2014

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Revenues
 
$
25,190.1
  
$
25,859.9
  
$
(13,289.1
)
 
$
37,760.9
  
$
--
  
$
--
  
$
37,760.9
 
Costs and expenses:
                            
Operating costs and expenses
  
24,516.6
   
23,707.6
   
(13,289.8
)
  
34,934.4
   
--
   
--
   
34,934.4
 
General and administrative costs
  
23.1
   
126.0
   
--
   
149.1
   
1.8
   
--
   
150.9
 
Total costs and expenses
  
24,539.7
   
23,833.6
   
(13,289.8
)
  
35,083.5
   
1.8
   
--
   
35,085.3
 
Equity in income of unconsolidated affiliates
  
2,169.5
   
256.1
   
(2,246.5
)
  
179.1
   
2,129.4
   
(2,129.4
)
  
179.1
 
Operating income
  
2,819.9
   
2,282.4
   
(2,245.8
)
  
2,856.5
   
2,127.6
   
(2,129.4
)
  
2,854.7
 
Other income (expense):
                            
Interest expense
  
(678.6
)
  
(1.0
)
  
--
   
(679.6
)
  
--
   
--
   
(679.6
)
Other, net
  
0.7
   
(0.9
)
  
--
   
(0.2
)
  
--
   
--
   
(0.2
)
Total other expense, net
  
(677.9
)
  
(1.9
)
  
--
   
(679.8
)
  
--
   
--
   
(679.8
)
Income before income taxes
  
2,142.0
   
2,280.5
   
(2,245.8
)
  
2,176.7
   
2,127.6
   
(2,129.4
)
  
2,174.9
 
Provision for income taxes
  
(15.5
)
  
(5.8
)
  
0.2
   
(21.1
)
  
--
   
(1.4
)
  
(22.5
)
Net income
  
2,126.5
   
2,274.7
   
(2,245.6
)
  
2,155.6
   
2,127.6
   
(2,130.8
)
  
2,152.4
 
Net income attributable to noncontrolling interests
  
--
   
0.2
   
(28.8
)
  
(28.6
)
  
--
   
3.8
   
(24.8
)
Net income attributable to entity
 
$
2,126.5
  
$
2,274.9
  
$
(2,274.4
)
 
$
2,127.0
  
$
2,127.6
  
$
(2,127.0
)
 
$
2,127.6
 

Condensed Consolidating Statement of Comprehensive Income

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended September 30, 2015

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Comprehensive income
 
$
676.0
  
$
797.3
  
$
(763.9
)
 
$
709.4
  
$
697.2
  
$
(701.0
)
 
$
705.6
 
Comprehensive loss (income) attributable to noncontrolling interests
  
--
   
--
   
(9.7
)
  
(9.7
)
  
--
   
1.3
   
(8.4
)
Comprehensive income attributable to entity
 
$
676.0
  
$
797.3
  
$
(773.6
)
 
$
699.7
  
$
697.2
  
$
(699.7
)
 
$
697.2
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Three Months Ended September 30, 2014

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Comprehensive income
 
$
708.9
  
$
825.2
  
$
(784.5
)
 
$
749.6
  
$
739.2
  
$
(741.5
)
 
$
747.3
 
Comprehensive loss (income) attributable to noncontrolling interests
  
--
   
0.1
   
(9.5
)
  
(9.4
)
  
--
   
1.3
   
(8.1
)
Comprehensive income attributable to entity
 
$
708.9
  
$
825.3
  
$
(794.0
)
 
$
740.2
  
$
739.2
  
$
(740.2
)
 
$
739.2
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Nine Months Ended September 30, 2015

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Comprehensive income
 
$
1,869.9
  
$
2,056.1
  
$
(2,033.2
)
 
$
1,892.8
  
$
1,847.3
  
$
(1,864.3
)
 
$
1,875.8
 
Comprehensive loss (income) attributable to noncontrolling interests
  
--
   
0.8
   
(32.9
)
  
(32.1
)
  
--
   
3.6
   
(28.5
)
Comprehensive income attributable to entity
 
$
1,869.9
  
$
2,056.9
  
$
(2,066.1
)
 
$
1,860.7
  
$
1,847.3
  
$
(1,860.7
)
 
$
1,847.3
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Comprehensive Income
For the Nine Months Ended September 30, 2014

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Comprehensive income
 
$
2,161.8
  
$
2,292.2
  
$
(2,245.5
)
 
$
2,208.5
  
$
2,180.5
  
$
(2,183.7
)
 
$
2,205.3
 
Comprehensive loss (income) attributable to noncontrolling interests
  
--
   
0.2
   
(28.8
)
  
(28.6
)
  
--
   
3.8
   
(24.8
)
Comprehensive income attributable to entity
 
$
2,161.8
  
$
2,292.4
  
$
(2,274.3
)
 
$
2,179.9
  
$
2,180.5
  
$
(2,179.9
)
 
$
2,180.5
 

Condensed Consolidating Statement of Cash Flows

Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Cash Flows
For the Nine Months Ended September 30, 2015

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Operating activities:
 
  
  
  
  
  
  
 
Net income
 
$
1,849.5
  
$
2,040.5
  
$
(2,008.0
)
 
$
1,882.0
  
$
1,836.4
  
$
(1,853.5
)
 
$
1,864.9
 
Reconciliation of net income to net cash flows provided by operating activities:
                            
Depreciation, amortization and accretion
  
106.0
   
1,042.1
   
(0.4
)
  
1,147.7
   
--
   
--
   
1,147.7
 
Equity in income of unconsolidated affiliates
  
(1,996.4
)
  
(314.5
)
  
2,008.4
   
(302.5
)
  
(1,852.6
)
  
1,852.6
   
(302.5
)
Distributions received from unconsolidated affiliates
  
1,705.4
   
227.1
   
(1,570.1
)
  
362.4
   
2,241.1
   
(2,241.1
)
  
362.4
 
Net effect of changes in operating accounts and other operating activities
  
(52.9
)
  
(450.6
)
  
9.3
   
(494.2
)
  
12.0
   
0.9
   
(481.3
)
Net cash flows provided by operating activities
  
1,611.6
   
2,544.6
   
(1,560.8
)
  
2,595.4
   
2,236.9
   
(2,241.1
)
  
2,591.2
 
Investing activities:
                            
Capital expenditures, net of contributions in aid of construction costs
  
(725.5
)
  
(1,893.6
)
  
--
   
(2,619.1
)
  
--
   
--
   
(2,619.1
)
Cash used for business combinations, net of cash received
  
(1,058.4
)
  
13.3
   
--
   
(1,045.1
)
  
--
   
--
   
(1,045.1
)
Proceeds from asset sales and insurance recoveries
  
1,532.1
   
5.2
   
--
   
1,537.3
   
--
   
--
   
1,537.3
 
Other investing activities
  
(1,091.2
)
  
(43.5
)
  
953.4
   
(181.3
)
  
(1,005.2
)
  
1,005.2
   
(181.3
)
Cash used in investing activities
  
(1,343.0
)
  
(1,918.6
)
  
953.4
   
(2,308.2
)
  
(1,005.2
)
  
1,005.2
   
(2,308.2
)
Financing activities:
                            
Borrowings under debt agreements
  
17,113.7
   
77.9
   
(77.9
)
  
17,113.7
   
--
   
--
   
17,113.7
 
Repayments of debt
  
(16,139.2
)
  
--
   
--
   
(16,139.2
)
  
--
   
--
   
(16,139.2
)
Cash distributions paid to partners
  
(2,241.1
)
  
(1,602.4
)
  
1,602.4
   
(2,241.1
)
  
(2,185.1
)
  
2,241.1
   
(2,185.1
)
Cash payments made in connection with DERs
  
--
   
--
   
--
   
--
   
(5.6
)
  
--
   
(5.6
)
Cash distributions paid to noncontrolling interests
  
--
   
(0.8
)
  
(32.4
)
  
(33.2
)
  
--
   
--
   
(33.2
)
Cash contributions from noncontrolling interests
  
--
   
37.8
   
(0.4
)
  
37.4
   
--
   
--
   
37.4
 
Net cash proceeds from issuance of common units
  
--
   
--
   
--
   
--
   
1,011.4
   
--
   
1,011.4
 
Cash contributions from owners
  
1,005.2
   
875.1
   
(875.1
)
  
1,005.2
   
--
   
(1,005.2
)
  
--
 
Other financing activities
  
(23.9
)
  
--
   
--
   
(23.9
)
  
(52.4
)
  
--
   
(76.3
)
Cash used in financing activities
  
(285.3
)
  
(612.4
)
  
616.6
   
(281.1
)
  
(1,231.7
)
  
1,235.9
   
(276.9
)
Net change in cash and cash equivalents
  
(16.7
)
  
13.6
   
9.2
   
6.1
   
--
   
--
   
6.1
 
Cash and cash equivalents, January 1
  
18.7
   
70.4
   
(14.7
)
  
74.4
   
--
   
--
   
74.4
 
Cash and cash equivalents, September 30
 
$
2.0
  
$
84.0
  
$
(5.5
)
 
$
80.5
  
$
--
  
$
--
  
$
80.5
 


Enterprise Products Partners L.P.
Unaudited Condensed Consolidating Statement of Cash Flows
For the Nine Months Ended September 30, 2014

 
 
EPO and Subsidiaries
  
  
  
 
 
 
Subsidiary
Issuer
(EPO)
  
Other
Subsidiaries
(Non-
guarantor)
  
EPO and
Subsidiaries
Eliminations
and
Adjustments
  
Consolidated
EPO and
Subsidiaries
  
Enterprise
Products
Partners
L.P.
(Guarantor)
  
Eliminations
and
Adjustments
  
Consolidated
Total
 
Operating activities:
 
  
  
  
  
  
  
 
Net income
 
$
2,126.5
  
$
2,274.7
  
$
(2,245.6
)
 
$
2,155.6
  
$
2,127.6
  
$
(2,130.8
)
 
$
2,152.4
 
Reconciliation of net income to net cash flows provided by operating activities:
                            
Depreciation, amortization and accretion
  
114.3
   
878.5
   
(0.4
)
  
992.4
   
--
   
--
   
992.4
 
Equity in income of unconsolidated affiliates
  
(2,169.5
)
  
(256.1
)
  
2,246.5
   
(179.1
)
  
(2,129.4
)
  
2,129.4
   
(179.1
)
Distributions received from unconsolidated affiliates
  
3,475.8
   
229.0
   
(3,444.1
)
  
260.7
   
2,007.4
   
(2,007.4
)
  
260.7
 
Net effect of changes in operating accounts and other operating activities
  
(764.6
)
  
230.1
   
16.7
   
(517.8
)
  
(5.6
)
  
1.4
   
(522.0
)
Net cash flows provided by operating activities
  
2,782.5
   
3,356.2
   
(3,426.9
)
  
2,711.8
   
2,000.0
   
(2,007.4
)
  
2,704.4
 
Investing activities:
                            
Capital expenditures, net of contributions in aid of construction costs
  
(329.1
)
  
(1,530.4
)
  
--
   
(1,859.5
)
  
--
   
--
   
(1,859.5
)
Proceeds from asset sales and insurance recoveries
  
4.2
   
117.3
   
--
   
121.5
   
--
   
--
   
121.5
 
Other investing activities
  
(2,059.3
)
  
(526.9
)
  
2,056.1
   
(530.1
)
  
(300.7
)
  
300.7
   
(530.1
)
Cash used in investing activities
  
(2,384.2
)
  
(1,940.0
)
  
2,056.1
   
(2,268.1
)
  
(300.7
)
  
300.7
   
(2,268.1
)
Financing activities:
                            
Borrowings under debt agreements
  
7,167.5
   
--
   
--
   
7,167.5
   
--
   
--
   
7,167.5
 
Repayments of debt
  
(4,856.3
)
  
--
   
--
   
(4,856.3
)
  
--
   
--
   
(4,856.3
)
Cash distributions paid to partners
  
(2,007.4
)
  
(3,473.6
)
  
3,473.6
   
(2,007.4
)
  
(1,948.2
)
  
2,007.4
   
(1,948.2
)
Cash payments made in connection with DERs
  
--
   
--
   
--
   
--
   
(2.4
)
  
--
   
(2.4
)
Cash distributions paid to noncontrolling interests
  
--
   
--
   
(29.4
)
  
(29.4
)
  
--
   
--
   
(29.4
)
Cash contributions from noncontrolling interests
  
--
   
--
   
4.0
   
4.0
   
--
   
--
   
4.0
 
Net cash proceeds from issuance of common units
  
--
   
--
   
--
   
--
   
304.9
   
--
   
304.9
 
Cash contributions from owners
  
300.7
   
2,060.0
   
(2,060.0
)
  
300.7
   
--
   
(300.7
)
  
--
 
Other financing activities
  
(18.1
)
  
--
   
--
   
(18.1
)
  
(53.6
)
  
--
   
(71.7
)
Cash provided by (used in) financing activities
  
586.4
   
(1,413.6
)
  
1,388.2
   
561.0
   
(1,699.3
)
  
1,706.7
   
568.4
 
Net change in cash and cash equivalents
  
984.7
   
2.6
   
17.4
   
1,004.7
   
--
   
--
   
1,004.7
 
Cash and cash equivalents, January 1
  
28.4
   
49.5
   
(21.0
)
  
56.9
   
--
   
--
   
56.9
 
Cash and cash equivalents, September 30
 
$
1,013.1
  
$
52.1
  
$
(3.6
)
 
$
1,061.6
  
$
--
  
$
--
  
$
1,061.6
 

XML 16 R54.htm IDEA: XBRL DOCUMENT v3.3.0.814
Derivative Instruments, Hedging Activities and Fair Value Measurements, Other Fair Value Measurements (Details) - USD ($)
$ in Millions
Sep. 30, 2015
Dec. 31, 2014
Carrying Value [Member]    
Financial Liabilities: [Abstract]    
Fixed Rate Debt Principal Amount Fair Value Disclosure $ 20,880 $ 20,480
Level 2 [Member] | Fair Value [Member]    
Financial Liabilities: [Abstract]    
Fixed Rate Debt Principal Amount Fair Value Disclosure $ 20,770 $ 22,160
XML 17 R48.htm IDEA: XBRL DOCUMENT v3.3.0.814
Derivative Instruments, Hedging Activities and Fair Value Measurements, Asset Balance Sheet Offsetting (Details) - USD ($)
$ in Millions
Sep. 30, 2015
Dec. 31, 2014
Interest rate derivatives [Member]    
Offsetting Assets [Line Items]    
Gross Amounts of Recognized Assets $ 7.6  
Gross Amounts Offset in the Balance Sheet 0.0  
Amounts of Assets Presented in the Balance Sheet 7.6  
Financial Instruments 0.0  
Cash Collateral Received 0.0  
Cash Collateral Paid 0.0  
Amounts That Would Have Been Presented On Net Basis 7.6  
Commodity derivatives [Member]    
Offsetting Assets [Line Items]    
Gross Amounts of Recognized Assets 242.8 $ 226.6
Gross Amounts Offset in the Balance Sheet 0.0 0.0
Amounts of Assets Presented in the Balance Sheet 242.8 226.6
Financial Instruments (180.3) (147.3)
Cash Collateral Received (38.2) (23.9)
Cash Collateral Paid (9.6) 0.0
Amounts That Would Have Been Presented On Net Basis $ 14.7 $ 55.4
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Equity and Distributions, Distributions (Details) - $ / shares
9 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Distributions to Partners [Abstract]    
Number of Designated Units to be excluded from distributions during 2015 (in units) 35,380,000  
Cash Distribution [Member] | First Quarter 2014 Distribution [Member]    
Distributions to Partners [Abstract]    
Distribution Per Common Unit (in dollars per unit)   $ 0.3550
Record Date   Apr. 30, 2014
Payment Date   May 07, 2014
Cash Distribution [Member] | Second Quarter 2014 Distribution [Member]    
Distributions to Partners [Abstract]    
Distribution Per Common Unit (in dollars per unit)   $ 0.3600
Record Date   Jul. 31, 2014
Payment Date   Aug. 07, 2014
Cash Distribution [Member] | Third Quarter 2014 Distribution [Member]    
Distributions to Partners [Abstract]    
Distribution Per Common Unit (in dollars per unit)   $ 0.3650
Record Date   Oct. 31, 2014
Payment Date   Nov. 07, 2014
Cash Distribution [Member] | First Quarter 2015 Distribution [Member]    
Distributions to Partners [Abstract]    
Distribution Per Common Unit (in dollars per unit) $ 0.3750  
Record Date Apr. 30, 2015  
Payment Date May 07, 2015  
Cash Distribution [Member] | Second Quarter 2015 Distribution [Member]    
Distributions to Partners [Abstract]    
Distribution Per Common Unit (in dollars per unit) $ 0.3800  
Record Date Jul. 31, 2015  
Payment Date Aug. 07, 2015  
Cash Distribution [Member] | Third Quarter 2015 Distribution [Member]    
Distributions to Partners [Abstract]    
Distribution Per Common Unit (in dollars per unit) $ 0.3850  
Record Date Oct. 30, 2015  
Payment Date Nov. 06, 2015  

XML 20 R55.htm IDEA: XBRL DOCUMENT v3.3.0.814
Inventories (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Sep. 30, 2015
Sep. 30, 2014
Dec. 31, 2014
Available-for-Sale Inventory by Product Type [Abstract]          
NGLs $ 740.5   $ 740.5   $ 579.1
Petrochemicals and refined products 158.0   158.0   295.6
Crude oil 152.2   152.2   97.8
Natural gas 34.7   34.7   41.7
Total 1,085.4   1,085.4   $ 1,014.2
Summary of cost of sales and lower of cost or market adjustments [Abstract]          
Cost of sales [1] 4,419.9 $ 10,455.1 15,355.9 $ 32,213.1  
Lower of cost or market adjustments $ 2.1 $ 6.7 $ 6.1 $ 14.6  
[1] Cost of sales is a component of "Operating costs and expenses" as presented on our Unaudited Condensed Statements of Consolidated Operations. Fluctuations in these amounts are primarily due to changes in energy commodity prices and sales volumes associated with our marketing activities.
XML 21 R78.htm IDEA: XBRL DOCUMENT v3.3.0.814
Supplemental Cash Flow Information (Details) - USD ($)
$ in Millions
9 Months Ended 12 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Dec. 31, 2014
Decrease (increase) in:      
Accounts receivable - trade $ 1,042.5 $ 153.6  
Accounts receivable - related parties 1.2 4.0  
Inventories (143.2) (536.9)  
Prepaid and other current assets (32.7) (44.5)  
Other assets 2.1 20.0  
Increase (decrease) in:      
Accounts payable - trade (72.7) (14.2)  
Accounts payable - related parties (38.6) (27.7)  
Accrued product payables (1,248.4) (13.1)  
Accrued interest (136.7) (131.7)  
Other current liabilities (13.8) 143.5  
Other liabilities 12.4 11.2  
Net effect of changes in operating accounts (627.9) (435.8)  
Liability for construction in progress expenditures 495.1   $ 372.8
Accrued liability related to EFS Midstream acquisition (see Note 8) 997.7   $ 0.0
Significant Disposals [Line Items]      
Proceeds from asset sales and insurance recoveries 1,537.3 121.5  
Net gains (losses) attributable to asset sales and insurance recoveries (14.7) 99.0  
West Storage Facilities [Member]      
Significant Disposals [Line Items]      
Proceeds from asset sales and insurance recoveries 0.0 95.0  
Net gains (losses) attributable to asset sales and insurance recoveries 0.0 95.0  
Offshore Business [Member]      
Significant Disposals [Line Items]      
Proceeds from asset sales and insurance recoveries 1,528.6 0.0  
Net gains (losses) attributable to asset sales and insurance recoveries (12.6) 0.0  
Other Disposal of Assets [Member]      
Significant Disposals [Line Items]      
Proceeds from asset sales and insurance recoveries 8.7 26.5  
Net gains (losses) attributable to asset sales and insurance recoveries $ (2.1) $ 4.0  
XML 22 R46.htm IDEA: XBRL DOCUMENT v3.3.0.814
Derivative Instruments, Hedging Activities and Fair Value Measurements (Details)
bbl in Millions, $ in Millions, ft³ in Billions
9 Months Ended
Sep. 30, 2015
USD ($)
Contract
bbl
ft³
Interest rate derivatives [Member] | Derivatives in fair value hedging relationships [Member] | EPO Senior Notes OO [Member]  
Derivative [Line Items]  
Number of Derivatives Outstanding | Contract 10
Type of Derivatives Outstanding fixed-to-floating swaps
Notional Amount | $ $ 750.0
Period of Hedge 5/2015 to 5/2018
Rate Swap, fixed rate (in hundredths) 1.65%
Rate Swap, floating rate (in hundredths) 0.79%
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Natural gas processing: Forecasted natural gas purchases for plant thermal reduction (PTR) [Member]  
Derivative [Line Items]  
Current Volume | ft³ 4.9 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Natural gas processing: Forecasted sales of NGLs [Member]  
Derivative [Line Items]  
Current Volume 1.1 [1],[2],[3]
Forecasted NGL sales designated as normal sales agreements 0.7
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Octane enhancement: Forecasted purchases of NGLs [Member]  
Derivative [Line Items]  
Current Volume 0.1 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Octane enhancement: Forecasted sales of octane enhancement products [Member]  
Derivative [Line Items]  
Current Volume 0.5 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Natural gas marketing: Forecasted purchases of natural gas for fuel [Member]  
Derivative [Line Items]  
Current Volume | ft³ 6.4 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Natural gas marketing: Forecasted sales of natural gas [Member]  
Derivative [Line Items]  
Current Volume | ft³ 0.1 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | NGL marketing: Forecasted purchases of NGLs and related hydrocarbon products [Member]  
Derivative [Line Items]  
Current Volume 34.6 [1],[2]
Long Term Volume 0.5 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | NGL marketing: Forecasted sales of NGLs and related hydrocarbon products [Member]  
Derivative [Line Items]  
Current Volume 49.8 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Refined products marketing: Forecasted purchases of refined products [Member]  
Derivative [Line Items]  
Current Volume 0.4 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Refined products marketing: Forecasted sales of refined products [Member]  
Derivative [Line Items]  
Current Volume 0.7 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Crude oil marketing: Forecasted purchases of crude oil [Member]  
Derivative [Line Items]  
Current Volume 9.0 [1],[2]
Long Term Volume 1.6 [1],[2]
Commodity derivatives [Member] | Derivatives in cash flow hedging relationships [Member] | Crude oil marketing: Forecasted sales of crude oil [Member]  
Derivative [Line Items]  
Current Volume 11.9 [1],[2]
Long Term Volume 1.6 [1],[2]
Commodity derivatives [Member] | Derivatives in fair value hedging relationships [Member] | Natural gas marketing: Natural gas storage inventory management activities [Member]  
Derivative [Line Items]  
Current Volume | ft³ 10.2 [1],[2]
Commodity derivatives [Member] | Derivatives in fair value hedging relationships [Member] | Refined products marketing: Refined products inventory management activities [Member]  
Derivative [Line Items]  
Current Volume 0.2 [1],[2]
Commodity derivatives [Member] | Derivatives in mark-to-market relationships [Member] | Natural gas risk management activities [Member]  
Derivative [Line Items]  
Current Volume | ft³ 65.9 [1],[2],[4],[5]
Long Term Volume | ft³ 9.6 [1],[2],[4],[5]
Current natural gas hedging volumes designated as an index plus or minus a discount | ft³ 38.7
Long-term natural gas hedging volumes designated as an index plus or minus a discount | ft³ 0.9
Commodity derivatives [Member] | Derivatives in mark-to-market relationships [Member] | NGL risk management activities [Member]  
Derivative [Line Items]  
Current Volume 14.9 [1],[2],[5]
Commodity derivatives [Member] | Derivatives in mark-to-market relationships [Member] | Crude oil risk management activities [Member]  
Derivative [Line Items]  
Current Volume 5.8 [1],[2],[5]
Long Term Volume 0.4 [1],[2],[5]
[1] The maximum term for derivatives designated as cash flow hedges, derivatives designated as fair value hedges and derivatives not designated as hedging instruments is December 2017, April 2016 and March 2018, respectively.
[2] Volume for derivatives designated as hedging instruments reflects the total amount of volumes hedged whereas volume for derivatives not designated as hedging instruments reflects the absolute value of derivative notional volumes.
[3] Forecasted sales of NGL volumes under natural gas processing exclude 0.7 MMBbls of additional hedges executed under contracts that have been designated as normal sales agreements.
[4] Current and long-term volumes include 38.7 Bcf and 0.9 Bcf, respectively, of physical derivative instruments that are predominantly priced at a marked-based index plus a premium or minus a discount related to location differences.
[5] Reflects the use of derivative instruments to manage risks associated with transportation, processing and storage assets.
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Debt Obligations (Tables)
9 Months Ended
Sep. 30, 2015
Debt Obligations [Abstract]  
Consolidated Debt Obligations
The following table presents our consolidated debt obligations (arranged by company and maturity date) at the dates indicated:

 
 
September 30,
2015
  
December 31,
2014
 
EPO senior debt obligations:
 
  
 
Commercial Paper Notes, variable-rates
 
$
869.5
  
$
906.5
 
Senior Notes I, 5.00% fixed-rate, due March 2015
  
--
   
250.0
 
Senior Notes X, 3.70% fixed-rate, due June 2015
  
--
   
400.0
 
Senior Notes FF, 1.25% fixed-rate, due August 2015
  
--
   
650.0
 
Senior Notes AA, 3.20% fixed-rate, due February 2016
  
750.0
   
750.0
 
364-Day Credit Agreement, variable-rate, due September 2016
  
--
   
--
 
Senior Notes L, 6.30% fixed-rate, due September 2017
  
800.0
   
800.0
 
Senior Notes V, 6.65% fixed-rate, due April 2018
  
349.7
   
349.7
 
Senior Notes OO, 1.65% fixed-rate, due May 2018
  
750.0
   
--
 
Senior Notes N, 6.50% fixed-rate, due January 2019
  
700.0
   
700.0
 
Senior Notes LL, 2.55% fixed-rate, due October 2019
  
800.0
   
800.0
 
Senior Notes Q, 5.25% fixed-rate, due January 2020
  
500.0
   
500.0
 
Senior Notes Y, 5.20% fixed-rate, due September 2020
  
1,000.0
   
1,000.0
 
Multi-Year Revolving Credit Facility, variable-rate, due September 2020
  
--
   
--
 
Senior Notes CC, 4.05% fixed-rate, due February 2022
  
650.0
   
650.0
 
Senior Notes HH, 3.35% fixed-rate, due March 2023
  
1,250.0
   
1,250.0
 
Senior Notes JJ, 3.90% fixed-rate, due February 2024
  
850.0
   
850.0
 
Senior Notes MM, 3.75% fixed-rate, due February 2025
  
1,150.0
   
1,150.0
 
Senior Notes PP, 3.70% fixed-rate, due February 2026
  
875.0
   
--
 
Senior Notes D, 6.875% fixed-rate, due March 2033
  
500.0
   
500.0
 
Senior Notes H, 6.65% fixed-rate, due October 2034
  
350.0
   
350.0
 
Senior Notes J, 5.75% fixed-rate, due March 2035
  
250.0
   
250.0
 
Senior Notes W, 7.55% fixed-rate, due April 2038
  
399.6
   
399.6
 
Senior Notes R, 6.125% fixed-rate, due October 2039
  
600.0
   
600.0
 
Senior Notes Z, 6.45% fixed-rate, due September 2040
  
600.0
   
600.0
 
Senior Notes BB, 5.95% fixed-rate, due February 2041
  
750.0
   
750.0
 
Senior Notes DD, 5.70% fixed-rate, due February 2042
  
600.0
   
600.0
 
Senior Notes EE, 4.85% fixed-rate, due August 2042
  
750.0
   
750.0
 
Senior Notes GG, 4.45% fixed-rate, due February 2043
  
1,100.0
   
1,100.0
 
Senior Notes II, 4.85% fixed-rate, due March 2044
  
1,400.0
   
1,400.0
 
Senior Notes KK, 5.10% fixed-rate, due February 2045
  
1,150.0
   
1,150.0
 
Senior Notes QQ, 4.90% fixed-rate, due May 2046
  
875.0
   
--
 
Senior Notes NN, 4.95% fixed-rate, due October 2054
  
400.0
   
400.0
 
TEPPCO senior debt obligations:
        
TEPPCO Senior Notes, 6.65% fixed-rate, due April 2018
  
0.3
   
0.3
 
TEPPCO Senior Notes, 7.55% fixed-rate, due April 2038
  
0.4
   
0.4
 
Total principal amount of senior debt obligations
  
21,019.5
   
19,856.5
 
EPO Junior Subordinated Notes A, fixed/variable-rate, due August 2066 (1)
  
521.9
   
550.0
 
EPO Junior Subordinated Notes C, fixed/variable-rate, due June 2067 (2)
  
259.5
   
285.8
 
EPO Junior Subordinated Notes B, fixed/variable-rate, due January 2068 (3)
  
682.7
   
682.7
 
TEPPCO Junior Subordinated Notes, fixed/variable-rate, due June 2067 
  
14.2
   
14.2
 
Total principal amount of senior and junior debt obligations
  
22,497.8
   
21,389.2
 
Other, non-principal amounts
  
(37.7
)
  
(25.4
)
Less current maturities of debt (4)
  
(1,619.4
)
  
(2,206.4
)
Total long-term debt
 
$
20,840.7
  
$
19,157.4
 
 
(1)   Fixed rate of 8.375% through August 1, 2016 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 3.7075%. During the third quarter of 2015, EPO retired $28.1 million of these junior notes.
(2)   Fixed rate of 7.0% through September 1, 2017 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 2.7775%. During the third quarter of 2015, EPO retired $26.3 million of these junior notes.
(3)   Fixed rate of 7.034% through January 15, 2018 (i.e., first call date without a make-whole redemption premium); thereafter, the rate will be the greater of 7.034% or a variable rate based on 3-month LIBOR plus 2.68%.
(4)   We expect to refinance the current maturities of our debt obligations at or prior to their maturity.
 

Consolidated Debt Maturities
The following table presents contractually scheduled maturities of our consolidated debt obligations outstanding at September 30, 2015 for the next five years, and in total thereafter:

 
 
  
Scheduled Maturities of Debt
 
 
 
Total
  
Remainder
of 2015
  
2016
  
2017
  
2018
  
2019
  
After
2019
 
Commercial Paper Notes
 
$
869.5
  
$
869.5
  
$
--
  
$
--
  
$
--
  
$
--
  
$
--
 
Senior Notes
  
20,150.0
   
--
   
750.0
   
800.0
   
1,100.0
   
1,500.0
   
16,000.0
 
Junior Subordinated Notes
  
1,478.3
   
--
   
--
   
--
   
--
   
--
   
1,478.3
 
Total
 
$
22,497.8
  
$
869.5
  
$
750.0
  
$
800.0
  
$
1,100.0
  
$
1,500.0
  
$
17,478.3
 

Interest Rates and Weighted-Average Interest Rates Paid on Consolidated Variable-Rate Debt Obligations
The following table presents the range of interest rates and weighted-average interest rates paid on our consolidated variable-rate debt during the nine months ended September 30, 2015:

 
Range of
Interest Rates
Paid
Weighted-Average
Interest Rate
Paid
Commercial Paper Notes
0.35% to 0.78%
0.59%
EPO Multi-Year Revolving Credit Facility
1.15% to 3.25%
1.30%

XML 24 R79.htm IDEA: XBRL DOCUMENT v3.3.0.814
Condensed Consolidating Financial Information, Balance Sheet (Details) - USD ($)
$ in Millions
Sep. 30, 2015
Dec. 31, 2014
Sep. 30, 2014
Dec. 31, 2013
Current assets:        
Cash and cash equivalents and restricted cash $ 126.7 $ 74.4    
Accounts receivable - trade, net 2,802.0 3,823.0    
Accounts receivable - related parties 1.7 2.8    
Inventories 1,085.4 1,014.2    
Derivative assets 241.8 226.0    
Prepaid and other current assets 402.4 350.3    
Total current assets 4,660.0 5,490.7    
Property, plant and equipment, net 31,214.1 29,881.6    
Investments in unconsolidated affiliates 2,625.3 3,042.0    
Intangible assets, net 4,082.1 4,302.1    
Goodwill 5,749.2 4,300.2    
Other assets 197.1 184.4    
Total assets 48,527.8 47,201.0    
Current liabilities:        
Current maturities of debt [1] 1,619.4 2,206.4    
Accounts payable - trade 844.9 773.8    
Accounts payable - related parties 80.3 118.9    
Accrued product payables 2,547.9 3,853.3    
Accrued liability related to EFS Midstream acquisition 997.7 0.0    
Accrued interest 198.9 335.5    
Other current liabilities 589.8 585.8    
Total current liabilities 6,878.9 7,873.7    
Long-term debt 20,840.7 19,157.4    
Deferred tax liabilities 53.4 66.6    
Other long-term liabilities $ 401.9 $ 411.1    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ 20,162.1 $ 18,063.2    
Noncontrolling interests 190.8 1,629.0    
Total equity 20,352.9 19,692.2 $ 15,981.9 $ 15,440.4
Total liabilities and equity 48,527.8 47,201.0    
Eliminations and Adjustments [Member]        
Current assets:        
Cash and cash equivalents and restricted cash 0.0 0.0    
Accounts receivable - trade, net 0.0 0.0    
Accounts receivable - related parties (0.7) (4.0)    
Inventories 0.0 0.0    
Derivative assets 0.0 0.0    
Prepaid and other current assets 0.0 0.8    
Total current assets (0.7) (3.2)    
Property, plant and equipment, net 0.0 0.0    
Investments in unconsolidated affiliates (20,397.5) (18,287.5)    
Intangible assets, net 0.0 0.0    
Goodwill 0.0 0.0    
Other assets 0.0 0.0    
Total assets (20,398.2) (18,290.7)    
Current liabilities:        
Current maturities of debt 0.0 0.0    
Accounts payable - trade 0.0 0.0    
Accounts payable - related parties (0.7) (4.0)    
Accrued product payables 0.0 0.0    
Accrued liability related to EFS Midstream acquisition 0.0      
Accrued interest 0.0 0.0    
Other current liabilities 0.5 0.0    
Total current liabilities (0.2) (4.0)    
Long-term debt 0.0 0.0    
Deferred tax liabilities 3.8 4.1    
Other long-term liabilities $ 0.0 $ 0.0    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ (20,373.1) $ (18,263.7)    
Noncontrolling interests (28.7) (27.1)    
Total equity (20,401.8) (18,290.8)    
Total liabilities and equity (20,398.2) (18,290.7)    
Subsidiary Issuer (EPO) [Member]        
Current assets:        
Cash and cash equivalents and restricted cash 46.9 18.7    
Accounts receivable - trade, net 791.0 1,128.5    
Accounts receivable - related parties 123.1 158.8    
Inventories 889.1 831.8    
Derivative assets 139.1 102.0    
Prepaid and other current assets 164.7 435.7    
Total current assets 2,153.9 2,675.5    
Property, plant and equipment, net 3,432.3 2,871.7    
Investments in unconsolidated affiliates 38,310.0 36,937.5    
Intangible assets, net 726.8 2,527.3    
Goodwill 459.1 1,956.1    
Other assets 226.4 139.3    
Total assets 45,308.5 47,107.4    
Current liabilities:        
Current maturities of debt 1,619.3 2,206.4    
Accounts payable - trade 331.4 216.6    
Accounts payable - related parties 866.7 1,226.5    
Accrued product payables 938.0 1,570.0    
Accrued liability related to EFS Midstream acquisition 0.0      
Accrued interest 198.6 335.4    
Other current liabilities 174.3 130.8    
Total current liabilities 4,128.3 5,685.7    
Long-term debt 20,825.4 19,142.5    
Deferred tax liabilities 3.2 4.9    
Other long-term liabilities $ 10.6 $ 10.9    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ 20,341.0 $ 22,263.4    
Noncontrolling interests 0.0 0.0    
Total equity 20,341.0 22,263.4    
Total liabilities and equity 45,308.5 47,107.4    
Other Subsidiaries (Non-guarantor) [Member]        
Current assets:        
Cash and cash equivalents and restricted cash 85.3 70.4    
Accounts receivable - trade, net 2,011.3 2,698.2    
Accounts receivable - related parties 780.8 1,114.6    
Inventories 196.6 182.8    
Derivative assets 102.7 124.0    
Prepaid and other current assets 247.7 222.3    
Total current assets 3,424.4 4,412.3    
Property, plant and equipment, net 27,780.4 26,912.0    
Investments in unconsolidated affiliates 4,094.7 3,556.4    
Intangible assets, net 3,370.1 1,292.4    
Goodwill 5,290.1 1,721.4    
Other assets 49.0 45.8    
Total assets 44,008.7 37,940.3    
Current liabilities:        
Current maturities of debt 0.1 0.0    
Accounts payable - trade 519.0 571.4    
Accounts payable - related parties 130.1 173.3    
Accrued product payables 1,611.2 2,287.9    
Accrued liability related to EFS Midstream acquisition 997.7      
Accrued interest 0.3 0.7    
Other current liabilities 425.1 763.7    
Total current liabilities 3,683.5 3,797.0    
Long-term debt 15.3 14.9    
Deferred tax liabilities 47.4 58.5    
Other long-term liabilities $ 234.3 $ 180.8    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ 39,986.1 $ 33,820.9    
Noncontrolling interests 42.1 68.2    
Total equity 40,028.2 33,889.1    
Total liabilities and equity 44,008.7 37,940.3    
Consolidated EPO and Subsidiaries [Member]        
Current assets:        
Cash and cash equivalents and restricted cash 126.7 74.4    
Accounts receivable - trade, net 2,802.0 3,823.0    
Accounts receivable - related parties 2.4 6.8    
Inventories 1,085.4 1,014.2    
Derivative assets 241.8 226.0    
Prepaid and other current assets 402.2 349.5    
Total current assets 4,660.5 5,493.9    
Property, plant and equipment, net 31,214.1 29,881.6    
Investments in unconsolidated affiliates 2,625.3 3,042.0    
Intangible assets, net 4,082.1 4,302.1    
Goodwill 5,749.2 4,300.2    
Other assets 196.6 184.4    
Total assets 48,527.8 47,204.2    
Current liabilities:        
Current maturities of debt 1,619.4 2,206.4    
Accounts payable - trade 844.9 773.2    
Accounts payable - related parties 80.3 118.9    
Accrued product payables 2,547.9 3,853.3    
Accrued liability related to EFS Midstream acquisition 997.7      
Accrued interest 198.9 335.5    
Other current liabilities 589.4 585.8    
Total current liabilities 6,878.5 7,873.1    
Long-term debt 20,840.7 19,157.4    
Deferred tax liabilities 49.6 62.5    
Other long-term liabilities $ 166.4 $ 191.4    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ 20,373.1 $ 18,263.7    
Noncontrolling interests 219.5 1,656.1    
Total equity 20,592.6 19,919.8    
Total liabilities and equity 48,527.8 47,204.2    
Consolidated EPO and Subsidiaries [Member] | Eliminations and Adjustments [Member]        
Current assets:        
Cash and cash equivalents and restricted cash (5.5) (14.7)    
Accounts receivable - trade, net (0.3) (3.7)    
Accounts receivable - related parties (901.5) (1,266.6)    
Inventories (0.3) (0.4)    
Derivative assets 0.0 0.0    
Prepaid and other current assets (10.2) (308.5)    
Total current assets (917.8) (1,593.9)    
Property, plant and equipment, net 1.4 97.9    
Investments in unconsolidated affiliates (39,779.4) (37,451.9)    
Intangible assets, net (14.8) 482.4    
Goodwill 0.0 622.7    
Other assets (78.8) (0.7)    
Total assets (40,789.4) (37,843.5)    
Current liabilities:        
Current maturities of debt 0.0 0.0    
Accounts payable - trade (5.5) (14.8)    
Accounts payable - related parties (916.5) (1,280.9)    
Accrued product payables (1.3) (4.6)    
Accrued liability related to EFS Midstream acquisition 0.0      
Accrued interest 0.0 (0.6)    
Other current liabilities (10.0) (308.7)    
Total current liabilities (933.3) (1,609.6)    
Long-term debt 0.0 0.0    
Deferred tax liabilities (1.0) (0.9)    
Other long-term liabilities $ (78.5) $ (0.3)    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ (39,954.0) $ (37,820.6)    
Noncontrolling interests 177.4 1,587.9    
Total equity (39,776.6) (36,232.7)    
Total liabilities and equity (40,789.4) (37,843.5)    
Enterprise Products Partners L.P. (Guarantor) [Member]        
Current assets:        
Cash and cash equivalents and restricted cash 0.0 0.0    
Accounts receivable - trade, net 0.0 0.0    
Accounts receivable - related parties 0.0 0.0    
Inventories 0.0 0.0    
Derivative assets 0.0 0.0    
Prepaid and other current assets 0.2 0.0    
Total current assets 0.2 0.0    
Property, plant and equipment, net 0.0 0.0    
Investments in unconsolidated affiliates 20,397.5 18,287.5    
Intangible assets, net 0.0 0.0    
Goodwill 0.0 0.0    
Other assets 0.5 0.0    
Total assets 20,398.2 18,287.5    
Current liabilities:        
Current maturities of debt 0.0 0.0    
Accounts payable - trade 0.0 0.6    
Accounts payable - related parties 0.7 4.0    
Accrued product payables 0.0 0.0    
Accrued liability related to EFS Midstream acquisition 0.0      
Accrued interest 0.0 0.0    
Other current liabilities (0.1) 0.0    
Total current liabilities 0.6 4.6    
Long-term debt 0.0 0.0    
Deferred tax liabilities 0.0 0.0    
Other long-term liabilities $ 235.5 $ 219.7    
Commitments and contingencies    
Equity:        
Partners' and other owners' equity $ 20,162.1 $ 18,063.2    
Noncontrolling interests 0.0 0.0    
Total equity 20,162.1 18,063.2    
Total liabilities and equity $ 20,398.2 $ 18,287.5    
[1] We expect to refinance the current maturities of our debt obligations at or prior to their maturity.
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    Business Segments, Consolidated Revenues and Expenses (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Consolidated Revenues [Abstract]        
    Total consolidated revenues $ 6,307.9 $ 12,330.2 $ 20,872.9 $ 37,760.9
    Operating costs and expenses:        
    Cost of sales [1] 4,419.9 10,455.1 15,355.9 32,213.1
    Other operating costs and expenses [2] 642.5 633.9 1,834.8 1,865.6
    Depreciation, amortization and accretion 351.1 322.7 1,082.0 936.5
    Net losses (gains) attributable to asset sales and insurance recoveries 12.3 (2.6) 14.7 (99.0)
    Non-cash asset impairment charges 26.8 5.7 139.1 18.2
    General and administrative costs 49.0 50.0 143.2 150.9
    Total consolidated costs and expenses 5,501.6 11,464.8 18,569.7 35,085.3
    NGL Pipelines and Services [Member]        
    Consolidated Revenues [Abstract]        
    Sales of NGLs and related products 1,844.9 3,603.4 5,936.2 12,029.8
    Midstream services 441.9 423.3 1,293.0 1,197.6
    Total consolidated revenues 2,286.8 4,026.7 7,229.2 13,227.4
    Crude Oil Pipelines & Services [Member]        
    Consolidated Revenues [Abstract]        
    Sales of crude oil 2,147.3 5,348.2 7,689.3 16,003.5
    Midstream services 175.3 88.9 399.7 264.2
    Total consolidated revenues 2,322.6 5,437.1 8,089.0 16,267.7
    Natural Gas Pipelines & Services [Member]        
    Consolidated Revenues [Abstract]        
    Sales of natural gas 455.0 775.5 1,361.2 2,515.7
    Midstream services 254.7 256.4 767.1 761.8
    Total consolidated revenues 709.7 1,031.9 2,128.3 3,277.5
    Petrochemical and Refined Products Services [Member]        
    Consolidated Revenues [Abstract]        
    Sales of petrochemicals and refined products 780.5 1,605.4 2,764.2 4,338.2
    Midstream services 199.5 186.6 583.4 531.7
    Total consolidated revenues 980.0 1,792.0 3,347.6 4,869.9
    Offshore Pipelines And Services [Member]        
    Consolidated Revenues [Abstract]        
    Sales of natural gas 0.0 0.0 0.0 0.2
    Sales of crude oil 0.4 2.5 3.2 7.5
    Midstream services 8.4 40.0 75.6 110.7
    Total consolidated revenues $ 8.8 $ 42.5 $ 78.8 $ 118.4
    [1] Cost of sales is a component of "Operating costs and expenses" as presented on our Unaudited Condensed Statements of Consolidated Operations. Fluctuations in these amounts are primarily due to changes in energy commodity prices and sales volumes associated with our marketing activities.
    [2] Represents cost of operating our plants, pipelines and other fixed assets, excluding depreciation, amortization and accretion charges.

    XML 28 R57.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Property, Plant and Equipment, Sale of Offshore Business (Details)
    $ in Millions
    3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
    Sep. 30, 2015
    USD ($)
    Sep. 30, 2014
    USD ($)
    Jun. 30, 2015
    USD ($)
    Sep. 30, 2015
    USD ($)
    Sep. 30, 2014
    USD ($)
    Dec. 31, 2014
    Jul. 24, 2015
    USD ($)
    Sale of Offshore Business [Abstract]              
    Non-cash asset impairment charge [1]       $ 55.0      
    Summary of depreciation expense and capitalized interest [Abstract]              
    Depreciation expense [2] $ 286.2 $ 283.2   $ 870.1 $ 822.1    
    Offshore Pipelines And Services [Member]              
    Sale of Offshore Business [Abstract]              
    Percentage of segment assets (in hundredths)     0.041     0.043  
    Percentage of gross operating margin (in hundredths)     0.034     0.031  
    Offshore Business [Member]              
    Sale of Offshore Business [Abstract]              
    Description of assets sold       As of December 31, 2014, our Offshore Business included approximately 2,350 miles of offshore natural gas and crude oil pipelines and six offshore hub platforms.      
    Cash consideration received             $ 1,530.0
    Non-cash asset impairment charge       $ 54.8      
    Loss on sale       12.6      
    Sale of Offshore Business:              
    Net assets of Offshore Business before impairment charge     $ 1,590.0        
    Current assets     26.9        
    Property, plant and equipment, net     1,140.0        
    Investments in unconsolidated affiliates     482.4        
    Intangible assets, net     37.1        
    Goodwill     82.0        
    Total liabilities     116.4        
    Noncontrolling interests in assets held for sale (See Note 6)     62.2        
    Fair value of Offshore Business based on estimated transaction price     $ 1,530.0        
    Offshore Business [Member] | Offshore Business [Member]              
    Summary of depreciation expense and capitalized interest [Abstract]              
    Depreciation expense   $ 21.5   $ 40.1 $ 62.3    
    [1] Primarily represents the impairment charge recorded in second quarter of 2015 upon reclassification of our Offshore Business to held for sale status.
    [2] Depreciation expense is a component of "Costs and expenses" as presented on our Unaudited Condensed Statements of Consolidated Operations.
    XML 29 R76.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Commitments and Contingencies (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Operating lease obligations [Abstract]          
    Lease and rental expense included in costs and expenses $ 28.8 $ 23.5 $ 76.4 $ 69.2  
    Litigation matters [Member]          
    Loss Contingencies [Line Items]          
    Litigation accruals on an undiscounted basis 4.6   4.6   $ 2.4
    Litigation matters [Member] | ETP Lawsuit [Member]          
    Loss Contingencies [Line Items]          
    Loss contingency, damages awarded     319.4    
    Loss contingency, total damages sought     535.8    
    Loss contingency, disgorgement damages sought     150.0    
    Prejudgment interest     $ 66.4    
    Post-judgment interest rate (in hundredths)     5.00%    
    EFS Midstream Contract with Producers [Member]          
    Contractual obligation [Line Items]          
    Contractual obligation $ 270.0   $ 270.0    
    Contract term (in years)     10 years    
    XML 30 R81.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Condensed Consolidating Financial Information, Statement of Comprehensive Income (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income $ 705.6 $ 747.3 $ 1,875.8 $ 2,205.3
    Comprehensive loss (income) attributable to noncontrolling interests (8.4) (8.1) (28.5) (24.8)
    Comprehensive income attributable to entity 697.2 739.2 1,847.3 2,180.5
    Eliminations and Adjustments [Member]        
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income (701.0) (741.5) (1,864.3) (2,183.7)
    Comprehensive loss (income) attributable to noncontrolling interests 1.3 1.3 3.6 3.8
    Comprehensive income attributable to entity (699.7) (740.2) (1,860.7) (2,179.9)
    Subsidiary Issuer (EPO) [Member]        
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income 676.0 708.9 1,869.9 2,161.8
    Comprehensive loss (income) attributable to noncontrolling interests 0.0 0.0 0.0 0.0
    Comprehensive income attributable to entity 676.0 708.9 1,869.9 2,161.8
    Other Subsidiaries (Non-guarantor) [Member]        
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income 797.3 825.2 2,056.1 2,292.2
    Comprehensive loss (income) attributable to noncontrolling interests 0.0 0.1 0.8 0.2
    Comprehensive income attributable to entity 797.3 825.3 2,056.9 2,292.4
    Consolidated EPO and Subsidiaries [Member]        
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income 709.4 749.6 1,892.8 2,208.5
    Comprehensive loss (income) attributable to noncontrolling interests (9.7) (9.4) (32.1) (28.6)
    Comprehensive income attributable to entity 699.7 740.2 1,860.7 2,179.9
    Consolidated EPO and Subsidiaries [Member] | Eliminations and Adjustments [Member]        
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income (763.9) (784.5) (2,033.2) (2,245.5)
    Comprehensive loss (income) attributable to noncontrolling interests (9.7) (9.5) (32.9) (28.8)
    Comprehensive income attributable to entity (773.6) (794.0) (2,066.1) (2,274.3)
    Enterprise Products Partners L.P. (Guarantor) [Member]        
    Condensed Consolidating Statement of Comprehensive Income        
    Comprehensive income 697.2 739.2 1,847.3 2,180.5
    Comprehensive loss (income) attributable to noncontrolling interests 0.0 0.0 0.0 0.0
    Comprehensive income attributable to entity $ 697.2 $ 739.2 $ 1,847.3 $ 2,180.5
    XML 31 R77.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Commitments and Contingencies, Liquidity Option Agreement (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended 12 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Oct. 02, 2014
    Liquidity Option Agreement [Abstract]            
    Liquidity Option Agreement $ 235.5   $ 235.5   $ 219.7 $ 119.4
    Business Acquisition [Line Items]            
    Purchase price adjustment to goodwill     1,454.1      
    Change in fair value of Liquidity Option Agreement (see Note 15) $ 4.3 $ 0.0 $ 15.8 $ 0.0    
    Liquidity Option Agreement [Member] | Maximum [Member]            
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]            
    Fair value inputs, Expected life of OTA following option exercise (in years)     30 years      
    Liquidity Option Agreement [Member] | Minimum [Member]            
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]            
    Fair value inputs, Expected life of OTA following option exercise (in years)     1 year      
    Oiltanking Partners L.P. - Step 1 [Member]            
    Business Acquisition [Line Items]            
    Liquidity Option Agreement valuation adjustment         100.3  
    Purchase price adjustment to goodwill         $ 100.3  
    XML 32 R71.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Segments (Details)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    USD ($)
    Sep. 30, 2014
    USD ($)
    Sep. 30, 2015
    USD ($)
    Segment
    Sep. 30, 2014
    USD ($)
    Business Segments [Abstract]        
    Number of reportable segments | Segment     5  
    Segment Gross Operating Margin [Abstract]        
    Revenues $ 6,307.9 $ 12,330.2 $ 20,872.9 $ 37,760.9
    Subtract operating costs and expenses (5,452.6) (11,414.8) (18,426.5) (34,934.4)
    Add equity in income of unconsolidated affiliates 103.1 72.3 302.5 179.1
    Add depreciation, amortization and accretion expense amounts not reflected in gross operating margin 351.1 322.7 1,082.0 936.5
    Add impairment charges not reflected in gross operating margin 26.8 5.7 139.1 18.2
    Add net losses or subtract net gains attributable to asset sales and insurance recoveries not reflected in gross operating margin (see Note 16) 12.3 (2.6) 14.7 (99.0)
    Add non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin 3.4 21.6 39.3 66.8
    Subtract subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin (10.9) 0.0 (45.3) 0.0
    Total segment gross operating margin 1,341.1 1,335.1 3,978.7 3,928.1
    Reconciliation of total Segment Gross Operating Margin [Abstract]        
    Total segment gross operating margin 1,341.1 1,335.1 3,978.7 3,928.1
    Adjustments to reconcile total segment gross operating margin to operating income:        
    Subtract depreciation, amortization and accretion expense amounts not reflected in gross operating margin (351.1) (322.7) (1,082.0) (936.5)
    Subtract impairment charges not reflected in gross operating margin (26.8) (5.7) (139.1) (18.2)
    Add net gains or subtract net losses attributable to asset sales and insurance recoveries not reflected in gross operating margin (12.3) 2.6 (14.7) 99.0
    Subtract non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin (3.4) (21.6) (39.3) (66.8)
    Add subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin 10.9 0.0 45.3 0.0
    Subtract general and administrative costs not reflected in gross operating margin (49.0) (50.0) (143.2) (150.9)
    Operating income 909.4 937.7 2,605.7 2,854.7
    Other expense, net (246.2) (230.8) (736.4) (679.8)
    Income before income taxes $ 663.2 $ 706.9 $ 1,869.3 $ 2,174.9
    XML 33 R25.htm IDEA: XBRL DOCUMENT v3.3.0.814
    General Accounting and Disclosure Matters (Policies)
    9 Months Ended
    Sep. 30, 2015
    General Accounting Matters [Abstract]  
    Contingencies

    Contingencies
    Certain conditions may exist as of the date our consolidated financial statements are issued, which may result in a loss to us but which will only be resolved when one or more future events occur or fail to occur.  Management has regular quarterly litigation reviews, including updates from legal counsel, to assess the need for accounting recognition or disclosure of these contingencies, and such assessment inherently involves an exercise in judgment.  In assessing loss contingencies related to legal proceedings that are pending against us or unasserted claims that may result in such proceedings, our management and legal counsel evaluate the perceived merits of any legal proceedings or unasserted claims as well as the perceived merits of the amount of relief sought or expected to be sought therein.

    We accrue an undiscounted liability for those contingencies where the incurrence of a loss is probable and the amount can be reasonably estimated.  If a range of amounts can be reasonably estimated and no amount within the range is a better estimate than any other amount, then the minimum of the range is accrued.  We do not record a contingent liability when the likelihood of loss is probable but the amount cannot be reasonably estimated or when the likelihood of loss is believed to be only reasonably possible or remote.  For contingencies where an unfavorable outcome is reasonably possible and the impact would be material to our consolidated financial statements, we disclose the nature of the contingency and, where feasible, an estimate of the possible loss or range of loss.

    Loss contingencies considered remote are generally not disclosed unless they involve guarantees, in which case the guarantees would be disclosed.  See Note 15 for additional information regarding our contingencies.

    Derivative Instruments
    Derivative Instruments
    We use derivative instruments such as futures, swaps, options, forward contracts and other arrangements to manage price risks associated with inventories, firm commitments, interest rates and certain anticipated future commodity transactions.  To qualify for hedge accounting, the hedged item must expose us to risk and the related derivative instrument must reduce the exposure to that risk and meet specific hedge documentation requirements related to designation dates, expectations for hedge effectiveness and the probability that hedged future transactions will occur as forecasted.  We formally designate derivative instruments as hedges and document and assess their effectiveness at inception of the hedge and on a monthly basis thereafter.  Forecasted transactions are evaluated for the probability of occurrence and are periodically back-tested once the forecasted period has passed to determine whether similarly forecasted transactions are probable of occurring in the future.

    For certain physical forward commodity derivative contracts, we apply the normal purchase/normal sale exception, whereby changes in the mark-to-market values of such contracts are not recognized in income.  As a result, the revenues and expenses associated with such physical transactions are recognized during the period when volumes are physically delivered or received.  Physical forward commodity contracts subject to this exception are evaluated for the probability of future delivery and are periodically back-tested once the forecasted period has passed to determine whether similar forward contracts are probable of physical delivery in the future.  See Note 4 for additional information regarding our derivative instruments.

    Estimates
    Estimates
    Preparing our consolidated financial statements in conformity with U.S. GAAP requires us to make estimates that affect amounts presented in the financial statements.  Our most significant estimates relate to (i) the useful lives and depreciation/amortization methods used for fixed and identifiable intangible assets; (ii) measurement of fair value and projections used in impairment testing of fixed and intangible assets (including goodwill); (iii) contingencies; and (iv) revenue and expense accruals.

    Actual results could differ materially from our estimates.  On an ongoing basis, we review our estimates based on currently available information.  Any changes in the facts and circumstances underlying our estimates may require us to update such estimates, which could have a material impact on our consolidated financial statements.
    Restricted Cash

    Restricted Cash
    Restricted cash represents amounts held in segregated bank accounts by our clearing brokers as margin in support of our commodity derivative instruments portfolio and related physical purchases and sales of natural gas, NGLs, crude oil and refined products.  Additional cash may be restricted to maintain our commodity derivative instruments portfolio as prices fluctuate or deposit requirements change.  At September 30, 2015, our restricted cash amounts were $46.2 million.  We did not have any restricted cash as of December 31, 2014.  See Note 4 for information regarding our derivative instruments and hedging activities.


    XML 34 R50.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements, Gains and Losses on Derivative Instruments and Related Hedged Items (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Derivatives in fair value hedging relationships [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative $ 9.5 $ (4.4) $ 9.1 $ (8.9)
    Gain (Loss) Recognized in Income on Hedged Item (8.2) 4.9 2.2 7.9
    Derivatives in fair value hedging relationships [Member] | Interest rate derivatives [Member] | Location - Interest expense [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative 5.9 (4.1) 5.1 (9.5)
    Gain (Loss) Recognized in Income on Hedged Item (5.7) 3.9 (5.2) 9.3
    Derivatives in fair value hedging relationships [Member] | Commodity derivatives [Member] | Location - Revenue [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative 3.6 (0.3) 4.0 0.6
    Gain (Loss) Recognized in Income on Hedged Item (2.5) 1.0 7.4 (1.4)
    Derivatives in cash flow hedging relationships [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Change in Value Recognized in Other Comprehensive Income (Loss) on Derivative (Effective Portion) 85.8 58.1 112.3 16.1
    Gain (Loss) Reclassified from Accumulated Other Comprehensive Income (Loss) to Income (Effective Portion) 37.9 10.0 101.8 (36.8)
    Gain (Loss) Recognized in Income on Derivative (Ineffective Portion) (3.5) 0.0 (3.1) 0.0
    Derivatives in cash flow hedging relationships [Member] | Interest rate derivatives [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Accumulated other comprehensive loss related to interest rate derivative instruments expected to be reclassified to earnings in interest expense over the next twelve months (36.8)   (36.8)  
    Derivatives in cash flow hedging relationships [Member] | Interest rate derivatives [Member] | Location - Interest expense [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Reclassified from Accumulated Other Comprehensive Income (Loss) to Income (Effective Portion) (8.9) (8.0) (26.3) (23.9)
    Derivatives in cash flow hedging relationships [Member] | Commodity derivatives [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Net accumulated other comprehensive income (loss) related to commodity derivative instruments expected to be reclassified to earnings over the next twelve months 54.1   54.1  
    Accumulated other comprehensive income (loss) related to commodity derivative instruments expected to be reclassified to revenue over the next twelve months 55.7   55.7  
    Accumulated other comprehensive income (loss) related to commodity derivative instruments expected to be reclassified to operating costs and expenses over the next twelve months (1.6)   (1.6)  
    Derivatives in cash flow hedging relationships [Member] | Commodity derivatives [Member] | Location - Revenue [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Change in Value Recognized in Other Comprehensive Income (Loss) on Derivative (Effective Portion) [1] 87.4 58.8 113.9 15.2
    Gain (Loss) Reclassified from Accumulated Other Comprehensive Income (Loss) to Income (Effective Portion) 46.8 17.8 128.6 (14.5)
    Gain (Loss) Recognized in Income on Derivative (Ineffective Portion) (3.5) 0.1 (3.1) 0.0
    Derivatives in cash flow hedging relationships [Member] | Commodity derivatives [Member] | Location - Operating costs and expenses [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Change in Value Recognized in Other Comprehensive Income (Loss) on Derivative (Effective Portion) [1] (1.6) (0.7) (1.6) 0.9
    Gain (Loss) Reclassified from Accumulated Other Comprehensive Income (Loss) to Income (Effective Portion) 0.0 0.2 (0.5) 1.6
    Gain (Loss) Recognized in Income on Derivative (Ineffective Portion) 0.0 (0.1) 0.0 0.0
    Derivatives not designated as hedging instruments [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative (0.3) 0.8 3.9 (26.9)
    Derivatives not designated as hedging instruments [Member] | Interest rate derivatives [Member] | Location - Interest expense [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative 0.0 0.0 0.0 (0.1)
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member] | Location - Revenue [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative 0.0 0.8 3.9 (26.8)
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member] | Location - Operating costs and expenses [Member]        
    Derivative Instruments, Gain (Loss) [Line Items]        
    Gain (Loss) Recognized in Income on Derivative $ (0.3) $ 0.0 $ 0.0 $ 0.0
    [1] The fair value of these derivative instruments will be reclassified to their respective locations on the Unaudited Condensed Statement of Consolidated Operations upon settlement of the underlying derivative transactions, as appropriate.
    XML 35 R42.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity-based Awards (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Equity-based compensation expense [Abstract]        
    Total compensation expense $ 23.4 $ 21.7 $ 73.5 $ 62.0
    Equity-classified awards [Member] | Restricted Common Unit Awards [Member]        
    Equity-based compensation expense [Abstract]        
    Total compensation expense 3.1 8.7 13.1 29.3
    Equity-classified awards [Member] | Phantom Unit Awards [Member]        
    Equity-based compensation expense [Abstract]        
    Total compensation expense 20.3 12.9 60.2 32.3
    Liability-classified awards [Member]        
    Equity-based compensation expense [Abstract]        
    Total compensation expense $ 0.0 $ 0.1 $ 0.2 $ 0.4
    Long-Term Incentive Plan (2008) [Member]        
    Equity-based compensation expense [Abstract]        
    Maximum number of common units that may be issued as awards (in units) 30,000,000   30,000,000  
    Incremental number of units to be authorized annually (in units)     5,000,000  
    Maximum number of additional units to be authorized for issuance (in units)     70,000,000  
    Remaining number of common units available to be issued as awards (in units) 16,277,823   16,277,823  
    Long Term Incentive Plan (1998) [Member]        
    Equity-based compensation expense [Abstract]        
    Maximum number of common units that may be issued as awards (in units) 14,000,000   14,000,000  
    Remaining number of common units available to be issued as awards (in units) 3,040,506   3,040,506  
    XML 36 R75.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Earnings Per Unit (Details) - USD ($)
    $ / shares in Units, shares in Millions, $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    BASIC EARNINGS PER UNIT        
    Net income attributable to limited partners $ 649.3 $ 691.1 $ 1,836.4 $ 2,127.6
    Undistributed earnings allocated and cash payments on phantom unit awards [1] (2.2) (1.3) (6.6) (4.0)
    Net income available to common unitholders $ 647.1 $ 689.8 $ 1,829.8 $ 2,123.6
    Basic weighted-average number of common units outstanding (in units) 1,969.3 1,834.2 1,952.3 1,831.1
    Basic earnings per unit (in dollars per unit) $ 0.33 $ 0.38 $ 0.94 $ 1.16
    DILUTED EARNINGS PER UNIT        
    Net income attributable to limited partners $ 649.3 $ 691.1 $ 1,836.4 $ 2,127.6
    Diluted weighted-average number of units outstanding:        
    Distribution-bearing common units (in units) 1,969.3 1,834.2 1,952.3 1,831.1
    Designated Units (in units) 35.4 45.1 35.4 45.1
    Phantom units (in units) [1] 5.7 3.4 5.4 2.8
    Incremental option units (in units) 0.1 0.7 0.2 1.0
    Total (in units) 2,010.5 1,883.4 1,993.3 1,880.0
    Diluted earnings per unit (in dollars per unit) $ 0.32 $ 0.37 $ 0.92 $ 1.13
    [1] Each phantom unit award includes a DER, which entitles the recipient to receive cash payments equal to the product of the number of phantom unit awards and the cash distribution per unit paid to our common unitholders. Cash payments made in connection with DERs are nonforfeitable. As a result, the phantom units are considered participating securities for purposes of computing basic earnings per unit. Phantom unit awards were first issued in February 2014.
    XML 37 R37.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Earnings Per Unit (Tables)
    9 Months Ended
    Sep. 30, 2015
    Earnings Per Unit [Abstract]  
    Basic and Diluted Earnings Per Unit
    The following table presents our calculation of basic and diluted earnings per unit for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    BASIC EARNINGS PER UNIT
     
      
      
      
     
    Net income attributable to limited partners
     
    $
    649.3
      
    $
    691.1
      
    $
    1,836.4
      
    $
    2,127.6
     
    Undistributed earnings allocated and cash payments on phantom unit awards (1)
      
    (2.2
    )
      
    (1.3
    )
      
    (6.6
    )
      
    (4.0
    )
    Net income available to common unitholders
     
    $
    647.1
      
    $
    689.8
      
    $
    1,829.8
      
    $
    2,123.6
     
     
                    
    Basic weighted-average number of common units outstanding
      
    1,969.3
       
    1,834.2
       
    1,952.3
       
    1,831.1
     
     
                    
    Basic earnings per unit
     
    $
    0.33
      
    $
    0.38
      
    $
    0.94
      
    $
    1.16
     
     
                    
    DILUTED EARNINGS PER UNIT
                    
    Net income attributable to limited partners
     
    $
    649.3
      
    $
    691.1
      
    $
    1,836.4
      
    $
    2,127.6
     
     
                    
    Diluted weighted-average number of units outstanding:
                    
    Distribution-bearing common units
      
    1,969.3
       
    1,834.2
       
    1,952.3
       
    1,831.1
     
    Designated Units
      
    35.4
       
    45.1
       
    35.4
       
    45.1
     
    Phantom units (1)
      
    5.7
       
    3.4
       
    5.4
       
    2.8
     
    Incremental option units
      
    0.1
       
    0.7
       
    0.2
       
    1.0
     
    Total
      
    2,010.5
       
    1,883.4
       
    1,993.3
       
    1,880.0
     
     
                    
    Diluted earnings per unit
     
    $
    0.32
      
    $
    0.37
      
    $
    0.92
      
    $
    1.13
     
     
    (1)     Each phantom unit award includes a DER, which entitles the recipient to receive cash payments equal to the product of the number of phantom unit awards and the cash distribution per unit paid to our common unitholders. Cash payments made in connection with DERs are nonforfeitable. As a result, the phantom units are considered participating securities for purposes of computing basic earnings per unit. Phantom unit awards were first issued in February 2014.
     

    XML 38 R52.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements, Level 3 Recurring Valuation Techniques (Details) - Fair Value [Member]
    $ in Millions
    9 Months Ended
    Sep. 30, 2015
    USD ($)
    $ / gal
    $ / bbl
    Dec. 31, 2014
    USD ($)
    Asset commodity derivatives - Crude oil [Member] | Liability commodity derivatives - Crude oil [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair Value Measurements, Valuation Techniques Discounted cash flow  
    Input description Forward commodity prices  
    Asset commodity derivatives - Crude oil [Member] | Liability commodity derivatives - Crude oil [Member] | Level 3 [Member] | Minimum [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair value inputs, forward commodity price (in dollars per unit) | $ / bbl 44.47  
    Asset commodity derivatives - Crude oil [Member] | Liability commodity derivatives - Crude oil [Member] | Level 3 [Member] | Maximum [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair value inputs, forward commodity price (in dollars per unit) | $ / bbl 50.74  
    Asset commodity derivatives - Propane [Member] | Liability commodity derivatives - Propane [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair Value Measurements, Valuation Techniques Discounted cash flow  
    Input description Forward commodity prices  
    Asset commodity derivatives - Propane [Member] | Liability commodity derivatives - Propane [Member] | Level 3 [Member] | Maximum [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair value inputs, forward commodity price (in dollars per unit) | $ / gal 0.50  
    Asset commodity derivatives - Natural gasoline [Member] | Liability commodity derivatives - Natural gasoline [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair Value Measurements, Valuation Techniques Discounted cash flow  
    Input description Forward commodity prices  
    Asset commodity derivatives - Natural gasoline [Member] | Liability commodity derivatives - Natural gasoline [Member] | Level 3 [Member] | Minimum [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair value inputs, forward commodity price (in dollars per unit) | $ / gal 0.93  
    Asset commodity derivatives - Natural gasoline [Member] | Liability commodity derivatives - Natural gasoline [Member] | Level 3 [Member] | Maximum [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Fair value inputs, forward commodity price (in dollars per unit) | $ / gal 1.00  
    Fair Value, Measurements, Recurring [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity asset derivatives $ 242.8 $ 226.6
    Commodity liability derivatives 197.1 147.4
    Fair Value, Measurements, Recurring [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity asset derivatives 1.0 1.0
    Commodity liability derivatives 17.0 $ 0.6
    Fair Value, Measurements, Recurring [Member] | Liability commodity derivatives - Crude oil [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity liability derivatives 1.3  
    Fair Value, Measurements, Recurring [Member] | Liability commodity derivatives - Propane [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity liability derivatives 0.1  
    Fair Value, Measurements, Recurring [Member] | Liability commodity derivatives - Natural gasoline [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity liability derivatives 15.6  
    Fair Value, Measurements, Recurring [Member] | Asset commodity derivatives - Crude oil [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity asset derivatives 0.7  
    Fair Value, Measurements, Recurring [Member] | Asset commodity derivatives - Propane [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity asset derivatives 0.0  
    Fair Value, Measurements, Recurring [Member] | Asset commodity derivatives - Natural gasoline [Member] | Level 3 [Member]    
    Fair Value Measurements, Recurring, Valuation Techniques [Line Items]    
    Commodity asset derivatives $ 0.3  
    XML 39 R67.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity and Distributions, Issuances of Equity (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended 12 Months Ended
    Nov. 06, 2015
    Mar. 31, 2015
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Jun. 30, 2015
    Net Cash Proceeds from Sale of Common Units [Abstract]            
    Net cash proceeds from the issuance of common units     $ 1,011.4 $ 304.9    
    Oiltanking Partners L.P. [Member]            
    Description of Business Combination:            
    Limited partner interests acquired (in hundredths)         65.90%  
    Oiltanking Acquisition [Member]            
    Description of Business Combination:            
    Total consideration for acquisition     $ 5,900.0      
    Oiltanking Partners L.P. - Step 1 [Member]            
    Description of Business Combination:            
    Total consideration for acquisition         $ 4,410.0  
    Oiltanking Partners L.P. - Step 2 [Member]            
    Description of Business Combination:            
    Common units exchanged for each Oiltanking unit (in units)     1.3      
    Common units issued in connection with acquisition of Oiltanking (in units)     36,827,517      
    Distribution Reinvestment Plan [Member]            
    Registration Statements and Equity Offerings [Line Items]            
    Maximum common units authorized for issuance (in units)     140,000,000      
    Remaining units available for issuance (in units)     19,516,031      
    Net Cash Proceeds from Sale of Common Units [Abstract]            
    Number of common units issued (in units)     7,965,318 7,148,778    
    Net cash proceeds from the issuance of common units     $ 242.8 $ 239.8    
    Distribution Reinvestment Plan [Member] | EPCO and its privately held affiliates [Member]            
    Net Cash Proceeds from Sale of Common Units [Abstract]            
    Net cash proceeds from the issuance of common units $ 50.0   $ 50.0 $ 75.0    
    Employee Unit Purchase Plan [Member]            
    Registration Statements and Equity Offerings [Line Items]            
    Maximum common units authorized for issuance (in units)     8,000,000      
    Remaining units available for issuance (in units)     6,867,071      
    Net Cash Proceeds from Sale of Common Units [Abstract]            
    Number of common units issued (in units)     285,997 207,126    
    Net cash proceeds from the issuance of common units     $ 8.9 $ 7.4    
    2015 At-the-Market Registration [Member]            
    Registration Statements and Equity Offerings [Line Items]            
    Maximum common units authorized for issuance     1,920.0      
    Remaining units available for issuance     $ 1,920.0      
    2013 At-the-Market Registration [Member]            
    Registration Statements and Equity Offerings [Line Items]            
    Maximum common units authorized for issuance           $ 1,250.0
    Remaining units available for issuance           $ 424.6
    Net Cash Proceeds from Sale of Common Units [Abstract]            
    Number of common units issued (in units)     23,258,453 1,590,334    
    Gross proceeds from the sale of common units     $ 767.1 $ 58.3    
    Net cash proceeds from the issuance of common units     $ 759.7 $ 57.7    
    2013 At-the-Market Registration [Member] | EPCO and its privately held affiliates [Member]            
    Net Cash Proceeds from Sale of Common Units [Abstract]            
    Number of common units issued (in units)   3,225,057 3,225,057      
    Net cash proceeds from the issuance of common units     $ 100.0      
    XML 40 R61.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Acquisitions, Pro Forma Financial Information (Details) - USD ($)
    $ / shares in Units, $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Basic earnings per unit [Abstract]        
    As reported basic earnings per unit (in dollars per unit) $ 0.33 $ 0.38 $ 0.94 $ 1.16
    Diluted earnings per unit [Abstract]        
    As reported diluted earnings per unit (in dollars per unit) $ 0.32 $ 0.37 $ 0.92 $ 1.13
    Eagle Ford Midstream Assets [Member]        
    Pro forma earnings data [Abstract]        
    Revenues   $ 12,388.7 $ 20,993.5 $ 37,927.5
    Costs and expenses   11,502.6 18,645.5 35,195.2
    Operating income   958.4 2,650.5 2,911.4
    Net income   715.3 1,900.9 2,195.5
    Net income attributable to noncontrolling interests   8.1 28.5 24.8
    Net income attributable to limited partners   $ 707.2 $ 1,872.4 $ 2,170.7
    Basic earnings per unit [Abstract]        
    As reported basic earnings per unit (in dollars per unit)   $ 0.38 $ 0.94 $ 1.16
    Pro forma basic earnings per unit (in dollars per unit)   0.38 0.96 1.18
    Diluted earnings per unit [Abstract]        
    As reported diluted earnings per unit (in dollars per unit)   0.37 0.92 1.13
    Pro forma diluted earnings per unit (in dollars per unit)   $ 0.38 $ 0.94 $ 1.15
    XML 41 R47.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements, Derivative Fair Value Amounts (Details) - USD ($)
    $ in Millions
    Sep. 30, 2015
    Dec. 31, 2014
    Interest rate derivatives [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives $ 7.6  
    Commodity derivatives [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 242.8 $ 226.6
    Liability Derivatives 197.1 147.4
    Derivatives designated as hedging instruments [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 232.8 217.9
    Liability Derivatives 186.7 145.3
    Derivatives designated as hedging instruments [Member] | Interest rate derivatives [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 7.6 0.0
    Liability Derivatives 0.0 0.0
    Derivatives designated as hedging instruments [Member] | Interest rate derivatives [Member] | Current assets [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 7.4 0.0
    Derivatives designated as hedging instruments [Member] | Interest rate derivatives [Member] | Other assets [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 0.2 0.0
    Derivatives designated as hedging instruments [Member] | Interest rate derivatives [Member] | Other current liabilities [Member]    
    Derivatives, Fair Value [Line Items]    
    Liability Derivatives 0.0 0.0
    Derivatives designated as hedging instruments [Member] | Interest rate derivatives [Member] | Other liabilities [Member]    
    Derivatives, Fair Value [Line Items]    
    Liability Derivatives 0.0 0.0
    Derivatives designated as hedging instruments [Member] | Commodity derivatives [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 225.2 217.9
    Liability Derivatives 186.7 145.3
    Derivatives designated as hedging instruments [Member] | Commodity derivatives [Member] | Current assets [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 216.9 217.9
    Derivatives designated as hedging instruments [Member] | Commodity derivatives [Member] | Other assets [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 8.3 0.0
    Derivatives designated as hedging instruments [Member] | Commodity derivatives [Member] | Other current liabilities [Member]    
    Derivatives, Fair Value [Line Items]    
    Liability Derivatives 178.5 145.3
    Derivatives designated as hedging instruments [Member] | Commodity derivatives [Member] | Other liabilities [Member]    
    Derivatives, Fair Value [Line Items]    
    Liability Derivatives 8.2 0.0
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 17.6 8.7
    Liability Derivatives 10.4 2.1
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member] | Current assets [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 17.5 8.1
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member] | Other assets [Member]    
    Derivatives, Fair Value [Line Items]    
    Asset Derivatives 0.1 0.6
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member] | Other current liabilities [Member]    
    Derivatives, Fair Value [Line Items]    
    Liability Derivatives 9.4 0.7
    Derivatives not designated as hedging instruments [Member] | Commodity derivatives [Member] | Other liabilities [Member]    
    Derivatives, Fair Value [Line Items]    
    Liability Derivatives $ 1.0 $ 1.4
    XML 42 R9.htm IDEA: XBRL DOCUMENT v3.3.0.814
    General Accounting and Disclosure Matters
    9 Months Ended
    Sep. 30, 2015
    General Accounting Matters [Abstract]  
    General Accounting Matters
    Note 2.  General Accounting and Disclosure Matters

    Our results of operations for the three and nine months ended September 30, 2015 are not necessarily indicative of results expected for the full year of 2015.  In our opinion, the accompanying Unaudited Condensed Consolidated Financial Statements include all adjustments consisting of normal recurring accruals necessary for fair presentation.  Although we believe the disclosures in these financial statements are adequate and make the information presented not misleading, certain information and footnote disclosures normally included in annual financial statements prepared in accordance with U.S. generally accepted accounting principles (“GAAP”) have been condensed or omitted pursuant to the rules and regulations of the U.S. Securities and Exchange Commission (“SEC”).

    These Unaudited Condensed Consolidated Financial Statements and Notes thereto should be read in conjunction with the Audited Consolidated Financial Statements and Notes thereto included in our annual report on Form 10-K for the year ended December 31, 2014 (the “2014 Form 10-K”) filed with the SEC on March 2, 2015.

    Contingencies
    Certain conditions may exist as of the date our consolidated financial statements are issued, which may result in a loss to us but which will only be resolved when one or more future events occur or fail to occur.  Management has regular quarterly litigation reviews, including updates from legal counsel, to assess the need for accounting recognition or disclosure of these contingencies, and such assessment inherently involves an exercise in judgment.  In assessing loss contingencies related to legal proceedings that are pending against us or unasserted claims that may result in such proceedings, our management and legal counsel evaluate the perceived merits of any legal proceedings or unasserted claims as well as the perceived merits of the amount of relief sought or expected to be sought therein.

    We accrue an undiscounted liability for those contingencies where the incurrence of a loss is probable and the amount can be reasonably estimated.  If a range of amounts can be reasonably estimated and no amount within the range is a better estimate than any other amount, then the minimum of the range is accrued.  We do not record a contingent liability when the likelihood of loss is probable but the amount cannot be reasonably estimated or when the likelihood of loss is believed to be only reasonably possible or remote.  For contingencies where an unfavorable outcome is reasonably possible and the impact would be material to our consolidated financial statements, we disclose the nature of the contingency and, where feasible, an estimate of the possible loss or range of loss.

    Loss contingencies considered remote are generally not disclosed unless they involve guarantees, in which case the guarantees would be disclosed.  See Note 15 for additional information regarding our contingencies.

    Derivative Instruments
    We use derivative instruments such as futures, swaps, options, forward contracts and other arrangements to manage price risks associated with inventories, firm commitments, interest rates and certain anticipated future commodity transactions.  To qualify for hedge accounting, the hedged item must expose us to risk and the related derivative instrument must reduce the exposure to that risk and meet specific hedge documentation requirements related to designation dates, expectations for hedge effectiveness and the probability that hedged future transactions will occur as forecasted.  We formally designate derivative instruments as hedges and document and assess their effectiveness at inception of the hedge and on a monthly basis thereafter.  Forecasted transactions are evaluated for the probability of occurrence and are periodically back-tested once the forecasted period has passed to determine whether similarly forecasted transactions are probable of occurring in the future.

    For certain physical forward commodity derivative contracts, we apply the normal purchase/normal sale exception, whereby changes in the mark-to-market values of such contracts are not recognized in income.  As a result, the revenues and expenses associated with such physical transactions are recognized during the period when volumes are physically delivered or received.  Physical forward commodity contracts subject to this exception are evaluated for the probability of future delivery and are periodically back-tested once the forecasted period has passed to determine whether similar forward contracts are probable of physical delivery in the future.  See Note 4 for additional information regarding our derivative instruments.

    Estimates
    Preparing our consolidated financial statements in conformity with U.S. GAAP requires us to make estimates that affect amounts presented in the financial statements.  Our most significant estimates relate to (i) the useful lives and depreciation/amortization methods used for fixed and identifiable intangible assets; (ii) measurement of fair value and projections used in impairment testing of fixed and intangible assets (including goodwill); (iii) contingencies; and (iv) revenue and expense accruals.

    Actual results could differ materially from our estimates.  On an ongoing basis, we review our estimates based on currently available information.  Any changes in the facts and circumstances underlying our estimates may require us to update such estimates, which could have a material impact on our consolidated financial statements.

    Income Taxes
    Provision for income taxes primarily reflects our state tax obligations under the Revised Texas Franchise Tax (the “Texas Margin Tax”).

    Restricted Cash
    Restricted cash represents amounts held in segregated bank accounts by our clearing brokers as margin in support of our commodity derivative instruments portfolio and related physical purchases and sales of natural gas, NGLs, crude oil and refined products.  Additional cash may be restricted to maintain our commodity derivative instruments portfolio as prices fluctuate or deposit requirements change.  At September 30, 2015, our restricted cash amounts were $46.2 million.  We did not have any restricted cash as of December 31, 2014.  See Note 4 for information regarding our derivative instruments and hedging activities.


    XML 43 R62.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Intangible Assets and Goodwill, Intangible Assets (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Identifiable intangible assets [Abstract]          
    Gross Value $ 5,274.3   $ 5,274.3   $ 5,548.4
    Accumulated Amortization (1,192.2)   (1,192.2)   (1,246.3)
    Carrying Value 4,082.1   4,082.1   4,302.1
    Amortization Expense 51.7 $ 23.5 129.2 $ 72.7  
    Forecasted amortization expense [Abstract]          
    Remainder of 2015 50.3   50.3    
    2016 218.8   218.8    
    2017 223.5   223.5    
    2018 220.4   220.4    
    2019 208.6   208.6    
    Oiltanking Partners L.P. - Step 1 [Member] | Incentive distribution rights [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value         1,460.0
    Carrying Value         1,460.0
    Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 1,410.0   $ 1,410.0    
    Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member] | Minimum [Member]          
    Identifiable intangible assets [Abstract]          
    Finite-Lived Intangible Asset, Useful Life     26 years    
    Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member] | Maximum [Member]          
    Identifiable intangible assets [Abstract]          
    Finite-Lived Intangible Asset, Useful Life     29 years    
    NGL Pipelines & Services [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 833.8   $ 833.8   1,051.1
    Accumulated Amortization (373.4)   (373.4)   (361.9)
    Carrying Value 460.4   460.4   689.2
    Amortization Expense 9.7 8.1 24.9 25.4  
    NGL Pipelines & Services [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 550.8   550.8   340.8
    Accumulated Amortization (183.8)   (183.8)   (183.2)
    Carrying Value 367.0   367.0   157.6
    NGL Pipelines & Services [Member] | Contract-based intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 283.0   283.0   277.7
    Accumulated Amortization (189.6)   (189.6)   (178.7)
    Carrying Value 93.4   93.4   99.0
    NGL Pipelines & Services [Member] | Incentive distribution rights [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value [1] 0.0   0.0   432.6
    Accumulated Amortization [1] 0.0   0.0   0.0
    Carrying Value [1] 0.0   0.0   432.6
    NGL Pipelines & Services [Member] | Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 230.1   230.1    
    Crude Oil Pipelines & Services [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 2,485.8   2,485.8   2,244.8
    Accumulated Amortization (83.5)   (83.5)   (21.2)
    Carrying Value 2,402.3   2,402.3   2,223.6
    Amortization Expense 29.0 0.3 62.3 0.9  
    Crude Oil Pipelines & Services [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 2,204.4   2,204.4   1,108.0
    Accumulated Amortization (28.1)   (28.1)   (7.7)
    Carrying Value 2,176.3   2,176.3   1,100.3
    Crude Oil Pipelines & Services [Member] | Contract-based intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 281.4   281.4   281.4
    Accumulated Amortization (55.4)   (55.4)   (13.5)
    Carrying Value 226.0   226.0   267.9
    Crude Oil Pipelines & Services [Member] | Incentive distribution rights [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value [1] 0.0   0.0   855.4
    Accumulated Amortization [1] 0.0   0.0   0.0
    Carrying Value [1] 0.0   0.0   855.4
    Crude Oil Pipelines & Services [Member] | Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 1,100.0   1,100.0    
    Natural Gas Pipelines & Services [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 1,712.9   1,712.9   1,629.6
    Accumulated Amortization (687.2)   (687.2)   (656.7)
    Carrying Value 1,025.7   1,025.7   972.9
    Amortization Expense 10.7 11.1 30.5 34.2  
    Natural Gas Pipelines & Services [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 1,246.9   1,246.9   1,163.6
    Accumulated Amortization (327.8)   (327.8)   (308.9)
    Carrying Value 919.1   919.1   854.7
    Natural Gas Pipelines & Services [Member] | Contract-based intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 466.0   466.0   466.0
    Accumulated Amortization (359.4)   (359.4)   (347.8)
    Carrying Value 106.6   106.6   118.2
    Natural Gas Pipelines & Services [Member] | Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 83.3   83.3    
    Petrochemical & Refined Products Services [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 241.8   241.8   425.9
    Accumulated Amortization (48.1)   (48.1)   (51.1)
    Carrying Value 193.7   193.7   374.8
    Amortization Expense 2.3 1.5 7.0 4.6  
    Petrochemical & Refined Products Services [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 185.5   185.5   198.4
    Accumulated Amortization (37.3)   (37.3)   (43.3)
    Carrying Value 148.2   148.2   155.1
    Petrochemical & Refined Products Services [Member] | Contract-based intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value 56.3   56.3   56.3
    Accumulated Amortization (10.8)   (10.8)   (7.8)
    Carrying Value 45.5   45.5   48.5
    Petrochemical & Refined Products Services [Member] | Incentive distribution rights [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value [1] 0.0   0.0   171.2
    Accumulated Amortization [1] 0.0   0.0   0.0
    Carrying Value [1] 0.0   0.0   171.2
    Offshore Pipelines & Services [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value [2] 0.0   0.0   197.0
    Accumulated Amortization [2] 0.0   0.0   (155.4)
    Carrying Value [2] 0.0   0.0   41.6
    Amortization Expense 0.0 $ 2.5 4.5 $ 7.6  
    Offshore Pipelines & Services [Member] | Customer relationship intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value [2] 0.0   0.0   195.8
    Accumulated Amortization [2] 0.0   0.0   (154.9)
    Carrying Value [2] 0.0   0.0   40.9
    Offshore Pipelines & Services [Member] | Contract-based intangibles [Member]          
    Identifiable intangible assets [Abstract]          
    Gross Value [2] 0.0   0.0   1.2
    Accumulated Amortization [2] 0.0   0.0   (0.5)
    Carrying Value [2] $ 0.0   $ 0.0   $ 0.7
    [1] At December 31, 2014, we had indefinite-lived intangible assets outstanding with a carrying value of $1.46 billion recorded in connection with our acquisition of the Oiltanking IDRs in October 2014. The IDRs represented contractual rights to future cash incentive distributions to be paid by Oiltanking. In February 2015 (following completion of Step 2 of the Oiltanking acquisition), the Oiltanking IDRs were cancelled and the carrying value of the IDRs were reclassified to goodwill.
    [2] Our intangible assets classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015 (see Note 6).
    XML 44 R43.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity-based Awards, Restricted Unit Awards (Details) - Restricted Common Unit Awards [Member] - USD ($)
    $ / shares in Units, $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
    Vesting rate of restricted common unit awards (in hundredths) 25.00%   25.00%  
    Summary of awards activity, equity instruments other than options [Roll Forward]        
    Beginning of period (in units)     4,229,790  
    Vested (in units)     (1,997,194)  
    Forfeited (in units)     (157,750)  
    End of period (in units) 2,074,846   2,074,846  
    Restricted units outstanding, weighted-average grant date fair value [Roll Forward]        
    Weighted-average grant date fair value per unit, at beginning of period (in dollars per unit) [1]     $ 26.96  
    Vested weighted-average grant date fair value per unit (in dollars per unit) [1]     25.99  
    Forfeited weighted-average grant date fair value per unit (in dollars per unit) [1]     27.64  
    Weighted-average grant date fair value per unit, at end of period (in dollars per unit) [1] $ 27.85   $ 27.85  
    Summary of awards activity, equity instruments other than options, additional disclosures [Abstract]        
    Cash distributions paid to restricted common unitholders $ 0.8 $ 1.6 $ 3.2 $ 5.7
    Total intrinsic value of our restricted common unit awards that vested during period 1.5 $ 1.3 66.9 $ 85.4
    Unrecognized Compensation Expense [Abstract]        
    Unrecognized compensation cost 11.5   $ 11.5  
    Recognition period for total unrecognized compensation cost     1 year 1 month 6 days  
    Enterprise [Member]        
    Unrecognized Compensation Expense [Abstract]        
    Unrecognized compensation cost $ 9.6   $ 9.6  
    [1] Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
    XML 45 R29.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Property, Plant and Equipment (Tables)
    9 Months Ended
    Sep. 30, 2015
    Property, Plant and Equipment [Abstract]  
    Property, Plant and Equipment and Accumulated Depreciation
    The historical costs of our property, plant and equipment and related accumulated depreciation balances were as follows at the dates indicated:

     
     
    Estimated
    Useful Life
    in Years
      
    September 30,
    2015
      
    December 31,
    2014
     
    Plants, pipelines and facilities (1)
     
    3-45 (6)
     
     
    $
    31,686.3
      
    $
    30,834.9
     
    Underground and other storage facilities (2)
     
    5-40 (7)
     
      
    2,847.7
       
    2,584.2
     
    Platforms and facilities (3)
     
    20-31
       
    --
       
    659.7
     
    Transportation equipment (4)
     
    3-10
       
    164.8
       
    154.2
     
    Marine vessels (5)
     
    15-30
       
    787.5
       
    796.4
     
    Land
          
    261.3
       
    262.6
     
    Construction in progress
          
    3,777.2
       
    2,754.7
     
    Total historical cost of property, plant and equipment
          
    39,524.8
       
    38,046.7
     
        Less accumulated depreciation
          
    8,310.7
       
    8,165.1
     
    Total property, plant and equipment, net
         
    $
    31,214.1
      
    $
    29,881.6
     
      
     
    (1)   Plants, pipelines and facilities include processing plants; NGL, natural gas, crude oil and petrochemical and refined products pipelines; terminal loading and unloading facilities; office furniture and equipment; buildings; laboratory and shop equipment and related assets.
     
    (2)   Underground and other storage facilities include underground product storage caverns; above ground storage tanks; water wells and related assets.
     
    (3)   Platforms and facilities included offshore platforms and related facilities and other associated assets located in the Gulf of Mexico prior to the sale of our Offshore Business (see below).
     
    (4)   Transportation equipment includes tractor-trailer tank trucks and other vehicles and similar assets used in our operations.
     
    (5)   Marine vessels include tow boats, barges and related equipment used in our marine transportation business.
     
    (6)   In general, the estimated useful lives of major assets within this category are: processing plants, 20-35 years; pipelines and related equipment, 5-45 years; terminal facilities, 10-35 years; office furniture and equipment, 3-20 years; buildings, 20-40 years; and laboratory and shop equipment, 5-35 years.
     
    (7)   In general, the estimated useful lives of assets within this category are: underground storage facilities, 5-35 years; storage tanks, 10-40 years; and water wells, 5-35 years.
     

    Depreciation Expense and Capitalized Interest
    The following table summarizes our depreciation expense and capitalized interest amounts for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Depreciation expense (1)
     
    $
    286.2
      
    $
    283.2
      
    $
    870.1
      
    $
    822.1
     
    Capitalized interest (2)
      
    40.3
       
    17.2
       
    105.6
       
    53.4
     
        
    (1)  Depreciation expense is a component of “Costs and expenses” as presented on our Unaudited Condensed Statements of Consolidated Operations.
     
    (2)  We capitalize interest costs incurred on funds used to construct property, plant and equipment while the asset is in its construction phase. The capitalized interest is recorded as part of the asset to which it relates and is amortized over the asset’s estimated useful life as a component of depreciation expense. When capitalized interest is recorded, it reduces interest expense from what it would be otherwise.
     

    AROs
    The following table presents information regarding our AROs since December 31, 2014:

    ARO liability balance, December 31, 2014
     
    $
    98.3
     
    Liabilities incurred
      
    2.7
     
    Liabilities settled
      
    (5.9
    )
    Revisions in estimated cash flows
      
    49.0
     
    Accretion expense
      
    4.2
     
        AROs related to Offshore Business sold in July 2015
      
    (91.1
    )
    ARO liability balance, September 30, 2015
     
    $
    57.2
     

    XML 46 R28.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Inventories (Tables)
    9 Months Ended
    Sep. 30, 2015
    Inventories [Abstract]  
    Inventory Amounts by Product Type
    Our inventory amounts by product type were as follows at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    NGLs
     
    $
    740.5
      
    $
    579.1
     
    Petrochemicals and refined products
      
    158.0
       
    295.6
     
    Crude oil
      
    152.2
       
    97.8
     
    Natural gas
      
    34.7
       
    41.7
     
    Total
     
    $
    1,085.4
      
    $
    1,014.2
     

    Cost of Sales and Lower of Cost or Market Adjustments
    Due to fluctuating commodity prices, we recognize lower of cost or market adjustments when the carrying value of our available-for-sale inventories exceeds their net realizable value.  The following table presents our total cost of sales amounts and lower of cost or market adjustments for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Cost of sales (1)
     
    $
    4,419.9
      
    $
    10,455.1
      
    $
    15,355.9
      
    $
    32,213.1
     
    Lower of cost or market adjustments
      
    2.1
       
    6.7
       
    6.1
       
    14.6
     
     
    (1)   Cost of sales is a component of “Operating costs and expenses” as presented on our Unaudited Condensed Statements of Consolidated Operations. Fluctuations in these amounts are primarily due to changes in energy commodity prices and sales volumes associated with our marketing activities.
     


    XML 47 R56.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Property, Plant and Equipment (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment $ 39,524.8   $ 39,524.8   $ 38,046.7
    Less accumulated depreciation 8,310.7   8,310.7   8,165.1
    Property, plant and equipment, net 31,214.1   31,214.1   29,881.6
    Summary of depreciation expense and capitalized interest [Abstract]          
    Depreciation expense [1] 286.2 $ 283.2 870.1 $ 822.1  
    Capitalized interest [2] 40.3 $ 17.2 105.6 $ 53.4  
    Asset Retirement Obligations [Roll Forward]          
    Balance at beginning of period     98.3    
    Liabilities incurred     2.7    
    Liabilities settled     (5.9)    
    Revisions in estimated cash flows     49.0    
    Accretion expense     4.2    
    AROs related to Offshore Business sold in July 2015     (91.1)    
    Balance at end of period 57.2   57.2    
    Capitalized costs, asset retirement costs 17.8   17.8   31.3
    Matagorda Gathering System [Member]          
    Asset Retirement Obligations [Roll Forward]          
    Revisions in estimated cash flows     39.5    
    Plants, pipelines and facilities [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment [3] 31,686.3   $ 31,686.3   30,834.9
    Plants, pipelines and facilities [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [3],[4]     3 years    
    Plants, pipelines and facilities [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [3],[4]     45 years    
    Underground and other storage facilities [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment [5] 2,847.7   $ 2,847.7   2,584.2
    Underground and other storage facilities [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [5],[6]     5 years    
    Underground and other storage facilities [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [5],[6]     40 years    
    Platforms and facilities [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment [7] 0.0   $ 0.0   659.7
    Platforms and facilities [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [7]     20 years    
    Platforms and facilities [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [7]     31 years    
    Transportation equipment [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment [8] 164.8   $ 164.8   154.2
    Transportation equipment [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [8]     3 years    
    Transportation equipment [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [8]     10 years    
    Marine vessels [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment [9] 787.5   $ 787.5   796.4
    Marine vessels [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [9]     15 years    
    Marine vessels [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life [9]     30 years    
    Land [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment 261.3   $ 261.3   262.6
    Construction in progress [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Total historical cost of property, plant and equipment $ 3,777.2   $ 3,777.2   $ 2,754.7
    Processing plants [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     20 years    
    Processing plants [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     35 years    
    Pipelines and related equipment [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     5 years    
    Pipelines and related equipment [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     45 years    
    Terminal facilities [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     10 years    
    Terminal facilities [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     35 years    
    Office furniture and equipment [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     3 years    
    Office furniture and equipment [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     20 years    
    Buildings [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     20 years    
    Buildings [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     40 years    
    Laboratory and shop equipment [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     5 years    
    Laboratory and shop equipment [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     35 years    
    Underground storage facilities [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     5 years    
    Underground storage facilities [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     35 years    
    Storage tanks [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     10 years    
    Storage tanks [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     40 years    
    Water wells [Member] | Minimum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     5 years    
    Water wells [Member] | Maximum [Member]          
    Property, plant and equipment and accumulated depreciation [Abstract]          
    Estimated useful life     35 years    
    [1] Depreciation expense is a component of "Costs and expenses" as presented on our Unaudited Condensed Statements of Consolidated Operations.
    [2] We capitalize interest costs incurred on funds used to construct property, plant and equipment while the asset is in its construction phase. The capitalized interest is recorded as part of the asset to which it relates and is amortized over the asset's estimated useful life as a component of depreciation expense. When capitalized interest is recorded, it reduces interest expense from what it would be otherwise.
    [3] Plants, pipelines and facilities include processing plants; NGL, natural gas, crude oil and petrochemical and refined products pipelines; terminal loading and unloading facilities; office furniture and equipment; buildings; laboratory and shop equipment and related assets.
    [4] In general, the estimated useful lives of major assets within this category are: processing plants, 20-35 years; pipelines and related equipment, 5-45 years; terminal facilities, 10-35 years; office furniture and equipment, 3-20 years; buildings, 20-40 years; and laboratory and shop equipment, 5-35 years.
    [5] Underground and other storage facilities include underground product storage caverns; above ground storage tanks; water wells and related assets.
    [6] In general, the estimated useful lives of assets within this category are: underground storage facilities, 5-35 years; storage tanks, 10-40 years; and water wells, 5-35 years.
    [7] Platforms and facilities included offshore platforms and related facilities and other associated assets located in the Gulf of Mexico prior to the sale of our Offshore Business (see below).
    [8] Transportation equipment includes tractor-trailer tank trucks and other vehicles and similar assets used in our operations.
    [9] Marine vessels include tow boats, barges and related equipment used in our marine transportation business.
    XML 48 R44.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity-based Awards, Phantom Unit Awards (Details) - USD ($)
    $ / shares in Units, $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Summary of awards activity, equity instruments other than options, additional disclosures [Abstract]        
    Cash payments made in connection with DERs     $ 5.6 $ 2.4
    Phantom Unit Awards [Member]        
    Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
    Vesting rate of phantom unit awards (in hundredths) 25.00%   25.00%  
    Summary of awards activity, equity instruments other than options [Roll Forward]        
    Beginning of period (in units)     3,342,390  
    Granted (in units) [1]     3,491,040  
    Vested (in units)     (933,890)  
    Forfeited (in units)     (275,356)  
    End of period (in units) 5,624,184   5,624,184  
    Phantom units outstanding, weighted-average grant date fair value [Roll Forward]        
    Weighted-average grant date fair value per unit, at beginning of period (in dollars per unit) [2]     $ 33.13  
    Granted weighted-average grant date fair value per unit (in dollars per unit) [1],[2]     33.97  
    Vested weighted-average grant date fair value per unit (in dollars per unit) [2]     33.13  
    Forfeited weighted-average grant date fair value per unit (in dollars per unit) [2]     33.51  
    Weighted-average grant date fair value per unit, at end of period (in dollars per unit) [2] $ 33.63   $ 33.63  
    Summary of awards activity, equity instruments other than options, additional disclosures [Abstract]        
    Aggregate grant date fair value     $ 118.6  
    Estimated forfeiture rate (in hundredths)     3.50%  
    Cash payments made in connection with DERs $ 2.2 $ 1.2 $ 5.6 2.4
    Total intrinsic value of phantom unit awards that vested during period 2.3 $ 0.1 31.0 $ 1.3
    Unrecognized Compensation Expense [Abstract]        
    Unrecognized compensation cost 100.4   $ 100.4  
    Recognition period for total unrecognized compensation cost     2 years  
    Phantom Unit Awards [Member] | Minimum [Member]        
    Summary of awards activity, equity instruments other than options, additional disclosures [Abstract]        
    Grant date market price of common units (in dollars per unit)     $ 27.31  
    Phantom Unit Awards [Member] | Maximum [Member]        
    Summary of awards activity, equity instruments other than options, additional disclosures [Abstract]        
    Grant date market price of common units (in dollars per unit)     $ 34.40  
    Phantom Unit Awards [Member] | Enterprise [Member]        
    Unrecognized Compensation Expense [Abstract]        
    Unrecognized compensation cost $ 91.7   $ 91.7  
    [1] The aggregate grant date fair value of phantom unit awards issued during 2015 was $118.6 million based on a grant date market price of our common units ranging from $27.31 to $34.40 per unit. An estimated annual forfeiture rate of 3.5% was applied to these awards.
    [2] Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
    XML 49 R30.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Investments in Unconsolidated Affiliates (Tables)
    9 Months Ended
    Sep. 30, 2015
    Investments in Unconsolidated Affiliates [Abstract]  
    Investments in Unconsolidated Affiliates
    The following table presents our investments in unconsolidated affiliates by business segment at the dates indicated.  We account for these investments using the equity method.

     
     
    Ownership
    Interest at
    September 30,
    2015
      
    September 30,
    2015
      
    December 31,
    2014
     
    NGL Pipelines & Services:
     
      
      
     
    Venice Energy Service Company, L.L.C.
     
    13.1%
     
     
    $
    26.4
      
    $
    27.7
     
    K/D/S Promix, L.L.C.
     
    50%
     
      
    42.8
       
    38.5
     
    Baton Rouge Fractionators LLC
     
    32.2%
     
      
    18.4
       
    18.8
     
    Skelly-Belvieu Pipeline Company, L.L.C.
     
    50%
     
      
    40.3
       
    40.1
     
    Texas Express Pipeline LLC
     
    35%
     
      
    343.4
       
    349.3
     
    Texas Express Gathering LLC
     
    45%
     
      
    37.2
       
    37.9
     
    Front Range Pipeline LLC
     
    33.3%
     
      
    171.7
       
    170.0
     
    Delaware Basin Gas Processing LLC (1)
     
    50%
     
      
    28.7
       
    --
     
    Crude Oil Pipelines & Services:
               
    Seaway Crude Pipeline Company LLC
     
    50%
     
      
    1,403.1
       
    1,431.2
     
    Eagle Ford Pipeline LLC
     
    50%
     
      
    391.4
       
    336.5
     
    Eagle Ford Terminals Corpus Christi LLC (2)
     
    50%
     
      
    23.4
       
    --
     
    Natural Gas Pipelines & Services:
               
    White River Hub, LLC
     
    50%
     
      
    23.1
       
    23.2
     
    Petrochemical & Refined Products Services:
               
    Baton Rouge Propylene Concentrator, LLC
     
    30%
     
      
    5.8
       
    6.5
     
    Centennial Pipeline LLC (“Centennial”)
     
    50%
     
      
    67.2
       
    66.1
     
    Other
     
    Various
       
    2.4
       
    2.5
     
    Offshore Pipelines & Services: (3)
               
    Poseidon Oil Pipeline Company, L.L.C.
     
    --
       
    --
       
    31.8
     
    Cameron Highway Oil Pipeline Company
     
    --
       
    --
       
    201.3
     
    Deepwater Gateway, L.L.C.
     
    --
       
    --
       
    79.6
     
    Neptune Pipeline Company, L.L.C.
     
    --
       
    --
       
    34.9
     
    Southeast Keathley Canyon Pipeline Company L.L.C.
     
    --
       
    --
       
    146.1
     
    Total investments in unconsolidated affiliates
        
    $
    2,625.3
      
    $
    3,042.0
     
                    
    (1)   New joint venture formed with Oxy Delaware Basin Plant, LLC, a subsidiary of Occidental Petroleum Corporation, in April 2015 that will plan, design and construct a new cryogenic natural gas processing plant to accommodate the growing production of NGL-rich natural gas in the Delaware Basin.
    (2)   New joint venture formed with Plains Marketing, L.P., a subsidiary of Plains All American Pipeline, L.P., in March 2015 to construct and operate a marine terminal that will handle crude oil delivered by Eagle Ford Pipeline LLC.
    (3)   Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis on July 24, 2015 (see Note 6). At June 30, 2015, the carrying value of these investments was $482.4 million.
     

    The following table presents our equity in income (loss) of unconsolidated affiliates by business segment for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    18.9
      
    $
    11.7
      
    $
    43.0
      
    $
    19.2
     
    Crude Oil Pipelines & Services
      
    81.2
       
    46.8
       
    220.5
       
    131.7
     
    Natural Gas Pipelines & Services
      
    0.9
       
    0.9
       
    2.8
       
    2.7
     
    Petrochemical & Refined Products Services
      
    (3.3
    )
      
    (4.2
    )
      
    (10.4
    )
      
    (10.3
    )
    Offshore Pipelines & Services
      
    5.4
       
    17.1
       
    46.6
       
    35.8
     
    Total
     
    $
    103.1
      
    $
    72.3
      
    $
    302.5
      
    $
    179.1
     

    The following table presents our unamortized excess cost amounts by business segment at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    NGL Pipelines & Services
     
    $
    25.6
      
    $
    26.5
     
    Crude Oil Pipelines & Services
      
    20.9
       
    21.7
     
    Petrochemical & Refined Products Services
      
    2.4
       
    2.4
     
    Offshore Pipelines & Services (1)
      
    --
       
    9.0
     
    Total
     
    $
    48.9
      
    $
    59.6
     
             
    (1)    Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015.
     

    The following table presents our amortization of excess cost amounts by business segment for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    0.3
      
    $
    0.2
      
    $
    0.9
      
    $
    0.9
     
    Crude Oil Pipelines & Services
      
    0.3
       
    0.2
       
    0.8
       
    0.5
     
    Petrochemical & Refined Products Services
      
    --
       
    --
       
    --
       
    0.1
     
    Offshore Pipelines & Services
      
    --
       
    0.3
       
    2.8
       
    0.8
     
    Total
     
    $
    0.6
      
    $
    0.7
      
    $
    4.5
      
    $
    2.3
     

    XML 50 R31.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Acquisitions (Tables)
    9 Months Ended
    Sep. 30, 2015
    Business Combinations [Abstract]  
    Allocation of Total Purchase Prices Paid in Connection with Business Combinations

    The following table summarizes the consideration paid in the EFS Midstream acquisition and the amounts of the assets acquired and liabilities assumed as of July 1, 2015:

    Consideration:
      
    Cash
     
    $
    1,058.5
     
    Accrued liability related to EFS Midstream acquisition
      
    997.7
     
    Total consideration
     
    $
    2,056.2
     
         
    Identifiable assets acquired in business combination:
        
    Current assets, including cash of $13.4 million
     
    $
    64.0
     
    Property, plant and equipment
      
    636.0
     
    Customer relationship intangible assets
      
    1,409.8
     
    Total assets acquired
      
    2,109.8
     
    Liabilities assumed in business combination:
        
    Current liabilities
      
    (9.6
    )
    Long-term debt
      
    (125.0
    )
    Other long-term liabilities
      
    (1.3
    )
    Total liabilities assumed
      
    (135.9
    )
    Total assets acquired less liabilities assumed
      
    1,973.9
     
    Total consideration given for EFS Midstream
      
    2,056.2
     
    Goodwill
     
    $
    82.3
     

    Unaudited Pro Forma Earnings Information
    Since the effective date of the EFS Midstream acquisition was July 1, 2015, our Unaudited Condensed Statements of Consolidated Operations do not include earnings from this business prior to this date.  The following table presents selected unaudited pro forma earnings information for the nine months ended September 30, 2015 and 2014 as if the acquisition had been completed on January 1, 2014.  This pro forma information was prepared using historical financial data for EFS Midstream and reflects certain estimates and assumptions made by our management.  Our unaudited pro forma financial information is not necessarily indicative of what our consolidated financial results would have been for the periods presented had we acquired EFS Midstream on January 1, 2014.

     
    For the Three
    Months Ended
    September 30, 2014
      
    For the Nine Months
    Ended September 30,
     
     
       
    2015
      
    2014
     
    Pro forma earnings data:
          
    Revenues
     
    $
    12,388.7
      
    $
    20,993.5
      
    $
    37,927.5
     
    Costs and expenses
      
    11,502.6
       
    18,645.5
       
    35,195.2
     
    Operating income
      
    958.4
       
    2,650.5
       
    2,911.4
     
    Net income
      
    715.3
       
    1,900.9
       
    2,195.5
     
    Net income attributable to noncontrolling interests
      
    8.1
       
    28.5
       
    24.8
     
    Net income attributable to limited partners
      
    707.2
       
    1,872.4
       
    2,170.7
     
                 
    Basic earnings per unit:
                
    As reported basic earnings per unit
     
    $
    0.38
      
    $
    0.94
      
    $
    1.16
     
    Pro forma basic earnings per unit
     
    $
    0.38
      
    $
    0.96
      
    $
    1.18
     
    Diluted earnings per unit:
                
    As reported diluted earnings per unit
     
    $
    0.37
      
    $
    0.92
      
    $
    1.13
     
    Pro forma diluted earnings per unit
     
    $
    0.38
      
    $
    0.94
      
    $
    1.15
     


    XML 51 R8.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Partnership Operations, Organization and Basis for Presentation
    9 Months Ended
    Sep. 30, 2015
    Partnership Operations and Organization [Abstract]  
    Partnership Operations and Organization
     
    With the exception of per unit amounts, or as noted within the context of each disclosure,
    the dollar amounts presented in the tabular data within these disclosures are
    stated in millions of dollars.

    KEY REFERENCES USED IN THESE
    NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

    Unless the context requires otherwise, references to “we,” “us,” “our,” “Enterprise” or “Enterprise Products Partners” are intended to mean the business and operations of Enterprise Products Partners L.P. and its consolidated subsidiaries.  References to “EPO” mean Enterprise Products Operating LLC, which is a wholly owned subsidiary of Enterprise, and its consolidated subsidiaries, through which Enterprise Products Partners L.P. conducts its business.  Enterprise is managed by its general partner, Enterprise Products Holdings LLC (“Enterprise GP”), which is a wholly owned subsidiary of Dan Duncan LLC, a privately held Texas limited liability company.

    The membership interests of Dan Duncan LLC are owned by a voting trust, the current trustees (“DD LLC Trustees”) of which are: (i) Randa Duncan Williams, who is also a director and Chairman of the Board of Enterprise GP; (ii) Dr. Ralph S. Cunningham; and (iii) Richard H. Bachmann.  Each of the DD LLC Trustees also currently serves as one of the three managers of Dan Duncan LLC.

    References to “EPCO” mean Enterprise Products Company, a privately held Texas corporation, and its privately held affiliates.  A majority of the outstanding voting capital stock of EPCO is owned by a voting trust, the current trustees (“EPCO Trustees”) of which are:  (i) Ms. Williams, who serves as Chairman of EPCO; (ii) Dr. Cunningham, who serves as a Vice Chairman of EPCO; and (iii) Mr. Bachmann, who serves as the President and Chief Executive Officer (“CEO”) of EPCO.  Each of the EPCO Trustees is also a director of EPCO.
      
    In addition to owning our general partner, EPCO and its privately held affiliates owned approximately 33.7% of our limited partner interests at September 30, 2015.

    References to “Oiltanking” and “Oiltanking GP” mean Oiltanking Partners, L.P. and OTLP GP, LLC, the general partner of Oiltanking, respectively.  In October 2014, we acquired approximately 65.9% of the limited partner interests of Oiltanking, all of the member interests of Oiltanking GP and the incentive distribution rights (“IDRs”) held by Oiltanking GP from Oiltanking Holding Americas, Inc. (“OTA”) as the first step of a two-step acquisition of Oiltanking.  In February 2015, we completed the second step of this acquisition.  See Note 11 for additional information regarding this acquisition.

    References to “TEPPCO” mean TEPPCO Partners, L.P. prior to its merger with one of our wholly owned subsidiaries in October 2009.

    References to “Offshore Business” refer to the Gulf of Mexico operations we sold to Genesis Energy, L.P. (“Genesis”) in July 2015.  See Note 6 for information regarding this sale.

    References to “EFS Midstream” mean EFS Midstream LLC, which we acquired in July 2015 from affiliates of Pioneer Natural Resources Company (“Pioneer”) and Reliance Industries Limited (“Reliance”).  See Note 8 for additional information regarding this acquisition.


    Note 1.  Partnership Operations, Organization and Basis of Presentation

    General
    We are a publicly traded Delaware limited partnership, the common units of which are listed on the New York Stock Exchange (“NYSE”) under the ticker symbol “EPD.”  We were formed in April 1998 to own and operate certain natural gas liquids (“NGLs”) related businesses of EPCO and are now a leading North American provider of midstream energy services to producers and consumers of natural gas, NGLs, crude oil, petrochemicals and refined products. 

    Our integrated midstream energy asset network links producers of natural gas, NGLs and crude oil from some of the largest supply basins in the United States (“U.S.”), Canada and the Gulf of Mexico with domestic consumers and international markets.  Our midstream energy operations currently include: natural gas gathering, treating, processing, transportation and storage; NGL transportation, fractionation, storage, and import and export terminals (including liquefied petroleum gas or “LPG”); crude oil gathering, transportation, storage and terminals;  petrochemical and refined products transportation, storage and terminals, and related services; and a marine transportation business that operates primarily on the U.S. inland and Intracoastal Waterway systems and in the Gulf of Mexico.  Our assets currently include approximately 49,000 miles of pipelines; 225 million barrels (“MMBbls”) of storage capacity for NGLs, crude oil, petrochemicals and refined products; and 14 billion cubic feet (“Bcf”) of natural gas storage capacity.  

    Our historical operations are reported under five business segments: (i) NGL Pipelines & Services, (ii) Crude Oil Pipelines & Services, (iii) Natural Gas Pipelines & Services, (iv) Petrochemical & Refined Products Services and (v) Offshore Pipelines & Services.

    On July 24, 2015, we completed the sale of our Offshore Business to Genesis.  As a result of this sale, we renamed our Onshore Crude Oil Pipelines & Services business segment “Crude Oil Pipelines & Services.”  In addition, we renamed our Onshore Natural Gas Pipelines & Services business segment “Natural Gas Pipelines & Services.”  The operations reported within these two onshore segments did not change due to these name changes.  Our consolidated financial statements reflect ownership of the Offshore Business through July 24, 2015. See Note 12 for additional information regarding our business segments.

    As a result of our acquisition of the member interests of EFS Midstream effective July 1, 2015, we began consolidating the financial statements of EFS Midstream as of that date.  See Note 8 for information regarding this acquisition.

    We conduct substantially all of our business through EPO and are owned 100% by our limited partners from an economic perspective.  Enterprise GP manages our partnership and owns a non-economic general partner interest in us.  We, Enterprise GP, EPCO and Dan Duncan LLC are affiliates under the collective common control of the DD LLC Trustees and the EPCO Trustees.  Like many publicly traded partnerships, we have no employees.  All of our management, administrative and operating functions are performed by employees of EPCO pursuant to an administrative services agreement (the “ASA”) or by other service providers. See Note 13 for information regarding the ASA and other related party matters.


    XML 52 R32.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Intangible Assets and Goodwill (Tables)
    9 Months Ended
    Sep. 30, 2015
    Intangible Assets and Goodwill [Abstract]  
    Intangible Assets by Segment
    The following table summarizes our intangible assets by business segment at the dates indicated:

     
     
    September 30, 2015
      
    December 31, 2014
     
     
     
    Gross
    Value
      
    Accumulated
    Amortization
      
    Carrying
    Value
      
    Gross
    Value
      
    Accumulated
    Amortization
      
    Carrying
    Value
     
    NGL Pipelines & Services:
     
      
      
      
      
      
     
    Customer relationship intangibles
     
    $
    550.8
      
    $
    (183.8
    )
     
    $
    367.0
      
    $
    340.8
      
    $
    (183.2
    )
     
    $
    157.6
     
    Contract-based intangibles
      
    283.0
       
    (189.6
    )
      
    93.4
       
    277.7
       
    (178.7
    )
      
    99.0
     
    IDRs (1)
      
    --
       
    --
       
    --
       
    432.6
       
    --
       
    432.6
     
    Segment total
      
    833.8
       
    (373.4
    )
      
    460.4
       
    1,051.1
       
    (361.9
    )
      
    689.2
     
    Crude Oil Pipelines & Services:
                            
    Customer relationship intangibles
      
    2,204.4
       
    (28.1
    )
      
    2,176.3
       
    1,108.0
       
    (7.7
    )
      
    1,100.3
     
    Contract-based intangibles
      
    281.4
       
    (55.4
    )
      
    226.0
       
    281.4
       
    (13.5
    )
      
    267.9
     
    IDRs (1)
      
    --
       
    --
       
    --
       
    855.4
       
    --
       
    855.4
     
    Segment total
      
    2,485.8
       
    (83.5
    )
      
    2,402.3
       
    2,244.8
       
    (21.2
    )
      
    2,223.6
     
    Natural Gas Pipelines & Services:
                            
    Customer relationship intangibles
      
    1,246.9
       
    (327.8
    )
      
    919.1
       
    1,163.6
       
    (308.9
    )
      
    854.7
     
    Contract-based intangibles
      
    466.0
       
    (359.4
    )
      
    106.6
       
    466.0
       
    (347.8
    )
      
    118.2
     
    Segment total
      
    1,712.9
       
    (687.2
    )
      
    1,025.7
       
    1,629.6
       
    (656.7
    )
      
    972.9
     
    Petrochemical & Refined Products Services:
                            
    Customer relationship intangibles
      
    185.5
       
    (37.3
    )
      
    148.2
       
    198.4
       
    (43.3
    )
      
    155.1
     
    Contract-based intangibles
      
    56.3
       
    (10.8
    )
      
    45.5
       
    56.3
       
    (7.8
    )
      
    48.5
     
    IDRs (1)
      
    --
       
    --
       
    --
       
    171.2
       
    --
       
    171.2
     
    Segment total
      
    241.8
       
    (48.1
    )
      
    193.7
       
    425.9
       
    (51.1
    )
      
    374.8
     
    Offshore Pipelines & Services: (2)
                            
    Customer relationship intangibles
      
    --
       
    --
       
    --
       
    195.8
       
    (154.9
    )
      
    40.9
     
    Contract-based intangibles
      
    --
       
    --
       
    --
       
    1.2
       
    (0.5
    )
      
    0.7
     
    Segment total
      
    --
       
    --
       
    --
       
    197.0
       
    (155.4
    )
      
    41.6
     
    Total intangible assets
     
    $
    5,274.3
      
    $
    (1,192.2
    )
      
    4,082.1
      
    $
    5,548.4
      
    $
    (1,246.3
    )
     
    $
    4,302.1
     
                                
    (1)   At December 31, 2014, we had indefinite-lived intangible assets outstanding with a carrying value of $1.46 billion recorded in connection with our acquisition of the Oiltanking IDRs in October 2014. The IDRs represented contractual rights to future cash incentive distributions to be paid by Oiltanking. In February 2015 (following completion of Step 2 of the Oiltanking acquisition), the Oiltanking IDRs were cancelled and the carrying value of the IDRs were reclassified to goodwill.
    (2)   Our intangible assets classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015 (see Note 6).
     

    Amortization Expense of Intangible Assets by Segment
    The following table presents the amortization expense of our intangible assets by business segment for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    9.7
      
    $
    8.1
      
    $
    24.9
      
    $
    25.4
     
    Crude Oil Pipelines & Services
      
    29.0
       
    0.3
       
    62.3
       
    0.9
     
    Natural Gas Pipelines & Services
      
    10.7
       
    11.1
       
    30.5
       
    34.2
     
    Petrochemical & Refined Products Services
      
    2.3
       
    1.5
       
    7.0
       
    4.6
     
    Offshore Pipelines & Services
      
    --
       
    2.5
       
    4.5
       
    7.6
     
    Total
     
    $
    51.7
      
    $
    23.5
      
    $
    129.2
      
    $
    72.7
     

    Forecasted Amortization Expense
    The following table presents a forecast of amortization expense associated with our intangible assets for the periods indicated:

    Remainder
    of 2015
      
    2016
      
    2017
      
    2018
      
    2019
     
    $
    50.3
      
    $
    218.8
      
    $
    223.5
      
    $
    220.4
      
    $
    208.6
     

    Changes in Carrying Amount of Goodwill
    Goodwill represents the excess of the purchase price of an acquired business over the amounts assigned to assets acquired and liabilities assumed in the transaction.  The following table presents changes in the carrying amount of goodwill since December 31, 2014:

     
     
    NGL
    Pipelines
    & Services
      
    Crude Oil
    Pipelines
    & Services
      
    Natural Gas
    Pipelines
    & Services
      
    Petrochemical
    & Refined
    Products
    Services
      
    Offshore
    Pipelines
    & Services
      
    Consolidated
    Total
     
    Balance at December 31, 2014
     
    $
    2,210.2
      
    $
    918.7
      
    $
    296.3
      
    $
    793.0
      
    $
    82.0
      
    $
    4,300.2
     
    Reclassification of Oiltanking IDR balances to goodwill in connection with the cancellation of such rights in February 2015 and other adjustments
      
    432.6
       
    850.7
       
    --
       
    170.8
       
    --
       
    1,454.1
     
    Reduction in goodwill related to the sale of assets
      
    --
       
    --
       
    --
       
    --
       
    (82.0
    )
      
    (82.0
    )
    Addition to goodwill related to the acquisition of EFS Midstream
      
    8.9
       
    73.4
       
    --
       
    --
       
    --
       
    82.3
     
    Goodwill reclassified to assets held-for-sale
      
    --
       
    --
       
    --
       
    (5.4
    )
      
    --
       
    (5.4
    )
    Balance at September 30, 2015
     
    $
    2,651.7
      
    $
    1,842.8
      
    $
    296.3
      
    $
    958.4
      
    $
    --
      
    $
    5,749.2
     

    XML 53 R40.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Partnership Operations, Organization and Basis for Presentation (Details)
    bbl in Millions, ft³ in Billions
    9 Months Ended
    Sep. 30, 2015
    Segment
    mi
    bbl
    ft³
    Dec. 31, 2014
    Related Party Transaction [Line Items]    
    Number of miles of onshore and offshore pipelines | mi 49,000  
    Number of barrels of storage capacity | bbl 225  
    Number of cubic feet of storage capacity | ft³ 14  
    Number of reportable segments 5  
    Limited partners ownership interest (in hundredths) 100.00%  
    EPCO and its privately held affiliates [Member]    
    Related Party Transaction [Line Items]    
    Percentage of Total Units Outstanding (in hundredths) 33.70%  
    Oiltanking Partners L.P. [Member]    
    Business Acquisition [Line Items]    
    Limited partner interests acquired (in hundredths)   65.90%
    XML 54 R53.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements, Nonrecurring Fair Value Measurements (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Asset Impairment Charges [Abstract]        
    Non-cash asset impairment charges $ 26.8 $ 5.7 $ 139.1 $ 18.2
    Impairment of long-lived assets disposed of other than by sale     69.9 11.7
    Impairment of long-lived assets held for sale     14.2 6.5
    Impairment of long-lived assets disposed of by sale [1]     55.0  
    Offshore Business [Member]        
    Asset Impairment Charges [Abstract]        
    Impairment of long-lived assets disposed of by sale     54.8  
    NGL Pipelines and Services [Member]        
    Asset Impairment Charges [Abstract]        
    Non-cash asset impairment charges 14.6 1.2 20.6 6.6
    Crude Oil Pipelines & Services [Member]        
    Asset Impairment Charges [Abstract]        
    Non-cash asset impairment charges 0.0 0.4 25.9 2.2
    Natural Gas Pipelines & Services [Member]        
    Asset Impairment Charges [Abstract]        
    Non-cash asset impairment charges 0.0 0.4 21.5 0.7
    Petrochemical & Refined Products Services [Member]        
    Asset Impairment Charges [Abstract]        
    Non-cash asset impairment charges 12.2 3.7 12.6 8.7
    Offshore Pipelines And Services [Member]        
    Asset Impairment Charges [Abstract]        
    Non-cash asset impairment charges 0.0 0.0 58.5 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Long-lived Assets Disposed of Other Than By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.4 0.0 0.4 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Long-lived Assets Held For Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 34.2 1.1 34.2 1.1
    Fair Value, Measurements, Nonrecurring [Member] | Long-lived Assets Disposed of By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0   0.0  
    Fair Value, Measurements, Nonrecurring [Member] | Level 1 [Member] | Long-lived Assets Disposed of Other Than By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0 0.0 0.0 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Level 1 [Member] | Long-lived Assets Held For Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0 0.0 0.0 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Level 1 [Member] | Long-lived Assets Disposed of By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0   0.0  
    Fair Value, Measurements, Nonrecurring [Member] | Level 2 [Member] | Long-lived Assets Disposed of Other Than By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0 0.0 0.0 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Level 2 [Member] | Long-lived Assets Held For Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0 0.0 0.0 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Level 2 [Member] | Long-lived Assets Disposed of By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.0   0.0  
    Fair Value, Measurements, Nonrecurring [Member] | Level 3 [Member] | Long-lived Assets Disposed of Other Than By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 0.4 0.0 0.4 0.0
    Fair Value, Measurements, Nonrecurring [Member] | Level 3 [Member] | Long-lived Assets Held For Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value 34.2 $ 1.1 34.2 $ 1.1
    Fair Value, Measurements, Nonrecurring [Member] | Level 3 [Member] | Long-lived Assets Disposed of By Sale [Member]        
    Assets, Fair Value Disclosure [Abstract]        
    Assets, fair value $ 0.0   $ 0.0  
    [1] Primarily represents the impairment charge recorded in second quarter of 2015 upon reclassification of our Offshore Business to held for sale status.
    XML 55 R72.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Segments, Segment Reporting Information (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Information by business segment [Abstract]          
    Revenues from third parties $ 6,294.0 $ 12,319.2 $ 20,845.6 $ 37,697.1  
    Revenues from related parties 13.9 11.0 27.3 63.8  
    Intersegment and intrasegment revenues 0.0 0.0 0.0 0.0  
    Total revenues 6,307.9 12,330.2 20,872.9 37,760.9  
    Equity in income (loss) of unconsolidated affiliates 103.1 72.3 302.5 179.1  
    Gross operating margin 1,341.1 1,335.1 3,978.7 3,928.1  
    Property, plant and equipment, net (see Note 6) 31,214.1   31,214.1   $ 29,881.6
    Investments in unconsolidated affiliates (see Note 7) 2,625.3   2,625.3   3,042.0
    Intangible assets, net (see Note 9) 4,082.1   4,082.1   4,302.1
    Goodwill (see Note 9) 5,749.2   5,749.2   4,300.2
    Segment assets 43,670.7   43,670.7   41,525.9
    NGL Pipelines and Services [Member]          
    Information by business segment [Abstract]          
    Equity in income (loss) of unconsolidated affiliates 18.9 11.7 43.0 19.2  
    Intangible assets, net (see Note 9) 460.4   460.4   689.2
    Goodwill (see Note 9) 2,651.7   2,651.7   2,210.2
    Crude Oil Pipelines & Services [Member]          
    Information by business segment [Abstract]          
    Equity in income (loss) of unconsolidated affiliates 81.2 46.8 220.5 131.7  
    Intangible assets, net (see Note 9) 2,402.3   2,402.3   2,223.6
    Goodwill (see Note 9) 1,842.8   1,842.8   918.7
    Natural Gas Pipelines & Services [Member]          
    Information by business segment [Abstract]          
    Equity in income (loss) of unconsolidated affiliates 0.9 0.9 2.8 2.7  
    Intangible assets, net (see Note 9) 1,025.7   1,025.7   972.9
    Goodwill (see Note 9) 296.3   296.3   296.3
    Petrochemical and Refined Products Services [Member]          
    Information by business segment [Abstract]          
    Equity in income (loss) of unconsolidated affiliates (3.3) (4.2) (10.4) (10.3)  
    Intangible assets, net (see Note 9) 193.7   193.7   374.8
    Goodwill (see Note 9) 958.4   958.4   793.0
    Offshore Pipelines And Services [Member]          
    Information by business segment [Abstract]          
    Equity in income (loss) of unconsolidated affiliates 5.4 17.1 46.6 35.8  
    Intangible assets, net (see Note 9) [1] 0.0   0.0   41.6
    Goodwill (see Note 9) 0.0   0.0   82.0
    Reportable Business Segments [Member] | NGL Pipelines and Services [Member]          
    Information by business segment [Abstract]          
    Revenues from third parties 2,284.6 4,024.0 7,223.2 13,217.2  
    Revenues from related parties 2.2 2.7 6.0 10.2  
    Intersegment and intrasegment revenues 2,461.0 3,603.8 7,685.1 10,789.7  
    Total revenues 4,747.8 7,630.5 14,914.3 24,017.1  
    Equity in income (loss) of unconsolidated affiliates 18.9 11.7 43.0 19.2  
    Gross operating margin 695.5 711.5 2,041.3 2,172.4  
    Property, plant and equipment, net (see Note 6) 12,192.8   12,192.8   11,766.9
    Investments in unconsolidated affiliates (see Note 7) 708.9   708.9   682.3
    Intangible assets, net (see Note 9) 460.4   460.4   689.2
    Goodwill (see Note 9) 2,651.7   2,651.7   2,210.2
    Segment assets 16,013.8   16,013.8   15,348.6
    Reportable Business Segments [Member] | Crude Oil Pipelines & Services [Member]          
    Information by business segment [Abstract]          
    Revenues from third parties 2,316.4 5,435.6 8,080.4 16,236.6  
    Revenues from related parties 6.2 1.5 8.6 31.1  
    Intersegment and intrasegment revenues 1,142.1 2,529.5 3,958.9 10,714.5  
    Total revenues 3,464.7 7,966.6 12,047.9 26,982.2  
    Equity in income (loss) of unconsolidated affiliates 81.2 46.8 220.5 131.7  
    Gross operating margin 254.6 190.8 704.2 534.5  
    Property, plant and equipment, net (see Note 6) 3,550.0   3,550.0   2,332.2
    Investments in unconsolidated affiliates (see Note 7) 1,817.9   1,817.9   1,767.7
    Intangible assets, net (see Note 9) 2,402.3   2,402.3   2,223.6
    Goodwill (see Note 9) 1,842.8   1,842.8   918.7
    Segment assets 9,613.0   9,613.0   7,242.2
    Reportable Business Segments [Member] | Natural Gas Pipelines & Services [Member]          
    Information by business segment [Abstract]          
    Revenues from third parties 705.2 1,026.5 2,117.5 3,261.0  
    Revenues from related parties 4.5 5.4 10.8 16.5  
    Intersegment and intrasegment revenues 180.2 231.0 519.7 835.8  
    Total revenues 889.9 1,262.9 2,648.0 4,113.3  
    Equity in income (loss) of unconsolidated affiliates 0.9 0.9 2.8 2.7  
    Gross operating margin 192.4 195.4 588.3 618.8  
    Property, plant and equipment, net (see Note 6) 8,680.6   8,680.6   8,835.5
    Investments in unconsolidated affiliates (see Note 7) 23.1   23.1   23.2
    Intangible assets, net (see Note 9) 1,025.7   1,025.7   972.9
    Goodwill (see Note 9) 296.3   296.3   296.3
    Segment assets 10,025.7   10,025.7   10,127.9
    Reportable Business Segments [Member] | Petrochemical and Refined Products Services [Member]          
    Information by business segment [Abstract]          
    Revenues from third parties 980.0 1,792.0 3,347.6 4,869.9  
    Revenues from related parties 0.0 0.0 0.0 0.0  
    Intersegment and intrasegment revenues 267.3 452.2 875.8 1,317.6  
    Total revenues 1,247.3 2,244.2 4,223.4 6,187.5  
    Equity in income (loss) of unconsolidated affiliates (3.3) (4.2) (10.4) (10.3)  
    Gross operating margin 191.5 190.3 547.4 482.4  
    Property, plant and equipment, net (see Note 6) 3,013.5   3,013.5   3,047.2
    Investments in unconsolidated affiliates (see Note 7) 75.4   75.4   75.1
    Intangible assets, net (see Note 9) 193.7   193.7   374.8
    Goodwill (see Note 9) 958.4   958.4   793.0
    Segment assets 4,241.0   4,241.0   4,290.1
    Reportable Business Segments [Member] | Offshore Pipelines And Services [Member]          
    Information by business segment [Abstract]          
    Revenues from third parties 7.8 41.1 76.9 112.4  
    Revenues from related parties 1.0 1.4 1.9 6.0  
    Intersegment and intrasegment revenues 0.1 1.2 0.6 4.8  
    Total revenues 8.9 43.7 79.4 123.2  
    Equity in income (loss) of unconsolidated affiliates 5.4 17.1 46.6 35.8  
    Gross operating margin 7.1 47.1 97.5 120.0  
    Property, plant and equipment, net (see Note 6) 0.0   0.0   1,145.1
    Investments in unconsolidated affiliates (see Note 7) 0.0   0.0   493.7
    Intangible assets, net (see Note 9) 0.0   0.0   41.6
    Goodwill (see Note 9) 0.0   0.0   82.0
    Segment assets 0.0   0.0   1,762.4
    Eliminations [Member]          
    Information by business segment [Abstract]          
    Revenues from third parties 0.0 0.0 0.0 0.0  
    Revenues from related parties 0.0 0.0 0.0 0.0  
    Intersegment and intrasegment revenues (4,050.7) (6,817.7) (13,040.1) (23,662.4)  
    Total revenues (4,050.7) (6,817.7) (13,040.1) (23,662.4)  
    Equity in income (loss) of unconsolidated affiliates 0.0 0.0 0.0 0.0  
    Gross operating margin 0.0 $ 0.0 0.0 $ 0.0  
    Adjustments [Member]          
    Information by business segment [Abstract]          
    Property, plant and equipment, net (see Note 6) 3,777.2   3,777.2   2,754.7
    Investments in unconsolidated affiliates (see Note 7) 0.0   0.0   0.0
    Intangible assets, net (see Note 9) 0.0   0.0   0.0
    Goodwill (see Note 9) 0.0   0.0   0.0
    Segment assets $ 3,777.2   $ 3,777.2   $ 2,754.7
    [1] Our intangible assets classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015 (see Note 6).
    XML 56 R2.htm IDEA: XBRL DOCUMENT v3.3.0.814
    UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS - USD ($)
    $ in Millions
    Sep. 30, 2015
    Dec. 31, 2014
    Current assets:    
    Cash and cash equivalents $ 80.5 $ 74.4
    Restricted cash 46.2 0.0
    Accounts receivable - trade, net of allowance for doubtful accounts of $12.9 at September 30, 2015 and $13.9 at December 31, 2014 2,802.0 3,823.0
    Accounts receivable - related parties 1.7 2.8
    Inventories 1,085.4 1,014.2
    Derivative assets 241.8 226.0
    Prepaid and other current assets 402.4 350.3
    Total current assets 4,660.0 5,490.7
    Property, plant and equipment, net 31,214.1 29,881.6
    Investments in unconsolidated affiliates 2,625.3 3,042.0
    Intangible assets, net of accumulated amortization of $1,192.2 at September 30, 2015 and $1,246.3 at December 31, 2014 (see Note 9) 4,082.1 4,302.1
    Goodwill (see Note 9) 5,749.2 4,300.2
    Other assets 197.1 184.4
    Total assets 48,527.8 47,201.0
    Current liabilities:    
    Current maturities of debt (see Note 10) [1] 1,619.4 2,206.4
    Accounts payable - trade 844.9 773.8
    Accounts payable - related parties 80.3 118.9
    Accrued product payables 2,547.9 3,853.3
    Accrued liability related to EFS Midstream acquisition (see Note 8) 997.7 0.0
    Accrued interest 198.9 335.5
    Other current liabilities 589.8 585.8
    Total current liabilities 6,878.9 7,873.7
    Long-term debt (see Note 10) 20,840.7 19,157.4
    Deferred tax liabilities 53.4 66.6
    Other long-term liabilities $ 401.9 $ 411.1
    Commitments and contingencies (see Note 15)
    Limited partners:    
    Common units (2,005,785,601 units outstanding at September 30, 2015 and 1,937,324,817 units outstanding at December 31, 2014) $ 20,392.8 $ 18,304.8
    Accumulated other comprehensive loss (230.7) (241.6)
    Total partners' equity 20,162.1 18,063.2
    Noncontrolling interests 190.8 1,629.0
    Total equity 20,352.9 19,692.2
    Total liabilities and equity $ 48,527.8 $ 47,201.0
    [1] We expect to refinance the current maturities of our debt obligations at or prior to their maturity.
    XML 57 R45.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity-based Awards, Unit Option Awards (Details) - Unit Option Awards [Member] - USD ($)
    $ / shares in Units, $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
    Vesting period     4 years  
    Summary of awards activity, options [Roll Forward]        
    Beginning of period (in units) [1]     1,270,000  
    Exercised (in units)     (1,080,000)  
    End of period (in units) [1] 190,000   190,000  
    Options outstanding, weighted-average strike price [Roll Forward]        
    Weighted average strike price, beginning of period (in dollars per unit)     $ 16.14  
    Weighted average strike price, exercised (in dollars per unit)     16.14  
    Weighted average strike price, end of period (in dollars per unit) $ 16.14   $ 16.14  
    Weighted average remaining contractual term     3 months 18 days  
    Aggregate intrinsic value [2] $ 1.7   $ 1.7  
    Total intrinsic value of unit option awards exercised during period 0.2 $ 0.0 19.8 $ 57.5
    Cash received from EPCO in connection with the exercise of unit option awards 0.2 0.0 11.5 33.4
    Unit option award-related cash reimbursements to EPCO $ 0.2 $ 0.0 $ 19.8 $ 57.5
    [1] All of the unit option awards outstanding at September 30, 2015 were exercisable. None of the unit option awards outstanding at December 31, 2014 were exercisable.
    [2] Aggregate intrinsic value reflects fully vested unit option awards at the dates indicated.
    XML 58 R6.htm IDEA: XBRL DOCUMENT v3.3.0.814
    UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED CASH FLOWS - USD ($)
    $ in Millions
    9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Operating activities:    
    Net income $ 1,864.9 $ 2,152.4
    Reconciliation of net income to net cash flows provided by operating activities:    
    Depreciation, amortization and accretion 1,147.7 992.4
    Non-cash asset impairment charges (see Note 4) 139.1 18.2
    Equity in income of unconsolidated affiliates (302.5) (179.1)
    Distributions received from unconsolidated affiliates 362.4 260.7
    Net losses (gains) attributable to asset sales and insurance recoveries (see Note 16) 14.7 (99.0)
    Gains on early extinguishment of debt (1.4) 0.0
    Deferred income tax expense (benefit) (13.3) 2.6
    Changes in fair value of Liquidity Option Agreement 15.8 0.0
    Changes in fair market value of derivative instruments (7.7) (3.8)
    Net effect of changes in operating accounts (see Note 16) (627.9) (435.8)
    Other operating activities (0.6) (4.2)
    Net cash flows provided by operating activities 2,591.2 2,704.4
    Investing activities:    
    Capital expenditures (2,630.5) (1,879.5)
    Contributions in aid of construction costs 11.4 20.0
    Decrease (increase) in restricted cash (46.2) 59.0
    Cash used for business combinations, net of cash received (see Note 8) (1,045.1) 0.0
    Investments in unconsolidated affiliates (130.7) (583.3)
    Proceeds from asset sales and insurance recoveries (see Note 16) 1,537.3 121.5
    Other investing activities (4.4) (5.8)
    Cash used in investing activities (2,308.2) (2,268.1)
    Financing activities:    
    Borrowings under debt agreements 17,113.7 7,167.5
    Repayments of debt (16,139.2) (4,856.3)
    Debt issuance costs (23.9) (18.1)
    Cash distributions paid to limited partners (see Note 11) (2,185.1) (1,948.2)
    Cash payments made in connection with distribution equivalent rights (5.6) (2.4)
    Cash distributions paid to noncontrolling interests (33.2) (29.4)
    Cash contributions from noncontrolling interests 37.4 4.0
    Net cash proceeds from the issuance of common units 1,011.4 304.9
    Other financing activities (52.4) (53.6)
    Cash provided by (used in) financing activities (276.9) 568.4
    Net change in cash and cash equivalents 6.1 1,004.7
    Cash and cash equivalents, beginning balance 74.4 56.9
    Cash and cash equivalents, ending balance $ 80.5 $ 1,061.6
    XML 59 R59.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Acquisitions (Details) - Eagle Ford Midstream Assets [Member] - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2015
    Business Acquisition    
    Description of acquisition   The EFS Midstream system includes approximately 460 miles of natural gas and condensate gathering pipelines, ten central gathering plants, 780 MMcf/d of natural gas treating capacity and 119 MBPD of condensate stabilization capacity.
    Revenues from acquired assets $ 56.7  
    Net income from acquired assets $ 23.8  
    XML 60 R35.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Segments (Tables)
    9 Months Ended
    Sep. 30, 2015
    Business Segments [Abstract]  
    Measurement of Total Segment Gross Operating Margin
    The following table presents our measurement of non-GAAP total segment gross operating margin for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Revenues
     
    $
    6,307.9
      
    $
    12,330.2
      
    $
    20,872.9
      
    $
    37,760.9
     
    Subtract operating costs and expenses
      
    (5,452.6
    )
      
    (11,414.8
    )
      
    (18,426.5
    )
      
    (34,934.4
    )
    Add equity in income of unconsolidated affiliates
      
    103.1
       
    72.3
       
    302.5
       
    179.1
     
    Add depreciation, amortization and accretion expense amounts not reflected in gross operating margin
      
    351.1
       
    322.7
       
    1,082.0
       
    936.5
     
    Add impairment charges not reflected in gross operating margin
      
    26.8
       
    5.7
       
    139.1
       
    18.2
     
    Add net losses or subtract net gains attributable to asset sales and insurance recoveries not reflected in gross operating margin (see Note 16)
      
    12.3
       
    (2.6
    )
      
    14.7
       
    (99.0
    )
    Add non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
      
    3.4
       
    21.6
       
    39.3
       
    66.8
     
    Subtract subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
      
    (10.9
    )
      
    --
       
    (45.3
    )
      
    --
     
    Total segment gross operating margin
     
    $
    1,341.1
      
    $
    1,335.1
      
    $
    3,978.7
      
    $
    3,928.1
     

    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 income taxes for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Total segment gross operating margin
     
    $
    1,341.1
      
    $
    1,335.1
      
    $
    3,978.7
      
    $
    3,928.1
     
    Adjustments to reconcile total segment gross operating margin to operating income:
                    
    Subtract depreciation, amortization and accretion expense amounts not reflected in gross operating margin
      
    (351.1
    )
      
    (322.7
    )
      
    (1,082.0
    )
      
    (936.5
    )
    Subtract impairment charges not reflected in gross operating margin
      
    (26.8
    )
      
    (5.7
    )
      
    (139.1
    )
      
    (18.2
    )
    Add net gains or subtract net losses attributable to asset sales and insurance recoveries not reflected in gross operating margin
      
    (12.3
    )
      
    2.6
       
    (14.7
    )
      
    99.0
     
    Subtract non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
      
    (3.4
    )
      
    (21.6
    )
      
    (39.3
    )
      
    (66.8
    )
    Add subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
      
    10.9
       
    --
       
    45.3
       
    --
     
    Subtract general and administrative costs not reflected in gross operating margin
      
    (49.0
    )
      
    (50.0
    )
      
    (143.2
    )
      
    (150.9
    )
    Operating income
      
    909.4
       
    937.7
       
    2,605.7
       
    2,854.7
     
    Other expense, net
      
    (246.2
    )
      
    (230.8
    )
      
    (736.4
    )
      
    (679.8
    )
    Income before income taxes
     
    $
    663.2
      
    $
    706.9
      
    $
    1,869.3
      
    $
    2,174.9
     

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

     
     
    Reportable Business Segments
      
      
     
     
     
    NGL
    Pipelines
    & Services
      
    Crude Oil
    Pipelines
    & Services
      
    Natural Gas
    Pipelines
    & Services
      
    Petrochemical
    & Refined Products Services
      
    Offshore
    Pipelines
    & Services
      
    Adjustments
    and
    Eliminations
      
    Consolidated
    Total
     
    Revenues from third parties:
     
      
      
      
      
      
      
     
    Three months ended September 30, 2015
     
    $
    2,284.6
      
    $
    2,316.4
      
    $
    705.2
      
    $
    980.0
      
    $
    7.8
      
    $
    --
      
    $
    6,294.0
     
    Three months ended September 30, 2014
      
    4,024.0
       
    5,435.6
       
    1,026.5
       
    1,792.0
       
    41.1
       
    --
       
    12,319.2
     
    Nine months ended September 30, 2015
      
    7,223.2
       
    8,080.4
       
    2,117.5
       
    3,347.6
       
    76.9
       
    --
       
    20,845.6
     
    Nine months ended September 30, 2014
      
    13,217.2
       
    16,236.6
       
    3,261.0
       
    4,869.9
       
    112.4
       
    --
       
    37,697.1
     
    Revenues from related parties:
                                
    Three months ended September 30, 2015
      
    2.2
       
    6.2
       
    4.5
       
    --
       
    1.0
       
    --
       
    13.9
     
    Three months ended September 30, 2014
      
    2.7
       
    1.5
       
    5.4
       
    --
       
    1.4
       
    --
       
    11.0
     
    Nine months ended September 30, 2015
      
    6.0
       
    8.6
       
    10.8
       
    --
       
    1.9
       
    --
       
    27.3
     
    Nine months ended September 30, 2014
      
    10.2
       
    31.1
       
    16.5
       
    --
       
    6.0
       
    --
       
    63.8
     
    Intersegment and intrasegment revenues:
                                
    Three months ended September 30, 2015
      
    2,461.0
       
    1,142.1
       
    180.2
       
    267.3
       
    0.1
       
    (4,050.7
    )
      
    --
     
    Three months ended September 30, 2014
      
    3,603.8
       
    2,529.5
       
    231.0
       
    452.2
       
    1.2
       
    (6,817.7
    )
      
    --
     
    Nine months ended September 30, 2015
      
    7,685.1
       
    3,958.9
       
    519.7
       
    875.8
       
    0.6
       
    (13,040.1
    )
      
    --
     
    Nine months ended September 30, 2014
      
    10,789.7
       
    10,714.5
       
    835.8
       
    1,317.6
       
    4.8
       
    (23,662.4
    )
      
    --
     
    Total revenues:
                                
    Three months ended September 30, 2015
      
    4,747.8
       
    3,464.7
       
    889.9
       
    1,247.3
       
    8.9
       
    (4,050.7
    )
      
    6,307.9
     
    Three months ended September 30, 2014
      
    7,630.5
       
    7,966.6
       
    1,262.9
       
    2,244.2
       
    43.7
       
    (6,817.7
    )
      
    12,330.2
     
    Nine months ended September 30, 2015
      
    14,914.3
       
    12,047.9
       
    2,648.0
       
    4,223.4
       
    79.4
       
    (13,040.1
    )
      
    20,872.9
     
    Nine months ended September 30, 2014
      
    24,017.1
       
    26,982.2
       
    4,113.3
       
    6,187.5
       
    123.2
       
    (23,662.4
    )
      
    37,760.9
     
    Equity in income (loss) of unconsolidated affiliates:
                                
    Three months ended September 30, 2015
      
    18.9
       
    81.2
       
    0.9
       
    (3.3
    )
      
    5.4
       
    --
       
    103.1
     
    Three months ended September 30, 2014
      
    11.7
       
    46.8
       
    0.9
       
    (4.2
    )
      
    17.1
       
    --
       
    72.3
     
    Nine months ended September 30, 2015
      
    43.0
       
    220.5
       
    2.8
       
    (10.4
    )
      
    46.6
       
    --
       
    302.5
     
    Nine months ended September 30, 2014
      
    19.2
       
    131.7
       
    2.7
       
    (10.3
    )
      
    35.8
       
    --
       
    179.1
     
    Gross operating margin:
                                
    Three months ended September 30, 2015
      
    695.5
       
    254.6
       
    192.4
       
    191.5
       
    7.1
       
    --
       
    1,341.1
     
    Three months ended September 30, 2014
      
    711.5
       
    190.8
       
    195.4
       
    190.3
       
    47.1
       
    --
       
    1,335.1
     
    Nine months ended September 30, 2015
      
    2,041.3
       
    704.2
       
    588.3
       
    547.4
       
    97.5
       
    --
       
    3,978.7
     
    Nine months ended September 30, 2014
      
    2,172.4
       
    534.5
       
    618.8
       
    482.4
       
    120.0
       
    --
       
    3,928.1
     
    Property, plant and equipment, net:
    (see Note 6)
                                
    At September 30, 2015
      
    12,192.8
       
    3,550.0
       
    8,680.6
       
    3,013.5
       
    --
       
    3,777.2
       
    31,214.1
     
    At December 31, 2014
      
    11,766.9
       
    2,332.2
       
    8,835.5
       
    3,047.2
       
    1,145.1
       
    2,754.7
       
    29,881.6
     
    Investments in unconsolidated affiliates:
    (see Note 7)
                                
    At September 30, 2015
      
    708.9
       
    1,817.9
       
    23.1
       
    75.4
       
    --
       
    --
       
    2,625.3
     
    At December 31, 2014
      
    682.3
       
    1,767.7
       
    23.2
       
    75.1
       
    493.7
       
    --
       
    3,042.0
     
    Intangible assets, net: (see Note 9)
                                
    At September 30, 2015
      
    460.4
       
    2,402.3
       
    1,025.7
       
    193.7
       
    --
       
    --
       
    4,082.1
     
    At December 31, 2014
      
    689.2
       
    2,223.6
       
    972.9
       
    374.8
       
    41.6
       
    --
       
    4,302.1
     
    Goodwill: (see Note 9)
                                
    At September 30, 2015
      
    2,651.7
       
    1,842.8
       
    296.3
       
    958.4
       
    --
       
    --
       
    5,749.2
     
    At December 31, 2014
      
    2,210.2
       
    918.7
       
    296.3
       
    793.0
       
    82.0
       
    --
       
    4,300.2
     
    Segment assets:
                                
    At September 30, 2015
      
    16,013.8
       
    9,613.0
       
    10,025.7
       
    4,241.0
       
    --
       
    3,777.2
       
    43,670.7
     
    At December 31, 2014
      
    15,348.6
       
    7,242.2
       
    10,127.9
       
    4,290.1
       
    1,762.4
       
    2,754.7
       
    41,525.9
     

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

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services:
     
      
      
      
     
    Sales of NGLs and related products
     
    $
    1,844.9
      
    $
    3,603.4
      
    $
    5,936.2
      
    $
    12,029.8
     
    Midstream services
      
    441.9
       
    423.3
       
    1,293.0
       
    1,197.6
     
    Total
      
    2,286.8
       
    4,026.7
       
    7,229.2
       
    13,227.4
     
    Crude Oil Pipelines & Services:
                    
    Sales of crude oil
      
    2,147.3
       
    5,348.2
       
    7,689.3
       
    16,003.5
     
    Midstream services
      
    175.3
       
    88.9
       
    399.7
       
    264.2
     
    Total
      
    2,322.6
       
    5,437.1
       
    8,089.0
       
    16,267.7
     
    Natural Gas Pipelines & Services:
                    
    Sales of natural gas
      
    455.0
       
    775.5
       
    1,361.2
       
    2,515.7
     
    Midstream services
      
    254.7
       
    256.4
       
    767.1
       
    761.8
     
    Total
      
    709.7
       
    1,031.9
       
    2,128.3
       
    3,277.5
     
    Petrochemical & Refined Products Services:
                    
    Sales of petrochemicals and refined products
      
    780.5
       
    1,605.4
       
    2,764.2
       
    4,338.2
     
    Midstream services
      
    199.5
       
    186.6
       
    583.4
       
    531.7
     
    Total
      
    980.0
       
    1,792.0
       
    3,347.6
       
    4,869.9
     
    Offshore Pipelines & Services:
                    
    Sales of natural gas
      
    --
       
    --
       
    --
       
    0.2
     
    Sales of crude oil
      
    0.4
       
    2.5
       
    3.2
       
    7.5
     
    Midstream services
      
    8.4
       
    40.0
       
    75.6
       
    110.7
     
    Total
      
    8.8
       
    42.5
       
    78.8
       
    118.4
     
    Total consolidated revenues
     
    $
    6,307.9
      
    $
    12,330.2
      
    $
    20,872.9
      
    $
    37,760.9
     
     
                    
    Consolidated costs and expenses
                    
    Operating costs and expenses:
                    
    Cost of sales
     
    $
    4,419.9
      
    $
    10,455.1
      
    $
    15,355.9
      
    $
    32,213.1
     
    Other operating costs and expenses (1)
      
    642.5
       
    633.9
       
    1,834.8
       
    1,865.6
     
    Depreciation, amortization and accretion
      
    351.1
       
    322.7
       
    1,082.0
       
    936.5
     
    Net losses (gains) attributable to asset sales
       and insurance recoveries
      
    12.3
       
    (2.6
    )
      
    14.7
       
    (99.0
    )
    Non-cash asset impairment charges
      
    26.8
       
    5.7
       
    139.1
       
    18.2
     
    General and administrative costs
      
    49.0
       
    50.0
       
    143.2
       
    150.9
     
    Total consolidated costs and expenses
     
    $
    5,501.6
      
    $
    11,464.8
      
    $
    18,569.7
      
    $
    35,085.3
     
        
    (1)    Represents cost of operating our plants, pipelines and other fixed assets, excluding depreciation, amortization and accretion charges.
     

    XML 61 R65.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Debt Obligations, Debt Maturities (Details) - USD ($)
    $ in Millions
    Sep. 30, 2015
    Dec. 31, 2014
    Scheduled Maturities of Debt [Abstract]    
    Remainder of 2015 $ 869.5  
    2016 750.0  
    2017 800.0  
    2018 1,100.0  
    2019 1,500.0  
    After 2019 17,478.3  
    Total 22,497.8 $ 21,389.2
    Commercial Paper Notes [Member]    
    Scheduled Maturities of Debt [Abstract]    
    Remainder of 2015 869.5  
    2016 0.0  
    2017 0.0  
    2018 0.0  
    2019 0.0  
    After 2019 0.0  
    Total 869.5  
    Senior Notes [Member]    
    Scheduled Maturities of Debt [Abstract]    
    Remainder of 2015 0.0  
    2016 750.0  
    2017 800.0  
    2018 1,100.0  
    2019 1,500.0  
    After 2019 16,000.0  
    Total 20,150.0  
    Junior Subordinated Notes [Member]    
    Scheduled Maturities of Debt [Abstract]    
    Remainder of 2015 0.0  
    2016 0.0  
    2017 0.0  
    2018 0.0  
    2019 0.0  
    After 2019 1,478.3  
    Total $ 1,478.3  
    XML 62 R22.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Commitments and Contingencies
    9 Months Ended
    Sep. 30, 2015
    Commitments and Contingencies [Abstract]  
    Commitments and Contingencies

    Note 15.  Commitments and Contingencies

    Litigation
    As part of our normal business activities, we may be named as defendants in legal proceedings, including those arising from regulatory and environmental matters.  Although we are insured against various risks to the extent we believe it is prudent, there is no assurance that the nature and amount of such insurance will be adequate, in every case, to fully indemnify us against losses arising from future legal proceedings.  We will vigorously defend the partnership in litigation matters.

    Management has regular quarterly litigation reviews, including updates from legal counsel, to assess the possible need for accounting recognition and disclosure of these contingencies.  We accrue an undiscounted liability for those contingencies where the loss is probable and the amount can be reasonably estimated.  If a range of probable loss amounts can be reasonably estimated and no amount within the range is a better estimate than any other amount, then the minimum amount in the range is accrued.

    We do not record a contingent liability when the likelihood of loss is probable but the amount cannot be reasonably estimated or when the likelihood of loss is believed to be only reasonably possible or remote.  For contingencies where an unfavorable outcome is reasonably possible and the impact would be material to our consolidated financial statements, we disclose the nature of the contingency and, where feasible, an estimate of the possible loss or range of loss.  Based on a consideration of all relevant known facts and circumstances, we do not believe that the ultimate outcome of any currently pending litigation directed against us will have a material impact on our consolidated financial statements either individually at the claim level or in the aggregate.

    At September 30, 2015 and December 31, 2014, our accruals for litigation contingencies were $4.6 million and $2.4 million, respectively, and were recorded in our Unaudited Condensed Consolidated Balance Sheets as a component of “Other current liabilities.”  Our evaluation of litigation contingencies is based on the facts and circumstances of each case and predicting the outcome of these matters involves uncertainties.  In the event the assumptions we use to evaluate these matters change in future periods or new information becomes available, we may be required to record additional accruals.  In an effort to mitigate expenses associated with litigation, we may settle legal proceedings out of court.

    ETP Matter  
    In connection with a proposed pipeline project, we and Energy Transfer Partners, L.P. (“ETP”) signed a non-binding letter of intent in April 2011 that disclaimed any partnership or joint venture related to such project absent executed definitive documents and board approvals of the respective companies.  Definitive agreements were never executed and board approval was never obtained for the potential pipeline project.  In August 2011, the proposed pipeline project was cancelled due to a lack of customer support.

    In September 2011, ETP filed suit against us and a third party in connection with the cancelled project alleging, among other things, that we and ETP had formed a “partnership.”  The case was tried in the District Court of Dallas County, Texas, 298th Judicial District.  While we firmly believe, and argued during our defense, that no agreement was ever executed forming a legal joint venture or partnership between the parties, the jury found that the actions of the two companies, nevertheless, constituted a legal partnership.  As a result, the jury found that ETP was wrongfully excluded from a subsequent pipeline project involving a third party, and awarded ETP $319.4 million in actual damages on March 4, 2014.  On July 29, 2014, the court entered judgment against us in an aggregate amount of $535.8 million, which includes (i) $319.4 million as the amount of actual damages awarded by the jury, (ii) an additional $150.0 million in disgorgement for the alleged benefit we received due to a breach of fiduciary duties by us against ETP and (iii) prejudgment interest in the amount of $66.4 million.  The court also awarded post-judgment interest on such aggregate amount, to accrue at a rate of 5% per annum, compounded annually.

    We do not believe that the verdict or the judgment entered against us is supported by the evidence or the law.  We filed our Brief of the Appellant in the Court of Appeals for the Fifth District of Dallas, Texas on March 30, 2015 and ETP filed its Brief of Appellees on June 29, 2015. We filed our Reply Brief of Appellant on September 18, 2015.  We intend to vigorously oppose the judgment through the appeals process.  As of September 30, 2015, we have not recorded a provision for this matter as management believes payment of damages in this case is not probable.

    FTC Matter
    On February 23, 2015, we received a Civil Investigative Demand and a related Subpoena Duces Tecum from the FTC requesting specified information relating to the Oiltanking acquisition and Enterprise’s operations.  On April 13, 2015, we received a Civil Investigative Demand issued by the Attorney General of the State of Texas requesting copies of the same information and any correspondence with the FTC.  We are in the process of complying with the requests and are cooperating with the investigations.  Based on the limited information that we have at this time, we are unable to predict the outcome of the investigations.

    Contractual Obligations
    Scheduled Maturities of Debt 
    We have long-term and short-term payment obligations under debt agreements.  See Note 10 for additional information regarding our scheduled future maturities of debt principal.

    Operating Lease Obligations 
    Consolidated lease and rental expense was $28.8 million and $23.5 million during the third quarters of 2015 and 2014, respectively. For the nine months ended September 30, 2015 and 2014, consolidated lease and rental expense was $76.4 million and $69.2 million, respectively.  Our operating lease commitments at September 30, 2015 did not differ materially from those reported in our 2014 Form 10-K.

    Purchase Obligations
    Our consolidated purchase obligations at September 30, 2015 did not differ materially from those reported in our 2014 Form 10-K. 

    Other Commitments
    In connection with the agreements to acquire EFS Midstream (see Note 8), we are obligated to spend up to an aggregate of $270 million on specified midstream gathering assets for Pioneer and Reliance, if requested by these producers, over a ten year period. If constructed, these new assets would be owned by us and be a component of the EFS Midstream asset network.

    Liquidity Option Agreement
    As described in Note 18 of the Notes to Consolidated Financial Statements included under Part II, Item 8 of our 2014 Form 10-K, we entered into a put option agreement (the “Liquidity Option Agreement”) with OTA and Marquard & Bahls (“M&B”) in connection with the Oiltanking acquisition. Under the Liquidity Option Agreement, we granted M&B the option to sell to us 100% of the issued and outstanding capital stock of OTA at any time within a 90-day period commencing on February 1, 2020. At that time, OTA’s only significant asset is expected to be the Enterprise common units it received in Step 1 of the Oiltanking acquisition, to the extent that such common units are not sold by M&B prior to the option exercise date pursuant to a related registration rights agreement.

    During 2015, we retrospectively adjusted our provisional fair value estimate for the Liquidity Option Agreement from $119.4 million to $219.7 million.  The retrospective adjustment was applied in our December 31, 2014 Consolidated Balance Sheet as a $100.3 million increase in goodwill and a corresponding increase in the Liquidity Option Agreement liability, which is a component of “Other long-term liabilities.”  The retrospective adjustment did not impact our historical results of operations, cash flows or other balance sheet amounts.

    As described in our 2014 Form 10-K, the provisional estimate represents the present value at October 1, 2014 of estimated federal and state income tax payments that we would make on the taxable income of OTA, a corporation, over a stated period of time following exercise of the option. We expect that OTA’s taxable income would, in turn, be based on an allocation of our partnership’s taxable income to the common units held by OTA and reflect any tax mitigation strategies that we believe could be employed.

    Our initial fair value estimate of $119.4 million was based on a variety of assumptions (each a Level 3 input), including a key assumption that a market participant would maintain the OTA corporate structure and not divest of its Enterprise common units for 30 years following exercise of the option in 2020. After further consideration, we revised this key assumption to reflect that a market participant might elect to dissolve the OTA corporate structure and sell the Enterprise common units at earlier dates. Accordingly, for purposes of our discounted cash flow model, we assigned an equal probability to the divesture of OTA and its assets over each of the 30 years in our forecast period. As a result, our provisional fair value estimate at October 1, 2014 increased by $100.3 million to $219.7 million, with a corresponding $100.3 million increase in goodwill which has been retrospectively adjusted as of December 31, 2014. This change is not considered material to our consolidated financial statements. None of the other key valuation assumptions we listed in our 2014 Form 10-K for the Liquidity Option Agreement have changed. We finalized the determination of the initial fair value of the Liquidity Option Agreement during the third quarter of 2015.

    Results for the three and nine months ended September 30, 2015 include $4.3 million and $15.8 million, respectively, of non-cash accretion expense associated with the change in fair value of the Liquidity Option Agreement from October 1, 2014 through September 30, 2015.  The carrying value of the Liquidity Option Agreement, which is a component of “Other long-term liabilities” on our Unaudited Condensed Consolidated Balance Sheet, increased to $235.5 million at September 30, 2015 as of result of accretion.


    XML 63 R36.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Related Party Transactions (Tables)
    9 Months Ended
    Sep. 30, 2015
    Related Party Transactions [Abstract]  
    Related Party Transactions
    The following table summarizes our related party transactions for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Revenues – related parties:
            
    Unconsolidated affiliates
     
    $
    13.9
      
    $
    11.0
      
    $
    27.3
      
    $
    63.8
     
    Costs and expenses – related parties:
                    
    EPCO and its privately held affiliates
     
    $
    246.0
      
    $
    212.8
      
    $
    703.9
      
    $
    688.0
     
    Unconsolidated affiliates
      
    66.9
       
    35.8
       
    165.3
       
    138.4
     
    Total
     
    $
    312.9
      
    $
    248.6
      
    $
    869.2
      
    $
    826.4
     

    The following table summarizes our related party accounts receivable and accounts payable balances at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    Accounts receivable - related parties:
     
      
     
    Unconsolidated affiliates
     
    $
    1.7
      
    $
    2.8
     
     
            
    Accounts payable - related parties:
            
    EPCO and its privately held affiliates
     
    $
    64.6
      
    $
    98.1
     
    Unconsolidated affiliates
      
    15.7
       
    20.8
     
    Total
     
    $
    80.3
      
    $
    118.9
     

    At September 30, 2015, EPCO and its privately held affiliates (including Dan Duncan LLC and certain Duncan family trusts) beneficially owned the following limited partner interests in us:

    Total Number
     of Units
    Percentage of
    Total Units
    Outstanding
    675,259,617
    33.7%
     
    We have no employees.  All of our operating functions and general and administrative support services are provided by employees of EPCO pursuant to the ASA or by other service providers. The following table presents our related party costs and expenses attributable to the ASA with EPCO for the periods indicated:
     
     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Operating costs and expenses
     
    $
    215.3
      
    $
    179.0
      
    $
    612.2
      
    $
    591.6
     
    General and administrative expenses
      
    26.4
       
    29.6
       
    78.8
       
    84.5
     
    Total costs and expenses
     
    $
    241.7
      
    $
    208.6
      
    $
    691.0
      
    $
    676.1
     


    XML 64 R24.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Condensed Consolidating Financial Information
    9 Months Ended
    Sep. 30, 2015
    Condensed Consolidating Financial Information [Abstract]  
    Condensed Consolidating Financial Information

    Note 17.  Condensed Consolidating Financial Information

    EPO conducts all of our business.  Currently, we have no independent operations and no material assets outside those of EPO.

    EPO has issued publicly traded debt securities.  As the parent company of EPO, Enterprise Products Partners L.P. guarantees substantially all of the debt obligations of EPO.  If EPO were to default on any of its guaranteed debt, Enterprise Products Partners L.P. would be responsible for full and unconditional repayment of that obligation.  See Note 10 for additional information regarding our consolidated debt obligations.

    EPO’s consolidated subsidiaries have no significant restrictions on their ability to pay distributions or make loans to Enterprise Products Partners L.P.  

    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Balance Sheet
    September 30, 2015

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    ASSETS
     
      
      
      
      
      
      
     
    Current assets:
     
      
      
      
      
      
      
     
    Cash and cash equivalents and restricted cash
     
    $
    46.9
      
    $
    85.3
      
    $
    (5.5
    )
     
    $
    126.7
      
    $
    --
      
    $
    --
      
    $
    126.7
     
    Accounts receivable – trade, net
      
    791.0
       
    2,011.3
       
    (0.3
    )
      
    2,802.0
       
    --
       
    --
       
    2,802.0
     
    Accounts receivable – related parties
      
    123.1
       
    780.8
       
    (901.5
    )
      
    2.4
       
    --
       
    (0.7
    )
      
    1.7
     
    Inventories
      
    889.1
       
    196.6
       
    (0.3
    )
      
    1,085.4
       
    --
       
    --
       
    1,085.4
     
    Derivative assets
      
    139.1
       
    102.7
       
    --
       
    241.8
       
    --
       
    --
       
    241.8
     
    Prepaid and other current assets
      
    164.7
       
    247.7
       
    (10.2
    )
      
    402.2
       
    0.2
       
    --
       
    402.4
     
    Total current assets
      
    2,153.9
       
    3,424.4
       
    (917.8
    )
      
    4,660.5
       
    0.2
       
    (0.7
    )
      
    4,660.0
     
    Property, plant and equipment, net
      
    3,432.3
       
    27,780.4
       
    1.4
       
    31,214.1
       
    --
       
    --
       
    31,214.1
     
    Investments in unconsolidated affiliates
      
    38,310.0
       
    4,094.7
       
    (39,779.4
    )
      
    2,625.3
       
    20,397.5
       
    (20,397.5
    )
      
    2,625.3
     
    Intangible assets, net
      
    726.8
       
    3,370.1
       
    (14.8
    )
      
    4,082.1
       
    --
       
    --
       
    4,082.1
     
    Goodwill
      
    459.1
       
    5,290.1
       
    --
       
    5,749.2
       
    --
       
    --
       
    5,749.2
     
    Other assets
      
    226.4
       
    49.0
       
    (78.8
    )
      
    196.6
       
    0.5
       
    --
       
    197.1
     
    Total assets
     
    $
    45,308.5
      
    $
    44,008.7
      
    $
    (40,789.4
    )
     
    $
    48,527.8
      
    $
    20,398.2
      
    $
    (20,398.2
    )
     
    $
    48,527.8
     
     
                                
    LIABILITIES AND EQUITY
                                
    Current liabilities:
                                
    Current maturities of debt
     
    $
    1,619.3
      
    $
    0.1
      
    $
    --
      
    $
    1,619.4
      
    $
    --
      
    $
    --
      
    $
    1,619.4
     
    Accounts payable – trade
      
    331.4
       
    519.0
       
    (5.5
    )
      
    844.9
       
    --
       
    --
       
    844.9
     
    Accounts payable – related parties
      
    866.7
       
    130.1
       
    (916.5
    )
      
    80.3
       
    0.7
       
    (0.7
    )
      
    80.3
     
    Accrued product payables
      
    938.0
       
    1,611.2
       
    (1.3
    )
      
    2,547.9
       
    --
       
    --
       
    2,547.9
     
    Accrued liability related to EFS Midstream acquisition
      
    --
       
    997.7
       
    --
       
    997.7
       
    --
       
    --
       
    997.7
     
    Accrued interest
      
    198.6
       
    0.3
       
    --
       
    198.9
       
    --
       
    --
       
    198.9
     
    Other current liabilities
      
    174.3
       
    425.1
       
    (10.0
    )
      
    589.4
       
    (0.1
    )
      
    0.5
       
    589.8
     
    Total current liabilities
      
    4,128.3
       
    3,683.5
       
    (933.3
    )
      
    6,878.5
       
    0.6
       
    (0.2
    )
      
    6,878.9
     
    Long-term debt
      
    20,825.4
       
    15.3
       
    --
       
    20,840.7
       
    --
       
    --
       
    20,840.7
     
    Deferred tax liabilities
      
    3.2
       
    47.4
       
    (1.0
    )
      
    49.6
       
    --
       
    3.8
       
    53.4
     
    Other long-term liabilities
      
    10.6
       
    234.3
       
    (78.5
    )
      
    166.4
       
    235.5
       
    --
       
    401.9
     
    Commitments and contingencies
                                
    Equity:
                                
    Partners’ and other owners’ equity
      
    20,341.0
       
    39,986.1
       
    (39,954.0
    )
      
    20,373.1
       
    20,162.1
       
    (20,373.1
    )
      
    20,162.1
     
    Noncontrolling interests
      
    --
       
    42.1
       
    177.4
       
    219.5
       
    --
       
    (28.7
    )
      
    190.8
     
    Total equity
      
    20,341.0
       
    40,028.2
       
    (39,776.6
    )
      
    20,592.6
       
    20,162.1
       
    (20,401.8
    )
      
    20,352.9
     
    Total liabilities and equity
     
    $
    45,308.5
      
    $
    44,008.7
      
    $
    (40,789.4
    )
     
    $
    48,527.8
      
    $
    20,398.2
      
    $
    (20,398.2
    )
     
    $
    48,527.8
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Balance Sheet
    December 31, 2014

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    ASSETS
     
      
      
      
      
      
      
     
    Current assets:
     
      
      
      
      
      
      
     
    Cash and cash equivalents and restricted cash
     
    $
    18.7
      
    $
    70.4
      
    $
    (14.7
    )
     
    $
    74.4
      
    $
    --
      
    $
    --
      
    $
    74.4
     
    Accounts receivable – trade, net
      
    1,128.5
       
    2,698.2
       
    (3.7
    )
      
    3,823.0
       
    --
       
    --
       
    3,823.0
     
    Accounts receivable – related parties
      
    158.8
       
    1,114.6
       
    (1,266.6
    )
      
    6.8
       
    --
       
    (4.0
    )
      
    2.8
     
    Inventories
      
    831.8
       
    182.8
       
    (0.4
    )
      
    1,014.2
       
    --
       
    --
       
    1,014.2
     
    Derivative assets
      
    102.0
       
    124.0
       
    --
       
    226.0
       
    --
       
    --
       
    226.0
     
    Prepaid and other current assets
      
    435.7
       
    222.3
       
    (308.5
    )
      
    349.5
       
    --
       
    0.8
       
    350.3
     
    Total current assets
      
    2,675.5
       
    4,412.3
       
    (1,593.9
    )
      
    5,493.9
       
    --
       
    (3.2
    )
      
    5,490.7
     
    Property, plant and equipment, net
      
    2,871.7
       
    26,912.0
       
    97.9
       
    29,881.6
       
    --
       
    --
       
    29,881.6
     
    Investments in unconsolidated affiliates
      
    36,937.5
       
    3,556.4
       
    (37,451.9
    )
      
    3,042.0
       
    18,287.5
       
    (18,287.5
    )
      
    3,042.0
     
    Intangible assets, net
      
    2,527.3
       
    1,292.4
       
    482.4
       
    4,302.1
       
    --
       
    --
       
    4,302.1
     
    Goodwill
      
    1,956.1
       
    1,721.4
       
    622.7
       
    4,300.2
       
    --
       
    --
       
    4,300.2
     
    Other assets
      
    139.3
       
    45.8
       
    (0.7
    )
      
    184.4
       
    --
       
    --
       
    184.4
     
    Total assets
     
    $
    47,107.4
      
    $
    37,940.3
      
    $
    (37,843.5
    )
     
    $
    47,204.2
      
    $
    18,287.5
      
    $
    (18,290.7
    )
     
    $
    47,201.0
     
     
                                
    LIABILITIES AND EQUITY
                                
    Current liabilities:
                                
    Current maturities of debt
     
    $
    2,206.4
      
    $
    --
      
    $
    --
      
    $
    2,206.4
      
    $
    --
      
    $
    --
      
    $
    2,206.4
     
    Accounts payable – trade
      
    216.6
       
    571.4
       
    (14.8
    )
      
    773.2
       
    0.6
       
    --
       
    773.8
     
    Accounts payable – related parties
      
    1,226.5
       
    173.3
       
    (1,280.9
    )
      
    118.9
       
    4.0
       
    (4.0
    )
      
    118.9
     
    Accrued product payables
      
    1,570.0
       
    2,287.9
       
    (4.6
    )
      
    3,853.3
       
    --
       
    --
       
    3,853.3
     
    Accrued interest
      
    335.4
       
    0.7
       
    (0.6
    )
      
    335.5
       
    --
       
    --
       
    335.5
     
    Other current liabilities
      
    130.8
       
    763.7
       
    (308.7
    )
      
    585.8
       
    --
       
    --
       
    585.8
     
    Total current liabilities
      
    5,685.7
       
    3,797.0
       
    (1,609.6
    )
      
    7,873.1
       
    4.6
       
    (4.0
    )
      
    7,873.7
     
    Long-term debt
      
    19,142.5
       
    14.9
       
    --
       
    19,157.4
       
    --
       
    --
       
    19,157.4
     
    Deferred tax liabilities
      
    4.9
       
    58.5
       
    (0.9
    )
      
    62.5
       
    --
       
    4.1
       
    66.6
     
    Other long-term liabilities
      
    10.9
       
    180.8
       
    (0.3
    )
      
    191.4
       
    219.7
       
    --
       
    411.1
     
    Commitments and contingencies
                                
    Equity:
                                
    Partners’ and other owners’ equity
      
    22,263.4
       
    33,820.9
       
    (37,820.6
    )
      
    18,263.7
       
    18,063.2
       
    (18,263.7
    )
      
    18,063.2
     
    Noncontrolling interests
      
    --
       
    68.2
       
    1,587.9
       
    1,656.1
       
    --
       
    (27.1
    )
      
    1,629.0
     
    Total equity
      
    22,263.4
       
    33,889.1
       
    (36,232.7
    )
      
    19,919.8
       
    18,063.2
       
    (18,290.8
    )
      
    19,692.2
     
    Total liabilities and equity
     
    $
    47,107.4
      
    $
    37,940.3
      
    $
    (37,843.5
    )
     
    $
    47,204.2
      
    $
    18,287.5
      
    $
    (18,290.7
    )
     
    $
    47,201.0
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Operations
    For the Three Months Ended September 30, 2015

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Revenues
     
    $
    4,685.2
      
    $
    4,531.1
      
    $
    (2,908.4
    )
     
    $
    6,307.9
      
    $
    --
      
    $
    --
      
    $
    6,307.9
     
    Costs and expenses:
                                
    Operating costs and expenses
      
    4,506.7
       
    3,854.5
       
    (2,908.6
    )
      
    5,452.6
       
    --
       
    --
       
    5,452.6
     
    General and administrative costs
      
    11.1
       
    38.3
       
    --
       
    49.4
       
    (0.4
    )
      
    --
       
    49.0
     
    Total costs and expenses
      
    4,517.8
       
    3,892.8
       
    (2,908.6
    )
      
    5,502.0
       
    (0.4
    )
      
    --
       
    5,501.6
     
    Equity in income of unconsolidated affiliates
      
    725.5
       
    116.5
       
    (738.9
    )
      
    103.1
       
    653.2
       
    (653.2
    )
      
    103.1
     
    Operating income
      
    892.9
       
    754.8
       
    (738.7
    )
      
    909.0
       
    653.6
       
    (653.2
    )
      
    909.4
     
    Other income (expense):
                                
    Interest expense
      
    (239.5
    )
      
    (4.2
    )
      
    --
       
    (243.7
    )
      
    --
       
    --
       
    (243.7
    )
    Other, net
      
    1.7
       
    0.1
       
    --
       
    1.8
       
    (4.3
    )
      
    --
       
    (2.5
    )
    Total other expense, net
      
    (237.8
    )
      
    (4.1
    )
      
    --
       
    (241.9
    )
      
    (4.3
    )
      
    --
       
    (246.2
    )
    Income before income taxes
      
    655.1
       
    750.7
       
    (738.7
    )
      
    667.1
       
    649.3
       
    (653.2
    )
      
    663.2
     
    Provision for income taxes
      
    (3.3
    )
      
    (2.2
    )
      
    --
       
    (5.5
    )
      
    --
       
    --
       
    (5.5
    )
    Net income
      
    651.8
       
    748.5
       
    (738.7
    )
      
    661.6
       
    649.3
       
    (653.2
    )
      
    657.7
     
    Net loss (income) attributable to noncontrolling interests
      
    --
       
    --
       
    (9.7
    )
      
    (9.7
    )
      
    --
       
    1.3
       
    (8.4
    )
    Net income attributable to entity
     
    $
    651.8
      
    $
    748.5
      
    $
    (748.4
    )
     
    $
    651.9
      
    $
    649.3
      
    $
    (651.9
    )
     
    $
    649.3
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Operations
    For the Three Months Ended September 30, 2014

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Revenues
     
    $
    8,121.5
      
    $
    8,598.2
      
    $
    (4,389.5
    )
     
    $
    12,330.2
      
    $
    --
      
    $
    --
      
    $
    12,330.2
     
    Costs and expenses:
                                
    Operating costs and expenses
      
    7,950.9
       
    7,853.5
       
    (4,389.6
    )
      
    11,414.8
       
    --
       
    --
       
    11,414.8
     
    General and administrative costs
      
    8.2
       
    40.4
       
    --
       
    48.6
       
    1.4
       
    --
       
    50.0
     
    Total costs and expenses
      
    7,959.1
       
    7,893.9
       
    (4,389.6
    )
      
    11,463.4
       
    1.4
       
    --
       
    11,464.8
     
    Equity in income of unconsolidated affiliates
      
    762.5
       
    94.4
       
    (784.6
    )
      
    72.3
       
    692.5
       
    (692.5
    )
      
    72.3
     
    Operating income
      
    924.9
       
    798.7
       
    (784.5
    )
      
    939.1
       
    691.1
       
    (692.5
    )
      
    937.7
     
    Other income (expense):
                                
    Interest expense
      
    (229.2
    )
      
    (0.6
    )
      
    --
       
    (229.8
    )
      
    --
       
    --
       
    (229.8
    )
    Other, net
      
    0.2
       
    (1.2
    )
      
    --
       
    (1.0
    )
      
    --
       
    --
       
    (1.0
    )
    Total other expense, net
      
    (229.0
    )
      
    (1.8
    )
      
    --
       
    (230.8
    )
      
    --
       
    --
       
    (230.8
    )
    Income before income taxes
      
    695.9
       
    796.9
       
    (784.5
    )
      
    708.3
       
    691.1
       
    (692.5
    )
      
    706.9
     
    Provision for income taxes
      
    (4.0
    )
      
    (2.8
    )
      
    --
       
    (6.8
    )
      
    --
       
    (0.9
    )
      
    (7.7
    )
    Net income
      
    691.9
       
    794.1
       
    (784.5
    )
      
    701.5
       
    691.1
       
    (693.4
    )
      
    699.2
     
    Net income attributable to noncontrolling interests
      
    --
       
    0.1
       
    (9.5
    )
      
    (9.4
    )
      
    --
       
    1.3
       
    (8.1
    )
    Net income attributable to entity
     
    $
    691.9
      
    $
    794.2
      
    $
    (794.0
    )
     
    $
    692.1
      
    $
    691.1
      
    $
    (692.1
    )
     
    $
    691.1
     
     

    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Operations
    For the Nine Months Ended September 30, 2015

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Revenues
     
    $
    15,301.0
      
    $
    14,751.0
      
    $
    (9,179.1
    )
     
    $
    20,872.9
      
    $
    --
      
    $
    --
      
    $
    20,872.9
     
    Costs and expenses:
                                
    Operating costs and expenses
      
    14,696.2
       
    12,909.8
       
    (9,179.5
    )
      
    18,426.5
       
    --
       
    --
       
    18,426.5
     
    General and administrative costs
      
    28.9
       
    113.9
       
    --
       
    142.8
       
    0.4
       
    --
       
    143.2
     
    Total costs and expenses
      
    14,725.1
       
    13,023.7
       
    (9,179.5
    )
      
    18,569.3
       
    0.4
       
    --
       
    18,569.7
     
    Equity in income of unconsolidated affiliates
      
    1,996.4
       
    314.5
       
    (2,008.4
    )
      
    302.5
       
    1,852.6
       
    (1,852.6
    )
      
    302.5
     
    Operating income
      
    2,572.3
       
    2,041.8
       
    (2,008.0
    )
      
    2,606.1
       
    1,852.2
       
    (1,852.6
    )
      
    2,605.7
     
    Other income (expense):
                                
    Interest expense
      
    (717.9
    )
      
    (7.3
    )
      
    2.0
       
    (723.2
    )
      
    --
       
    --
       
    (723.2
    )
    Other, net
      
    4.0
       
    0.6
       
    (2.0
    )
      
    2.6
       
    (15.8
    )
      
    --
       
    (13.2
    )
    Total other expense, net
      
    (713.9
    )
      
    (6.7
    )
      
    --
       
    (720.6
    )
      
    (15.8
    )
      
    --
       
    (736.4
    )
    Income before income taxes
      
    1,858.4
       
    2,035.1
       
    (2,008.0
    )
      
    1,885.5
       
    1,836.4
       
    (1,852.6
    )
      
    1,869.3
     
    Benefit from (provision for) income taxes
      
    (8.9
    )
      
    5.4
       
    --
       
    (3.5
    )
      
    --
       
    (0.9
    )
      
    (4.4
    )
    Net income
      
    1,849.5
       
    2,040.5
       
    (2,008.0
    )
      
    1,882.0
       
    1,836.4
       
    (1,853.5
    )
      
    1,864.9
     
    Net loss (income) attributable to noncontrolling interests
      
    --
       
    0.8
       
    (32.9
    )
      
    (32.1
    )
      
    --
       
    3.6
       
    (28.5
    )
    Net income attributable to entity
     
    $
    1,849.5
      
    $
    2,041.3
      
    $
    (2,040.9
    )
     
    $
    1,849.9
      
    $
    1,836.4
      
    $
    (1,849.9
    )
     
    $
    1,836.4
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Operations
    For the Nine Months Ended September 30, 2014

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Revenues
     
    $
    25,190.1
      
    $
    25,859.9
      
    $
    (13,289.1
    )
     
    $
    37,760.9
      
    $
    --
      
    $
    --
      
    $
    37,760.9
     
    Costs and expenses:
                                
    Operating costs and expenses
      
    24,516.6
       
    23,707.6
       
    (13,289.8
    )
      
    34,934.4
       
    --
       
    --
       
    34,934.4
     
    General and administrative costs
      
    23.1
       
    126.0
       
    --
       
    149.1
       
    1.8
       
    --
       
    150.9
     
    Total costs and expenses
      
    24,539.7
       
    23,833.6
       
    (13,289.8
    )
      
    35,083.5
       
    1.8
       
    --
       
    35,085.3
     
    Equity in income of unconsolidated affiliates
      
    2,169.5
       
    256.1
       
    (2,246.5
    )
      
    179.1
       
    2,129.4
       
    (2,129.4
    )
      
    179.1
     
    Operating income
      
    2,819.9
       
    2,282.4
       
    (2,245.8
    )
      
    2,856.5
       
    2,127.6
       
    (2,129.4
    )
      
    2,854.7
     
    Other income (expense):
                                
    Interest expense
      
    (678.6
    )
      
    (1.0
    )
      
    --
       
    (679.6
    )
      
    --
       
    --
       
    (679.6
    )
    Other, net
      
    0.7
       
    (0.9
    )
      
    --
       
    (0.2
    )
      
    --
       
    --
       
    (0.2
    )
    Total other expense, net
      
    (677.9
    )
      
    (1.9
    )
      
    --
       
    (679.8
    )
      
    --
       
    --
       
    (679.8
    )
    Income before income taxes
      
    2,142.0
       
    2,280.5
       
    (2,245.8
    )
      
    2,176.7
       
    2,127.6
       
    (2,129.4
    )
      
    2,174.9
     
    Provision for income taxes
      
    (15.5
    )
      
    (5.8
    )
      
    0.2
       
    (21.1
    )
      
    --
       
    (1.4
    )
      
    (22.5
    )
    Net income
      
    2,126.5
       
    2,274.7
       
    (2,245.6
    )
      
    2,155.6
       
    2,127.6
       
    (2,130.8
    )
      
    2,152.4
     
    Net income attributable to noncontrolling interests
      
    --
       
    0.2
       
    (28.8
    )
      
    (28.6
    )
      
    --
       
    3.8
       
    (24.8
    )
    Net income attributable to entity
     
    $
    2,126.5
      
    $
    2,274.9
      
    $
    (2,274.4
    )
     
    $
    2,127.0
      
    $
    2,127.6
      
    $
    (2,127.0
    )
     
    $
    2,127.6
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Comprehensive Income
    For the Three Months Ended September 30, 2015

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Comprehensive income
     
    $
    676.0
      
    $
    797.3
      
    $
    (763.9
    )
     
    $
    709.4
      
    $
    697.2
      
    $
    (701.0
    )
     
    $
    705.6
     
    Comprehensive loss (income) attributable to noncontrolling interests
      
    --
       
    --
       
    (9.7
    )
      
    (9.7
    )
      
    --
       
    1.3
       
    (8.4
    )
    Comprehensive income attributable to entity
     
    $
    676.0
      
    $
    797.3
      
    $
    (773.6
    )
     
    $
    699.7
      
    $
    697.2
      
    $
    (699.7
    )
     
    $
    697.2
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Comprehensive Income
    For the Three Months Ended September 30, 2014

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Comprehensive income
     
    $
    708.9
      
    $
    825.2
      
    $
    (784.5
    )
     
    $
    749.6
      
    $
    739.2
      
    $
    (741.5
    )
     
    $
    747.3
     
    Comprehensive loss (income) attributable to noncontrolling interests
      
    --
       
    0.1
       
    (9.5
    )
      
    (9.4
    )
      
    --
       
    1.3
       
    (8.1
    )
    Comprehensive income attributable to entity
     
    $
    708.9
      
    $
    825.3
      
    $
    (794.0
    )
     
    $
    740.2
      
    $
    739.2
      
    $
    (740.2
    )
     
    $
    739.2
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Comprehensive Income
    For the Nine Months Ended September 30, 2015

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Comprehensive income
     
    $
    1,869.9
      
    $
    2,056.1
      
    $
    (2,033.2
    )
     
    $
    1,892.8
      
    $
    1,847.3
      
    $
    (1,864.3
    )
     
    $
    1,875.8
     
    Comprehensive loss (income) attributable to noncontrolling interests
      
    --
       
    0.8
       
    (32.9
    )
      
    (32.1
    )
      
    --
       
    3.6
       
    (28.5
    )
    Comprehensive income attributable to entity
     
    $
    1,869.9
      
    $
    2,056.9
      
    $
    (2,066.1
    )
     
    $
    1,860.7
      
    $
    1,847.3
      
    $
    (1,860.7
    )
     
    $
    1,847.3
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Comprehensive Income
    For the Nine Months Ended September 30, 2014

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Comprehensive income
     
    $
    2,161.8
      
    $
    2,292.2
      
    $
    (2,245.5
    )
     
    $
    2,208.5
      
    $
    2,180.5
      
    $
    (2,183.7
    )
     
    $
    2,205.3
     
    Comprehensive loss (income) attributable to noncontrolling interests
      
    --
       
    0.2
       
    (28.8
    )
      
    (28.6
    )
      
    --
       
    3.8
       
    (24.8
    )
    Comprehensive income attributable to entity
     
    $
    2,161.8
      
    $
    2,292.4
      
    $
    (2,274.3
    )
     
    $
    2,179.9
      
    $
    2,180.5
      
    $
    (2,179.9
    )
     
    $
    2,180.5
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Cash Flows
    For the Nine Months Ended September 30, 2015

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Operating activities:
     
      
      
      
      
      
      
     
    Net income
     
    $
    1,849.5
      
    $
    2,040.5
      
    $
    (2,008.0
    )
     
    $
    1,882.0
      
    $
    1,836.4
      
    $
    (1,853.5
    )
     
    $
    1,864.9
     
    Reconciliation of net income to net cash flows provided by operating activities:
                                
    Depreciation, amortization and accretion
      
    106.0
       
    1,042.1
       
    (0.4
    )
      
    1,147.7
       
    --
       
    --
       
    1,147.7
     
    Equity in income of unconsolidated affiliates
      
    (1,996.4
    )
      
    (314.5
    )
      
    2,008.4
       
    (302.5
    )
      
    (1,852.6
    )
      
    1,852.6
       
    (302.5
    )
    Distributions received from unconsolidated affiliates
      
    1,705.4
       
    227.1
       
    (1,570.1
    )
      
    362.4
       
    2,241.1
       
    (2,241.1
    )
      
    362.4
     
    Net effect of changes in operating accounts and other operating activities
      
    (52.9
    )
      
    (450.6
    )
      
    9.3
       
    (494.2
    )
      
    12.0
       
    0.9
       
    (481.3
    )
    Net cash flows provided by operating activities
      
    1,611.6
       
    2,544.6
       
    (1,560.8
    )
      
    2,595.4
       
    2,236.9
       
    (2,241.1
    )
      
    2,591.2
     
    Investing activities:
                                
    Capital expenditures, net of contributions in aid of construction costs
      
    (725.5
    )
      
    (1,893.6
    )
      
    --
       
    (2,619.1
    )
      
    --
       
    --
       
    (2,619.1
    )
    Cash used for business combinations, net of cash received
      
    (1,058.4
    )
      
    13.3
       
    --
       
    (1,045.1
    )
      
    --
       
    --
       
    (1,045.1
    )
    Proceeds from asset sales and insurance recoveries
      
    1,532.1
       
    5.2
       
    --
       
    1,537.3
       
    --
       
    --
       
    1,537.3
     
    Other investing activities
      
    (1,091.2
    )
      
    (43.5
    )
      
    953.4
       
    (181.3
    )
      
    (1,005.2
    )
      
    1,005.2
       
    (181.3
    )
    Cash used in investing activities
      
    (1,343.0
    )
      
    (1,918.6
    )
      
    953.4
       
    (2,308.2
    )
      
    (1,005.2
    )
      
    1,005.2
       
    (2,308.2
    )
    Financing activities:
                                
    Borrowings under debt agreements
      
    17,113.7
       
    77.9
       
    (77.9
    )
      
    17,113.7
       
    --
       
    --
       
    17,113.7
     
    Repayments of debt
      
    (16,139.2
    )
      
    --
       
    --
       
    (16,139.2
    )
      
    --
       
    --
       
    (16,139.2
    )
    Cash distributions paid to partners
      
    (2,241.1
    )
      
    (1,602.4
    )
      
    1,602.4
       
    (2,241.1
    )
      
    (2,185.1
    )
      
    2,241.1
       
    (2,185.1
    )
    Cash payments made in connection with DERs
      
    --
       
    --
       
    --
       
    --
       
    (5.6
    )
      
    --
       
    (5.6
    )
    Cash distributions paid to noncontrolling interests
      
    --
       
    (0.8
    )
      
    (32.4
    )
      
    (33.2
    )
      
    --
       
    --
       
    (33.2
    )
    Cash contributions from noncontrolling interests
      
    --
       
    37.8
       
    (0.4
    )
      
    37.4
       
    --
       
    --
       
    37.4
     
    Net cash proceeds from issuance of common units
      
    --
       
    --
       
    --
       
    --
       
    1,011.4
       
    --
       
    1,011.4
     
    Cash contributions from owners
      
    1,005.2
       
    875.1
       
    (875.1
    )
      
    1,005.2
       
    --
       
    (1,005.2
    )
      
    --
     
    Other financing activities
      
    (23.9
    )
      
    --
       
    --
       
    (23.9
    )
      
    (52.4
    )
      
    --
       
    (76.3
    )
    Cash used in financing activities
      
    (285.3
    )
      
    (612.4
    )
      
    616.6
       
    (281.1
    )
      
    (1,231.7
    )
      
    1,235.9
       
    (276.9
    )
    Net change in cash and cash equivalents
      
    (16.7
    )
      
    13.6
       
    9.2
       
    6.1
       
    --
       
    --
       
    6.1
     
    Cash and cash equivalents, January 1
      
    18.7
       
    70.4
       
    (14.7
    )
      
    74.4
       
    --
       
    --
       
    74.4
     
    Cash and cash equivalents, September 30
     
    $
    2.0
      
    $
    84.0
      
    $
    (5.5
    )
     
    $
    80.5
      
    $
    --
      
    $
    --
      
    $
    80.5
     


    Enterprise Products Partners L.P.
    Unaudited Condensed Consolidating Statement of Cash Flows
    For the Nine Months Ended September 30, 2014

     
     
    EPO and Subsidiaries
      
      
      
     
     
     
    Subsidiary
    Issuer
    (EPO)
      
    Other
    Subsidiaries
    (Non-
    guarantor)
      
    EPO and
    Subsidiaries
    Eliminations
    and
    Adjustments
      
    Consolidated
    EPO and
    Subsidiaries
      
    Enterprise
    Products
    Partners
    L.P.
    (Guarantor)
      
    Eliminations
    and
    Adjustments
      
    Consolidated
    Total
     
    Operating activities:
     
      
      
      
      
      
      
     
    Net income
     
    $
    2,126.5
      
    $
    2,274.7
      
    $
    (2,245.6
    )
     
    $
    2,155.6
      
    $
    2,127.6
      
    $
    (2,130.8
    )
     
    $
    2,152.4
     
    Reconciliation of net income to net cash flows provided by operating activities:
                                
    Depreciation, amortization and accretion
      
    114.3
       
    878.5
       
    (0.4
    )
      
    992.4
       
    --
       
    --
       
    992.4
     
    Equity in income of unconsolidated affiliates
      
    (2,169.5
    )
      
    (256.1
    )
      
    2,246.5
       
    (179.1
    )
      
    (2,129.4
    )
      
    2,129.4
       
    (179.1
    )
    Distributions received from unconsolidated affiliates
      
    3,475.8
       
    229.0
       
    (3,444.1
    )
      
    260.7
       
    2,007.4
       
    (2,007.4
    )
      
    260.7
     
    Net effect of changes in operating accounts and other operating activities
      
    (764.6
    )
      
    230.1
       
    16.7
       
    (517.8
    )
      
    (5.6
    )
      
    1.4
       
    (522.0
    )
    Net cash flows provided by operating activities
      
    2,782.5
       
    3,356.2
       
    (3,426.9
    )
      
    2,711.8
       
    2,000.0
       
    (2,007.4
    )
      
    2,704.4
     
    Investing activities:
                                
    Capital expenditures, net of contributions in aid of construction costs
      
    (329.1
    )
      
    (1,530.4
    )
      
    --
       
    (1,859.5
    )
      
    --
       
    --
       
    (1,859.5
    )
    Proceeds from asset sales and insurance recoveries
      
    4.2
       
    117.3
       
    --
       
    121.5
       
    --
       
    --
       
    121.5
     
    Other investing activities
      
    (2,059.3
    )
      
    (526.9
    )
      
    2,056.1
       
    (530.1
    )
      
    (300.7
    )
      
    300.7
       
    (530.1
    )
    Cash used in investing activities
      
    (2,384.2
    )
      
    (1,940.0
    )
      
    2,056.1
       
    (2,268.1
    )
      
    (300.7
    )
      
    300.7
       
    (2,268.1
    )
    Financing activities:
                                
    Borrowings under debt agreements
      
    7,167.5
       
    --
       
    --
       
    7,167.5
       
    --
       
    --
       
    7,167.5
     
    Repayments of debt
      
    (4,856.3
    )
      
    --
       
    --
       
    (4,856.3
    )
      
    --
       
    --
       
    (4,856.3
    )
    Cash distributions paid to partners
      
    (2,007.4
    )
      
    (3,473.6
    )
      
    3,473.6
       
    (2,007.4
    )
      
    (1,948.2
    )
      
    2,007.4
       
    (1,948.2
    )
    Cash payments made in connection with DERs
      
    --
       
    --
       
    --
       
    --
       
    (2.4
    )
      
    --
       
    (2.4
    )
    Cash distributions paid to noncontrolling interests
      
    --
       
    --
       
    (29.4
    )
      
    (29.4
    )
      
    --
       
    --
       
    (29.4
    )
    Cash contributions from noncontrolling interests
      
    --
       
    --
       
    4.0
       
    4.0
       
    --
       
    --
       
    4.0
     
    Net cash proceeds from issuance of common units
      
    --
       
    --
       
    --
       
    --
       
    304.9
       
    --
       
    304.9
     
    Cash contributions from owners
      
    300.7
       
    2,060.0
       
    (2,060.0
    )
      
    300.7
       
    --
       
    (300.7
    )
      
    --
     
    Other financing activities
      
    (18.1
    )
      
    --
       
    --
       
    (18.1
    )
      
    (53.6
    )
      
    --
       
    (71.7
    )
    Cash provided by (used in) financing activities
      
    586.4
       
    (1,413.6
    )
      
    1,388.2
       
    561.0
       
    (1,699.3
    )
      
    1,706.7
       
    568.4
     
    Net change in cash and cash equivalents
      
    984.7
       
    2.6
       
    17.4
       
    1,004.7
       
    --
       
    --
       
    1,004.7
     
    Cash and cash equivalents, January 1
      
    28.4
       
    49.5
       
    (21.0
    )
      
    56.9
       
    --
       
    --
       
    56.9
     
    Cash and cash equivalents, September 30
     
    $
    1,013.1
      
    $
    52.1
      
    $
    (3.6
    )
     
    $
    1,061.6
      
    $
    --
      
    $
    --
      
    $
    1,061.6
     

    XML 65 R68.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity and Distributions, Noncontrolling Interests (Details)
    $ in Billions
    9 Months Ended
    Sep. 30, 2015
    USD ($)
    Noncontrolling Interest  
    Noncontrolling interests acquired $ 1.4
    Panola Pipeline Company, LLC [Member]  
    Noncontrolling Interest  
    Noncontrolling Interest, Ownership Percentage by Parent (in hundredths) 55.00%
    Noncontrolling Interest, Ownership Percentage by Noncontrolling Owners (in hundredths) 45.00%
    Anadarko Petroleum Corporation [Member] | Panola Pipeline Company, LLC [Member]  
    Noncontrolling Interest  
    Noncontrolling Interest, Ownership Percentage by Noncontrolling Owners (in hundredths) 15.00%
    DCP Midstream Partners, LP [Member] | Panola Pipeline Company, LLC [Member]  
    Noncontrolling Interest  
    Noncontrolling Interest, Ownership Percentage by Noncontrolling Owners (in hundredths) 15.00%
    MarkWest Energy Partners, L.P. [Member] | Panola Pipeline Company, LLC [Member]  
    Noncontrolling Interest  
    Noncontrolling Interest, Ownership Percentage by Noncontrolling Owners (in hundredths) 15.00%
    XML 66 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 67 R7.htm IDEA: XBRL DOCUMENT v3.3.0.814
    UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED EQUITY - USD ($)
    $ in Millions
    Total
    Accumulated Other Comprehensive Income (Loss) [Member]
    Noncontrolling Interests [Member]
    Limited Partners [Member]
    Balance at Dec. 31, 2013 $ 15,440.4 $ (359.0) $ 225.6 $ 15,573.8
    Increase (Decrease) in Partners' Capital [Roll Forward]        
    Net income 2,152.4 0.0 24.8 2,127.6
    Cash distributions paid to limited partners (1,948.2) 0.0 0.0 (1,948.2)
    Cash payments made in connection with distribution equivalent rights (2.4) 0.0 0.0 (2.4)
    Cash distributions paid to noncontrolling interests (29.4) 0.0 (29.4) 0.0
    Cash contributions from noncontrolling interests 4.0 0.0 4.0 0.0
    Net cash proceeds from the issuance of common units 304.9 0.0 0.0 304.9
    Amortization of fair value of equity-based awards 61.6 0.0 0.0 61.6
    Cash flow hedges 52.9 52.9 0.0 0.0
    Other (54.3) 0.0 (0.6) (53.7)
    Balance at Sep. 30, 2014 15,981.9 (306.1) 224.4 16,063.6
    Balance at Dec. 31, 2014 19,692.2 (241.6) 1,629.0 18,304.8
    Increase (Decrease) in Partners' Capital [Roll Forward]        
    Net income 1,864.9 0.0 28.5 1,836.4
    Cash distributions paid to limited partners (2,185.1) 0.0 0.0 (2,185.1)
    Cash payments made in connection with distribution equivalent rights (5.6) 0.0 0.0 (5.6)
    Cash distributions paid to noncontrolling interests (33.2) 0.0 (33.2) 0.0
    Cash contributions from noncontrolling interests 37.4 0.0 37.4 0.0
    Common units issued in connection with Step 2 of Oiltanking acquisition 0.0 0.0 (1,408.7) 1,408.7
    Transfer of noncontrolling interests in connection with sale of Offshore Business (62.1) 0.0 (62.1) 0.0
    Net cash proceeds from the issuance of common units 1,011.4 0.0 0.0 1,011.4
    Amortization of fair value of equity-based awards 72.9 0.0 0.0 72.9
    Cash flow hedges 10.5 10.5 0.0 0.0
    Other (50.4) 0.4 (0.1) (50.7)
    Balance at Sep. 30, 2015 $ 20,352.9 $ (230.7) $ 190.8 $ 20,392.8
    XML 68 R3.htm IDEA: XBRL DOCUMENT v3.3.0.814
    UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) - USD ($)
    $ in Millions
    Sep. 30, 2015
    Dec. 31, 2014
    Current assets:    
    Accounts receivable, allowance for doubtful accounts $ 12.9 $ 13.9
    Intangible assets, accumulated amortization $ 1,192.2 $ 1,246.3
    Limited partners:    
    Capital account, units outstanding (in units) 2,005,785,601 1,937,324,817
    XML 69 R17.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Debt Obligations
    9 Months Ended
    Sep. 30, 2015
    Debt Obligations [Abstract]  
    Debt Obligations

    Note 10.  Debt Obligations

    The following table presents our consolidated debt obligations (arranged by company and maturity date) at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    EPO senior debt obligations:
     
      
     
    Commercial Paper Notes, variable-rates
     
    $
    869.5
      
    $
    906.5
     
    Senior Notes I, 5.00% fixed-rate, due March 2015
      
    --
       
    250.0
     
    Senior Notes X, 3.70% fixed-rate, due June 2015
      
    --
       
    400.0
     
    Senior Notes FF, 1.25% fixed-rate, due August 2015
      
    --
       
    650.0
     
    Senior Notes AA, 3.20% fixed-rate, due February 2016
      
    750.0
       
    750.0
     
    364-Day Credit Agreement, variable-rate, due September 2016
      
    --
       
    --
     
    Senior Notes L, 6.30% fixed-rate, due September 2017
      
    800.0
       
    800.0
     
    Senior Notes V, 6.65% fixed-rate, due April 2018
      
    349.7
       
    349.7
     
    Senior Notes OO, 1.65% fixed-rate, due May 2018
      
    750.0
       
    --
     
    Senior Notes N, 6.50% fixed-rate, due January 2019
      
    700.0
       
    700.0
     
    Senior Notes LL, 2.55% fixed-rate, due October 2019
      
    800.0
       
    800.0
     
    Senior Notes Q, 5.25% fixed-rate, due January 2020
      
    500.0
       
    500.0
     
    Senior Notes Y, 5.20% fixed-rate, due September 2020
      
    1,000.0
       
    1,000.0
     
    Multi-Year Revolving Credit Facility, variable-rate, due September 2020
      
    --
       
    --
     
    Senior Notes CC, 4.05% fixed-rate, due February 2022
      
    650.0
       
    650.0
     
    Senior Notes HH, 3.35% fixed-rate, due March 2023
      
    1,250.0
       
    1,250.0
     
    Senior Notes JJ, 3.90% fixed-rate, due February 2024
      
    850.0
       
    850.0
     
    Senior Notes MM, 3.75% fixed-rate, due February 2025
      
    1,150.0
       
    1,150.0
     
    Senior Notes PP, 3.70% fixed-rate, due February 2026
      
    875.0
       
    --
     
    Senior Notes D, 6.875% fixed-rate, due March 2033
      
    500.0
       
    500.0
     
    Senior Notes H, 6.65% fixed-rate, due October 2034
      
    350.0
       
    350.0
     
    Senior Notes J, 5.75% fixed-rate, due March 2035
      
    250.0
       
    250.0
     
    Senior Notes W, 7.55% fixed-rate, due April 2038
      
    399.6
       
    399.6
     
    Senior Notes R, 6.125% fixed-rate, due October 2039
      
    600.0
       
    600.0
     
    Senior Notes Z, 6.45% fixed-rate, due September 2040
      
    600.0
       
    600.0
     
    Senior Notes BB, 5.95% fixed-rate, due February 2041
      
    750.0
       
    750.0
     
    Senior Notes DD, 5.70% fixed-rate, due February 2042
      
    600.0
       
    600.0
     
    Senior Notes EE, 4.85% fixed-rate, due August 2042
      
    750.0
       
    750.0
     
    Senior Notes GG, 4.45% fixed-rate, due February 2043
      
    1,100.0
       
    1,100.0
     
    Senior Notes II, 4.85% fixed-rate, due March 2044
      
    1,400.0
       
    1,400.0
     
    Senior Notes KK, 5.10% fixed-rate, due February 2045
      
    1,150.0
       
    1,150.0
     
    Senior Notes QQ, 4.90% fixed-rate, due May 2046
      
    875.0
       
    --
     
    Senior Notes NN, 4.95% fixed-rate, due October 2054
      
    400.0
       
    400.0
     
    TEPPCO senior debt obligations:
            
    TEPPCO Senior Notes, 6.65% fixed-rate, due April 2018
      
    0.3
       
    0.3
     
    TEPPCO Senior Notes, 7.55% fixed-rate, due April 2038
      
    0.4
       
    0.4
     
    Total principal amount of senior debt obligations
      
    21,019.5
       
    19,856.5
     
    EPO Junior Subordinated Notes A, fixed/variable-rate, due August 2066 (1)
      
    521.9
       
    550.0
     
    EPO Junior Subordinated Notes C, fixed/variable-rate, due June 2067 (2)
      
    259.5
       
    285.8
     
    EPO Junior Subordinated Notes B, fixed/variable-rate, due January 2068 (3)
      
    682.7
       
    682.7
     
    TEPPCO Junior Subordinated Notes, fixed/variable-rate, due June 2067 
      
    14.2
       
    14.2
     
    Total principal amount of senior and junior debt obligations
      
    22,497.8
       
    21,389.2
     
    Other, non-principal amounts
      
    (37.7
    )
      
    (25.4
    )
    Less current maturities of debt (4)
      
    (1,619.4
    )
      
    (2,206.4
    )
    Total long-term debt
     
    $
    20,840.7
      
    $
    19,157.4
     
     
    (1)   Fixed rate of 8.375% through August 1, 2016 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 3.7075%. During the third quarter of 2015, EPO retired $28.1 million of these junior notes.
    (2)   Fixed rate of 7.0% through September 1, 2017 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 2.7775%. During the third quarter of 2015, EPO retired $26.3 million of these junior notes.
    (3)   Fixed rate of 7.034% through January 15, 2018 (i.e., first call date without a make-whole redemption premium); thereafter, the rate will be the greater of 7.034% or a variable rate based on 3-month LIBOR plus 2.68%.
    (4)   We expect to refinance the current maturities of our debt obligations at or prior to their maturity.
     

    The following table presents contractually scheduled maturities of our consolidated debt obligations outstanding at September 30, 2015 for the next five years, and in total thereafter:

     
     
      
    Scheduled Maturities of Debt
     
     
     
    Total
      
    Remainder
    of 2015
      
    2016
      
    2017
      
    2018
      
    2019
      
    After
    2019
     
    Commercial Paper Notes
     
    $
    869.5
      
    $
    869.5
      
    $
    --
      
    $
    --
      
    $
    --
      
    $
    --
      
    $
    --
     
    Senior Notes
      
    20,150.0
       
    --
       
    750.0
       
    800.0
       
    1,100.0
       
    1,500.0
       
    16,000.0
     
    Junior Subordinated Notes
      
    1,478.3
       
    --
       
    --
       
    --
       
    --
       
    --
       
    1,478.3
     
    Total
     
    $
    22,497.8
      
    $
    869.5
      
    $
    750.0
      
    $
    800.0
      
    $
    1,100.0
      
    $
    1,500.0
      
    $
    17,478.3
     

    Parent-Subsidiary Guarantor Relationships
    Enterprise Products Partners L.P. acts as guarantor of the consolidated debt obligations of EPO, with the exception of the remaining immaterial debt obligations of TEPPCO.  If EPO were to default on any of its guaranteed debt, Enterprise Products Partners L.P. would be responsible for full and unconditional repayment of that obligation.

    Issuance of $2.5 Billion of Senior Notes in May 2015
    In May 2015, EPO issued $750 million in principal amount of 1.65% senior notes due May 2018 (“Senior Notes OO”), $875 million in principal amount of 3.70% senior notes due February 2026 (“Senior Notes PP”) and $875 million in principal amount of 4.90% senior notes due May 2046 (“Senior Notes QQ”).  Senior Notes OO, PP and QQ were issued at 99.881%, 99.635% and 99.635% of their principal amounts, respectively.

    Net proceeds from the issuance of these senior notes were used as follows: (i) the repayment of amounts outstanding under EPO’s commercial paper program, which included amounts we used to repay $250 million in principal amount of Senior Notes I that matured in March 2015, (ii) the repayment of amounts outstanding at the maturity of our $400 million in principal amount of Senior Notes X that matured in June 2015 and (iii) for general company purposes.

    Enterprise Products Partners L.P. has unconditionally guaranteed these senior notes on an unsecured and unsubordinated basis.  These senior notes rank equal with EPO’s existing and future unsecured and unsubordinated indebtedness and are senior to any existing and future subordinated indebtedness of EPO.  These senior notes are subject to make-whole redemption rights and were issued under an indenture containing certain covenants, which generally restrict EPO’s ability (with certain exceptions) to incur debt secured by liens and engage in sale and leaseback transactions.

    Partial Retirement of Junior Subordinated Notes During Third Quarter of 2015
    During the third quarter of 2015, EPO retired $28.1 million of its Junior Subordinated Notes A and $26.3 million of its Junior Subordinated Notes C with cash from operations.  A $1.4 million gain on the extinguishment of these debt obligations is included in “Other, net” on our Unaudited Condensed Statements of Consolidated Operations.

    364-Day Credit Agreement
    In September 2015, EPO amended its 364-Day Credit Agreement to extend its maturity date to September 2016.  There are currently no principal amounts outstanding under this revolving credit agreement.  Under the terms of the 364-Day Credit Agreement, EPO may borrow up to $1.5 billion (which may be increased by up to $200 million to $1.7 billion at EPO’s election, provided certain conditions are met) at a variable interest rate for a term of 364 days, subject to the terms and conditions set forth therein.  To the extent that principal amounts are outstanding at the maturity date, EPO may elect to have the entire principal balance then outstanding continued as a non-revolving term loan for a period of one additional year, payable in September 2017. The remaining terms of the 364-Day Credit Agreement, as amended, remain materially the same as those reported for the 364-Day Credit Agreement in our 2014 Form 10-K.

    Multi-Year Revolving Credit Facility
    In September 2015, EPO amended its Multi-Year Revolving Credit Facility to increase its borrowing capacity from $3.5 billion to $4.0 billion and extend its maturity date from June 2018 to September 2020.  The amended agreement also provides that EPO may increase its borrowing capacity to $4.5 billion by allowing existing lenders under the facility to increase their respective commitments or by adding one or more new lenders to the facility. The remaining terms of the Multi-Year Revolving Credit Facility, as amended, remain materially the same as those reported for the Multi-Year Revolving Credit Facility in our 2014 Form 10-K.

    Letters of Credit
    At September 30, 2015, EPO had $2.5 million of letters of credit outstanding related to operations at our facilities and motor fuel tax obligations.

    Lender Financial Covenants
    We were in compliance with the financial covenants of our consolidated debt agreements at September 30, 2015.

    Information Regarding Variable Interest Rates Paid
    The following table presents the range of interest rates and weighted-average interest rates paid on our consolidated variable-rate debt during the nine months ended September 30, 2015:

     
    Range of
    Interest Rates
    Paid
    Weighted-Average
    Interest Rate
    Paid
    Commercial Paper Notes
    0.35% to 0.78%
    0.59%
    EPO Multi-Year Revolving Credit Facility
    1.15% to 3.25%
    1.30%

    XML 70 R1.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Document and Entity Information - shares
    9 Months Ended
    Sep. 30, 2015
    Oct. 30, 2015
    Document and Entity Information [Abstract]    
    Entity Registrant Name ENTERPRISE PRODUCTS PARTNERS L P  
    Entity Central Index Key 0001061219  
    Current Fiscal Year End Date --12-31  
    Entity Well-known Seasoned Issuer Yes  
    Entity Voluntary Filers No  
    Entity Current Reporting Status Yes  
    Entity Filer Category Large Accelerated Filer  
    Entity Common Stock, Shares Outstanding   2,005,753,801
    Document Fiscal Year Focus 2015  
    Document Fiscal Period Focus Q3  
    Document Type 10-Q  
    Amendment Flag false  
    Document Period End Date Sep. 30, 2015  
    XML 71 R18.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity and Distributions
    9 Months Ended
    Sep. 30, 2015
    Equity and Distributions [Abstract]  
    Equity and Distributions

    Note 11.  Equity and Distributions

    Partners’ equity reflects the various classes of limited partner interests (i.e., common units, including restricted common units) that we have outstanding.  The following table summarizes changes in the number of our outstanding units since December 31, 2014:

     
    Common
    Units
    (Unrestricted)
     
    Restricted
    Common
    Units
     
    Total
    Common
    Units
    Number of units outstanding at December 31, 2014
    1,933,095,027
     
    4,229,790
     
    1,937,324,817
    Common units issued in connection with ATM  program
    23,258,453
     
    --
     
    23,258,453
    Common units issued in connection with DRIP and EUPP
    8,251,315
     
    --
     
    8,251,315
    Common units issued in connection with Step 2 of Oiltanking acquisition
    36,827,517
     
    --
     
    36,827,517
    Common units issued in connection with the vesting and exercise of unit options
    333,002
     
    --
     
    333,002
    Common units issued in connection with the vesting of phantom unit awards
    613,689
     
    --
     
    613,689
    Common units issued in connection with the vesting of restricted common unit awards
    1,997,194
     
    (1,997,194)
     
    --
    Forfeiture of restricted common unit awards
    --
     
    (157,750)
     
    (157,750)
    Acquisition and cancellation of treasury units in connection with the
    vesting of equity-based awards
    (680,496)
     
    --
     
    (680,496)
    Other
    15,054
     
    --
     
    15,054
    Number of units outstanding at September 30, 2015
    2,003,710,755
     
    2,074,846
     
    2,005,785,601

    We may issue additional equity or debt securities to assist us in meeting our future liquidity and capital spending requirements. We have a universal shelf registration statement (the “2013 Shelf”) on file with the SEC. The 2013 Shelf allows Enterprise Products Partners L.P. and EPO (on a standalone basis) to issue an unlimited amount of equity and debt securities.

    On July 1, 2015, we filed a registration statement with the SEC covering the issuance of up to $1.92 billion of our common units in amounts, at prices and on terms to be determined by market conditions and other factors at the time of such offerings.  Pursuant to this “at-the-market” program (“ATM program”), we may sell common units under an equity distribution agreement between Enterprise Products Partners L.P. and certain broker-dealers from time-to-time by means of ordinary brokers’ transactions through the NYSE at market prices, in block transactions or as otherwise agreed to with the broker-dealer parties to the agreement.  The new registration statement was declared effective on August 3, 2015 and replaced our prior registration statement with respect to the ATM program, which was filed with the SEC in October 2013 and covered the issuance of up to $1.25 billion of our common units.  Immediately prior to the effectiveness of the new registration statement, we had the capacity to issue additional common units under the ATM program up to an aggregate sales price of $424.6 million (after giving effect to sales of common units previously made under the program).  Following the effectiveness of the new registration statement and after taking into account the aggregate sales price of common units sold under our ATM program through September 30, 2015 as described below, we now have the capacity to issue additional common units under our ATM program up to an aggregate sales price of $1.92 billion.

    During the nine months ended September 30, 2015, we issued 23,258,453 common units under the ATM program for aggregate gross proceeds of $767.1 million.  This includes 3,225,057 common units sold in March 2015 to a privately held affiliate of EPCO, which generated gross proceeds of $100 million.  After taking into account applicable costs, our transactions under the ATM program resulted in aggregate net cash proceeds of $759.7 million during the nine months ended September 30, 2015.  During the nine months ended September 30, 2014, we issued 1,590,334 common units under this program for aggregate gross cash proceeds of $58.3 million, resulting in total net cash proceeds of $57.7 million.  

    We also have registration statements on file with the SEC collectively authorizing the issuance of up to 140,000,000 of our common units in connection with a distribution reinvestment plan (“DRIP”).  We issued a total of 7,965,318 common units under our DRIP during the nine months ended September 30, 2015, which generated net cash proceeds of $242.8 million.  During the nine months ended September 30, 2014, we issued 7,148,778 common units under our DRIP, which generated net cash proceeds of $239.8 million.  Privately held affiliates of EPCO reinvested $50 million and $75 million through the DRIP in each of the nine month periods ending September 30, 2015 and 2014, respectively (this amount being a component of the net cash proceeds presented for both periods).  After taking into account the number of common units issued under the DRIP through September 30, 2015, we have the capacity to issue an additional 19,516,031 common units under this plan.

    In addition to the DRIP, we have registration statements on file with the SEC authorizing the issuance of up to 8,000,000 of our common units in connection with our employee unit purchase plan (“EUPP”).  We issued 285,997 common units under our EUPP during the nine months ended September 30, 2015, which generated net cash proceeds of $8.9 million.  During the nine months ended September 30, 2014, we issued 207,126 common units under our EUPP, which generated net cash proceeds of $7.4 million.  After taking into account the number of common units issued under the EUPP through September 30, 2015, we may issue an additional 6,867,071 common units under this plan.

    The net cash proceeds we received from the issuance of common units during the nine months ended September 30, 2015 were used to temporarily reduce amounts outstanding under EPO’s commercial paper program and revolving credit facilities and for general company purposes.

    Completion of Oiltanking Acquisition
    In October 2014, we completed the first step (“Step 1”) of a two-step acquisition of Oiltanking by paying approximately $4.41 billion to OTA for Oiltanking GP, the related IDRs and approximately 65.9% of the limited partner interests of Oiltanking. As a second step (“Step 2”) of the Oiltanking acquisition (separately negotiated by the conflicts committee of Oiltanking GP on behalf of Oiltanking), we entered into an Agreement and Plan of Merger (the “merger agreement”) with Oiltanking in November 2014 that provided for the following:

    §
    the merger of a wholly owned subsidiary of Enterprise with and into Oiltanking, with Oiltanking surviving the merger as a wholly owned subsidiary of Enterprise; and

    §
    all outstanding common units of Oiltanking at the effective time of the merger held by Oiltanking’s public unitholders (which consisted of Oiltanking unitholders other than Enterprise and its subsidiaries) to be cancelled and converted into Enterprise common units based on an exchange ratio of 1.30 Enterprise common units for each Oiltanking common unit.
     
    In accordance with the merger agreement and Oiltanking’s partnership agreement, the merger was submitted to a vote of Oiltanking’s common unitholders, with the required majority of unitholders (including our ownership interests) voting to approve the merger on February 13, 2015.  Upon approval of the merger, a total of 36,827,517 of our common units were issued to Oiltanking’s former public unitholders.  With the completion of Step 2, total consideration paid by Enterprise for Oiltanking was approximately $5.9 billion.

    Step 2 of the acquisition was accounted for in accordance with ASC Topic 810, Consolidations – Overall – Changes in Parent’s Ownership Interest in a Subsidiary. Since we had a controlling financial interest in Oiltanking before and after completion of Step 2, the increase in our ownership interest in Oiltanking was accounted for as an equity transaction with no gain or loss recognized. Step 2 represented our acquisition of the noncontrolling interests in Oiltanking; therefore, approximately $1.4 billion of noncontrolling interests attributable to Oiltanking was reclassified to limited partners’ equity to reflect the February 2015 issuance of 36,827,517 new common units.

    See Note 15 for information regarding requests from the Federal Trade Commission (“FTC”) and the Attorney General of the State of Texas in connection with the Oiltanking acquisition.

    We consider our purchase price allocation for the Oiltanking acquisition to be final.  We finalized the determination of the fair value of the Liquidity Option Agreement during the third quarter of 2015.  Subsequent changes in the fair value of this option will be recorded in earnings each reporting period until the option expires or is exercised.

    Noncontrolling Interests
    Noncontrolling interests represent third party equity ownership interests in our consolidated subsidiaries, including Enterprise EF78 LLC, Rio Grande Pipeline Company, Tri-States NGL Pipeline L.L.C., Panola Pipeline Company, LLC and Wilprise Pipeline Company LLC.

    In July 2015, as part of the sale of our Offshore Business to Genesis, we sold our ownership interests in Independence Hub LLC and no longer report this third party ownership as noncontrolling interests.

    As previously described, we reclassified approximately $1.4 billion of noncontrolling interests to limited partners’ equity in connection with completing Step 2 of the Oiltanking acquisition in February 2015. Cash distributions paid in the first quarter of 2015 to the limited partners of Oiltanking other than EPO and its subsidiaries are presented as amounts paid to noncontrolling interests.

    In February 2015, we formed a joint venture involving our Panola NGL Pipeline with affiliates of Anadarko Petroleum Corporation (“Anadarko”), DCP Midstream Partners, LP (“DCP”) and MarkWest Energy Partners, L.P. (“MarkWest”).  We will continue to serve as operator of the Panola Pipeline and own 55% of the member interests in the joint venture.  Affiliates of Anadarko, DCP and MarkWest will own the remaining 45% member interests, with each holding a 15% interest.  The Panola Pipeline transports mixed NGLs from points near Carthage, Texas to Mont Belvieu, Texas and supports the Haynesville and Cotton Valley oil and gas production areas.

    Accumulated Other Comprehensive Income (Loss)
    The following tables present the components of accumulated other comprehensive income (loss) as reported on our Unaudited Condensed Consolidated Balance Sheets at the dates indicated:

     
     
    Gains (Losses) on
    Cash Flow Hedges
      
      
     
     
     
    Commodity
    Derivative
    Instruments
      
    Interest Rate
    Derivative
    Instruments
      
    Other
      
    Total
     
    Balance, December 31, 2014
     
    $
    69.9
      
    $
    (314.8
    )
     
    $
    3.3
      
    $
    (241.6
    )
    Other comprehensive income before reclassifications
      
    112.3
       
    --
       
    0.4
       
    112.7
     
    Amounts reclassified from accumulated other comprehensive loss (income)
      
    (128.1
    )
      
    26.3
       
    --
       
    (101.8
    )
    Total other comprehensive income (loss)
      
    (15.8
    )
      
    26.3
       
    0.4
       
    10.9
     
    Balance, September 30, 2015
     
    $
    54.1
      
    $
    (288.5
    )
     
    $
    3.7
      
    $
    (230.7
    )

     
     
    Gains (Losses) on
    Cash Flow Hedges
      
      
     
     
     
    Commodity
    Derivative
    Instruments
      
    Interest Rate
    Derivative
    Instruments
      
    Other
      
    Total
     
    Balance, December 31, 2013
     
    $
    (14.7
    )
     
    $
    (347.2
    )
     
    $
    2.9
      
    $
    (359.0
    )
    Other comprehensive income before reclassifications
      
    16.1
       
    --
       
    --
       
    16.1
     
    Amounts reclassified from accumulated other comprehensive loss
      
    12.9
       
    23.9
       
    --
       
    36.8
     
    Total other comprehensive income
      
    29.0
       
    23.9
       
    --
       
    52.9
     
    Balance, September 30, 2014
     
    $
    14.3
      
    $
    (323.3
    )
     
    $
    2.9
      
    $
    (306.1
    )

    The following table presents reclassifications out of accumulated other comprehensive income (loss) into net income during the periods indicated:
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
    Location 
    2015
      
    2014
      
    2015
      
    2014
     
    Losses (gains) on cash flow hedges:
             
    Interest rate derivatives
    Interest expense
     
    $
    8.9
      
    $
    8.0
      
    $
    26.3
      
    $
    23.9
     
    Commodity derivatives
    Revenue
      
    (46.8
    )
      
    (17.8
    )
      
    (128.6
    )
      
    14.5
     
    Commodity derivatives
    Operating costs and expenses
      
    --
       
    (0.2
    )
      
    0.5
       
    (1.6
    )
    Total
     
     
    $
    (37.9
    )
     
    $
    (10.0
    )
     
    $
    (101.8
    )
     
    $
    36.8
     

    Cash Distributions
    The following table presents our declared quarterly cash distribution rates per common unit with respect to the quarter indicated:

     
     
    Distribution Per
    Common Unit
     
    Record
    Date
    Payment
    Date
    2014:
           
    1st Quarter
     
    $
    0.3550
     
    4/30/2014
    5/7/2014
    2nd Quarter
     
    $
    0.3600
     
    7/31/2014
    8/7/2014
    3rd Quarter
     
    $
    0.3650
     
    10/31/2014
    11/7/2014
    2015:
        
     
        
    1st Quarter
     
    $
    0.3750
     
    4/30/2015
    5/7/2015
    2nd Quarter
     
    $
    0.3800
     
    7/31/2015
    8/7/2015
    3rd Quarter
     
    $
    0.3850
     
    10/30/2015
    11/6/2015

    In November 2010, we completed our merger with Enterprise GP Holdings L.P. (the “Holdings Merger”). In connection with the Holdings Merger, a privately held affiliate of EPCO agreed to temporarily waive the regular cash distributions it would otherwise receive from us with respect to a certain number of our common units it owns (the “Designated Units”). Distributions paid by us to this privately held affiliate of EPCO during 2015 excluded 35,380,000 Designated Units. The temporary distribution waiver expires at the end of calendar year 2015; therefore, distributions to be paid, if any, during calendar year 2016 will include all common units owned by the privately held affiliates of EPCO.

    XML 72 R80.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Condensed Consolidating Financial Information, Statement of Operations (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Condensed Consolidating Statement of Operations        
    Revenues $ 6,307.9 $ 12,330.2 $ 20,872.9 $ 37,760.9
    Costs and expenses:        
    Operating costs and expenses 5,452.6 11,414.8 18,426.5 34,934.4
    General and administrative costs 49.0 50.0 143.2 150.9
    Total costs and expenses 5,501.6 11,464.8 18,569.7 35,085.3
    Equity in income of unconsolidated affiliates 103.1 72.3 302.5 179.1
    Operating income 909.4 937.7 2,605.7 2,854.7
    Other income (expense):        
    Interest expense (243.7) (229.8) (723.2) (679.6)
    Other, net (2.5) (1.0) (13.2) (0.2)
    Total other expense, net (246.2) (230.8) (736.4) (679.8)
    Income before income taxes 663.2 706.9 1,869.3 2,174.9
    Provision for income taxes (5.5) (7.7) (4.4) (22.5)
    Net income 657.7 699.2 1,864.9 2,152.4
    Net loss (income) attributable to noncontrolling interests (8.4) (8.1) (28.5) (24.8)
    Net income attributable to entity 649.3 691.1 1,836.4 2,127.6
    Eliminations and Adjustments [Member]        
    Condensed Consolidating Statement of Operations        
    Revenues 0.0 0.0 0.0 0.0
    Costs and expenses:        
    Operating costs and expenses 0.0 0.0 0.0 0.0
    General and administrative costs 0.0 0.0 0.0 0.0
    Total costs and expenses 0.0 0.0 0.0 0.0
    Equity in income of unconsolidated affiliates (653.2) (692.5) (1,852.6) (2,129.4)
    Operating income (653.2) (692.5) (1,852.6) (2,129.4)
    Other income (expense):        
    Interest expense 0.0 0.0 0.0 0.0
    Other, net 0.0 0.0 0.0 0.0
    Total other expense, net 0.0 0.0 0.0 0.0
    Income before income taxes (653.2) (692.5) (1,852.6) (2,129.4)
    Provision for income taxes 0.0 (0.9) (0.9) (1.4)
    Net income (653.2) (693.4) (1,853.5) (2,130.8)
    Net loss (income) attributable to noncontrolling interests 1.3 1.3 3.6 3.8
    Net income attributable to entity (651.9) (692.1) (1,849.9) (2,127.0)
    Subsidiary Issuer (EPO) [Member]        
    Condensed Consolidating Statement of Operations        
    Revenues 4,685.2 8,121.5 15,301.0 25,190.1
    Costs and expenses:        
    Operating costs and expenses 4,506.7 7,950.9 14,696.2 24,516.6
    General and administrative costs 11.1 8.2 28.9 23.1
    Total costs and expenses 4,517.8 7,959.1 14,725.1 24,539.7
    Equity in income of unconsolidated affiliates 725.5 762.5 1,996.4 2,169.5
    Operating income 892.9 924.9 2,572.3 2,819.9
    Other income (expense):        
    Interest expense (239.5) (229.2) (717.9) (678.6)
    Other, net 1.7 0.2 4.0 0.7
    Total other expense, net (237.8) (229.0) (713.9) (677.9)
    Income before income taxes 655.1 695.9 1,858.4 2,142.0
    Provision for income taxes (3.3) (4.0) (8.9) (15.5)
    Net income 651.8 691.9 1,849.5 2,126.5
    Net loss (income) attributable to noncontrolling interests 0.0 0.0 0.0 0.0
    Net income attributable to entity 651.8 691.9 1,849.5 2,126.5
    Other Subsidiaries (Non-guarantor) [Member]        
    Condensed Consolidating Statement of Operations        
    Revenues 4,531.1 8,598.2 14,751.0 25,859.9
    Costs and expenses:        
    Operating costs and expenses 3,854.5 7,853.5 12,909.8 23,707.6
    General and administrative costs 38.3 40.4 113.9 126.0
    Total costs and expenses 3,892.8 7,893.9 13,023.7 23,833.6
    Equity in income of unconsolidated affiliates 116.5 94.4 314.5 256.1
    Operating income 754.8 798.7 2,041.8 2,282.4
    Other income (expense):        
    Interest expense (4.2) (0.6) (7.3) (1.0)
    Other, net 0.1 (1.2) 0.6 (0.9)
    Total other expense, net (4.1) (1.8) (6.7) (1.9)
    Income before income taxes 750.7 796.9 2,035.1 2,280.5
    Provision for income taxes (2.2) (2.8) 5.4 (5.8)
    Net income 748.5 794.1 2,040.5 2,274.7
    Net loss (income) attributable to noncontrolling interests 0.0 0.1 0.8 0.2
    Net income attributable to entity 748.5 794.2 2,041.3 2,274.9
    Consolidated EPO and Subsidiaries [Member]        
    Condensed Consolidating Statement of Operations        
    Revenues 6,307.9 12,330.2 20,872.9 37,760.9
    Costs and expenses:        
    Operating costs and expenses 5,452.6 11,414.8 18,426.5 34,934.4
    General and administrative costs 49.4 48.6 142.8 149.1
    Total costs and expenses 5,502.0 11,463.4 18,569.3 35,083.5
    Equity in income of unconsolidated affiliates 103.1 72.3 302.5 179.1
    Operating income 909.0 939.1 2,606.1 2,856.5
    Other income (expense):        
    Interest expense (243.7) (229.8) (723.2) (679.6)
    Other, net 1.8 (1.0) 2.6 (0.2)
    Total other expense, net (241.9) (230.8) (720.6) (679.8)
    Income before income taxes 667.1 708.3 1,885.5 2,176.7
    Provision for income taxes (5.5) (6.8) (3.5) (21.1)
    Net income 661.6 701.5 1,882.0 2,155.6
    Net loss (income) attributable to noncontrolling interests (9.7) (9.4) (32.1) (28.6)
    Net income attributable to entity 651.9 692.1 1,849.9 2,127.0
    Consolidated EPO and Subsidiaries [Member] | Eliminations and Adjustments [Member]        
    Condensed Consolidating Statement of Operations        
    Revenues (2,908.4) (4,389.5) (9,179.1) (13,289.1)
    Costs and expenses:        
    Operating costs and expenses (2,908.6) (4,389.6) (9,179.5) (13,289.8)
    General and administrative costs 0.0 0.0 0.0 0.0
    Total costs and expenses (2,908.6) (4,389.6) (9,179.5) (13,289.8)
    Equity in income of unconsolidated affiliates (738.9) (784.6) (2,008.4) (2,246.5)
    Operating income (738.7) (784.5) (2,008.0) (2,245.8)
    Other income (expense):        
    Interest expense 0.0 0.0 2.0 0.0
    Other, net 0.0 0.0 (2.0) 0.0
    Total other expense, net 0.0 0.0 0.0 0.0
    Income before income taxes (738.7) (784.5) (2,008.0) (2,245.8)
    Provision for income taxes 0.0 0.0 0.0 0.2
    Net income (738.7) (784.5) (2,008.0) (2,245.6)
    Net loss (income) attributable to noncontrolling interests (9.7) (9.5) (32.9) (28.8)
    Net income attributable to entity (748.4) (794.0) (2,040.9) (2,274.4)
    Enterprise Products Partners L.P. (Guarantor) [Member]        
    Condensed Consolidating Statement of Operations        
    Revenues 0.0 0.0 0.0 0.0
    Costs and expenses:        
    Operating costs and expenses 0.0 0.0 0.0 0.0
    General and administrative costs (0.4) 1.4 0.4 1.8
    Total costs and expenses (0.4) 1.4 0.4 1.8
    Equity in income of unconsolidated affiliates 653.2 692.5 1,852.6 2,129.4
    Operating income 653.6 691.1 1,852.2 2,127.6
    Other income (expense):        
    Interest expense 0.0 0.0 0.0 0.0
    Other, net (4.3) 0.0 (15.8) 0.0
    Total other expense, net (4.3) 0.0 (15.8) 0.0
    Income before income taxes 649.3 691.1 1,836.4 2,127.6
    Provision for income taxes 0.0 0.0 0.0 0.0
    Net income 649.3 691.1 1,836.4 2,127.6
    Net loss (income) attributable to noncontrolling interests 0.0 0.0 0.0 0.0
    Net income attributable to entity $ 649.3 $ 691.1 $ 1,836.4 $ 2,127.6
    XML 73 R4.htm IDEA: XBRL DOCUMENT v3.3.0.814
    UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED OPERATIONS - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Revenues:        
    Third parties $ 6,294.0 $ 12,319.2 $ 20,845.6 $ 37,697.1
    Related parties 13.9 11.0 27.3 63.8
    Total revenues (see Note 12) 6,307.9 12,330.2 20,872.9 37,760.9
    Operating costs and expenses:        
    Third parties 5,167.9 11,198.1 17,642.6 34,198.9
    Related parties 284.7 216.7 783.9 735.5
    Total operating costs and expenses 5,452.6 11,414.8 18,426.5 34,934.4
    General and administrative costs:        
    Third parties 20.8 18.1 57.9 60.0
    Related parties 28.2 31.9 85.3 90.9
    Total general and administrative costs 49.0 50.0 143.2 150.9
    Total costs and expenses 5,501.6 11,464.8 18,569.7 35,085.3
    Equity in income of unconsolidated affiliates 103.1 72.3 302.5 179.1
    Operating income 909.4 937.7 2,605.7 2,854.7
    Other income (expense):        
    Interest expense (243.7) (229.8) (723.2) (679.6)
    Change in fair value of Liquidity Option Agreement (see Note 15) (4.3) 0.0 (15.8) 0.0
    Other, net 1.8 (1.0) 2.6 (0.2)
    Total other expense, net (246.2) (230.8) (736.4) (679.8)
    Income before income taxes 663.2 706.9 1,869.3 2,174.9
    Provision for income taxes (5.5) (7.7) (4.4) (22.5)
    Net income 657.7 699.2 1,864.9 2,152.4
    Net income attributable to noncontrolling interests (see Note 11) (8.4) (8.1) (28.5) (24.8)
    Net income attributable to limited partners $ 649.3 $ 691.1 $ 1,836.4 $ 2,127.6
    Earnings per unit: (see Note 14)        
    Basic earnings per unit (in dollars per unit) $ 0.33 $ 0.38 $ 0.94 $ 1.16
    Diluted earnings per unit (in dollars per unit) $ 0.32 $ 0.37 $ 0.92 $ 1.13
    XML 74 R12.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Inventories
    9 Months Ended
    Sep. 30, 2015
    Inventories [Abstract]  
    Inventories

    Note 5.  Inventories

    Our inventory amounts by product type were as follows at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    NGLs
     
    $
    740.5
      
    $
    579.1
     
    Petrochemicals and refined products
      
    158.0
       
    295.6
     
    Crude oil
      
    152.2
       
    97.8
     
    Natural gas
      
    34.7
       
    41.7
     
    Total
     
    $
    1,085.4
      
    $
    1,014.2
     

    Due to fluctuating commodity prices, we recognize lower of cost or market adjustments when the carrying value of our available-for-sale inventories exceeds their net realizable value.  The following table presents our total cost of sales amounts and lower of cost or market adjustments for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Cost of sales (1)
     
    $
    4,419.9
      
    $
    10,455.1
      
    $
    15,355.9
      
    $
    32,213.1
     
    Lower of cost or market adjustments
      
    2.1
       
    6.7
       
    6.1
       
    14.6
     
     
    (1)   Cost of sales is a component of “Operating costs and expenses” as presented on our Unaudited Condensed Statements of Consolidated Operations. Fluctuations in these amounts are primarily due to changes in energy commodity prices and sales volumes associated with our marketing activities.
     


    XML 75 R11.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements
    9 Months Ended
    Sep. 30, 2015
    Derivative Instruments, Hedging Activities and Fair Value Measurements [Abstract]  
    Derivative Instruments, Hedging Activities and Fair Value Measurements
    Note 4.  Derivative Instruments, Hedging Activities and Fair Value Measurements

    In the normal course of our business operations, we are exposed to certain risks, including changes in interest rates and commodity prices.  In order to manage risks associated with assets, liabilities and certain anticipated future transactions, we use derivative instruments such as futures, forward contracts, swaps, options and other instruments with similar characteristics.  Substantially all of our derivatives are used for non-trading activities.

    Interest Rate Hedging Activities
    We may utilize interest rate swaps, forward starting swaps and similar derivative instruments to manage our exposure to changes in interest rates charged on borrowings under certain consolidated debt agreements.  This strategy may be used in controlling our overall cost of capital associated with such borrowings.  At December 31, 2014, we did not have any interest rate hedging derivative instruments outstanding.  The following table summarizes our portfolio of interest rate swaps at September 30, 2015:

    Hedged Transaction
    Number and Type
    of Derivatives
    Outstanding
     
    Notional
    Amount
     
    Period of
    Hedge
    Rate
    Swap
    Accounting
    Treatment
    Senior Notes OO
    10 fixed-to-floating swaps
     
    $
    750.0
     
    5/2015 to 5/2018
    1.65% to 0.79%
    Fair value hedge

    Interest rate swaps exchange the stated interest rate paid on a notional amount of existing debt for the fixed or floating interest rate stipulated in the derivative instrument.

    Commodity Hedging Activities
    The prices of natural gas, NGLs, crude oil, petrochemicals and refined products are subject to fluctuations in response to changes in supply and demand, market conditions and a variety of additional factors that are beyond our control.  In order to manage such price risks, we enter into commodity derivative instruments such as physical forward contracts, futures contracts, fixed-for-float swaps, basis swaps and option contracts.  The following table summarizes our portfolio of commodity derivative instruments outstanding at September 30, 2015 (volume measures as noted):

     
    Volume (1)
    Accounting
    Derivative Purpose
    Current (2)
    Long-Term (2)
    Treatment
    Derivatives designated as hedging instruments:
       
    Natural gas processing:
       
    Forecasted natural gas purchases for plant thermal reduction (Bcf)
    4.9
    n/a
    Cash flow hedge
    Forecasted sales of NGLs (MMBbls) (3)
    1.1
    n/a
    Cash flow hedge
    Octane enhancement:
       
    Forecasted purchases of NGLs (MMBbls)
    0.1
    n/a
    Cash flow hedge
    Forecasted sales of octane enhancement products (MMBbls)
    0.5
    n/a
    Cash flow hedge
    Natural gas marketing:
       
    Forecasted purchases of natural gas for fuel (Bcf)
    6.4
    n/a
    Cash flow hedge
    Forecasted sales of natural gas (Bcf)
    0.1
    n/a
    Cash flow hedge
    Natural gas storage inventory management activities (Bcf)
    10.2
    n/a
    Fair value hedge
    NGL marketing:
       
    Forecasted purchases of NGLs and related hydrocarbon products (MMBbls)
    34.6
    0.5
    Cash flow hedge
    Forecasted sales of NGLs and related hydrocarbon products (MMBbls)
    49.8
    n/a
    Cash flow hedge
    Refined products marketing:
     
      
    Forecasted purchases of refined products (MMBbls)
    0.4
    n/a
    Cash flow hedge
    Forecasted sales of refined products (MMBbls)
    0.7
    n/a
    Cash flow hedge
    Refined products inventory management activities (MMBbls)
    0.2
    n/a
    Fair value hedge
    Crude oil marketing:
      
     
    Forecasted purchases of crude oil (MMBbls)
    9.0
    1.6
    Cash flow hedge
    Forecasted sales of crude oil (MMBbls)
    11.9
    1.6
    Cash flow hedge
    Derivatives not designated as hedging instruments:
       
    Natural gas risk management activities (Bcf) (4,5)
    65.9
    9.6
    Mark-to-market
    NGL risk management activities (MMBbls) (5)
    14.9
    n/a
    Mark-to-market
    Crude oil risk management activities (MMBbls) (5)
    5.8
    0.4
    Mark-to-market
     
    (1)    Volume for derivatives designated as hedging instruments reflects the total amount of volumes hedged whereas volume for derivatives not designated as hedging instruments reflects the absolute value of derivative notional volumes.
    (2)    The maximum term for derivatives designated as cash flow hedges, derivatives designated as fair value hedges and derivatives not designated as hedging instruments is December 2017, April 2016 and March 2018, respectively.
    (3)    Forecasted sales of NGL volumes under natural gas processing exclude 0.7 MMBbls of additional hedges executed under contracts that have been designated as normal sales agreements.
    (4)    Current and long-term volumes include 38.7 Bcf and 0.9 Bcf, respectively, of physical derivative instruments that are predominantly priced at a marked-based index plus a premium or minus a discount related to location differences.
    (5)    Reflects the use of derivative instruments to manage risks associated with transportation, processing and storage assets.

    At September 30, 2015, our predominant commodity hedging strategies consisted of (i) hedging anticipated future purchases and sales of commodity products associated with transportation, storage and blending activities, (ii) hedging natural gas processing margins and (iii) hedging the fair value of commodity products held in inventory.  

    §
    The objective of our anticipated future commodity purchases and sales hedging program is to hedge the margins of certain transportation, storage, blending and operational activities by locking in purchase and sale prices through the use of forward contracts and derivative instruments.

    §
    The objective of our natural gas processing hedging program is to hedge an amount of gross margin associated with these activities. We achieve this objective by executing forward fixed-price sales of a portion of our expected equity NGL production using forward contracts and commodity derivative instruments.  For certain natural gas processing contracts, the hedging of expected equity NGL production also involves the purchase of natural gas for plant thermal reduction, which is hedged by executing forward fixed-price purchases using forward contracts and derivative instruments.
     
    §
    The objective of our inventory hedging program is to hedge the fair value of commodity products currently held in inventory by locking in the sales price of the inventory through the use of forward contracts and derivative instruments.
     
    Tabular Presentation of Fair Value Amounts, and Gains and Losses on
    Derivative Instruments and Related Hedged Items

    The following table provides a balance sheet overview of our derivative assets and liabilities at the dates indicated:

     
    Asset Derivatives
     
    Liability Derivatives
     
     
    September 30, 2015
     
    December 31, 2014
     
    September 30, 2015
     
    December 31, 2014
     
      Balance
    Sheet
    Location
      
    Fair
    Value
     
    Balance
    Sheet
    Location
      
    Fair
    Value 
     Balance
    Sheet
    Location
      
    Fair
    Value 
     Balance
    Sheet
    Location
     
     
    Fair
    Value 
     
    Derivatives designated as hedging instruments  
                    
    Interest rate derivatives
    Current assets
     
    $
    7.4
     
    Current assets
     
    $
    --
     
    Other current
    liabilities
     
    $
    --
     
    Other current
    liabilities
     
    $
    --
     
    Interest rate derivatives
    Other assets
      
    0.2
     
    Other assets
      
    --
     
    Other liabilities
      
    --
     
    Other liabilities
      
    --
     
    Total interest rate derivatives
       
    7.6
        
    --
        
    --
        
    --
     
    Commodity derivatives
    Current assets
      
    216.9
     
    Current assets
      
    217.9
     
    Other current
    liabilities
      
    178.5
     
    Other current
    liabilities
      
    145.3
     
    Commodity derivatives
    Other assets
      
    8.3
     
    Other assets
      
    --
     
    Other liabilities
      
    8.2
     
    Other liabilities
      
    --
     
    Total commodity derivatives
     
      
    225.2
     
     
      
    217.9
     
     
      
    186.7
     
     
      
    145.3
     
    Total derivatives designated as hedging instruments
      
    $
    232.8
       
    $
    217.9
       
    $
    186.7
       
    $
    145.3
     
     
     
        
     
        
     
        
     
        
    Derivatives not designated as hedging instruments
     
    Commodity derivatives
    Current assets
     
    $
    17.5
     
    Current assets
     
    $
    8.1
     
    Other current
    liabilities
     
    $
    9.4
     
    Other current
    liabilities
     
    $
    0.7
     
    Commodity derivatives
    Other assets
      
    0.1
     
    Other assets
      
    0.6
     
    Other liabilities
      
    1.0
     
    Other liabilities
      
    1.4
     
    Total commodity derivatives
     
     
    $
    17.6
     
     
     
    $
    8.7
     
     
     
    $
    10.4
     
     
     
    $
    2.1
     

    Certain of our commodity derivative instruments are subject to master netting arrangements or similar agreements.  The following tables present our derivative instruments subject to such arrangements at the dates indicated:

     
    Offsetting of Financial Assets and Derivative Assets
     
     
    Gross
    Amounts of
    Recognized
    Assets
     
    Gross
    Amounts
    Offset in the
    Balance Sheet
     
    Amounts
    of Assets
    Presented
    in the
    Balance Sheet
     
    Gross Amounts Not Offset
    in the Balance Sheet
     
    Amounts That
    Would Have
    Been Presented
    On Net Basis
     
    Financial
    Instruments
      
    Cash
    Collateral
    Received
      
    Cash
    Collateral
    Paid
     
     
    (i)
     
    (ii)
     
    (iii) = (i) – (ii)
     
    (iv)
     
    (v) = (iii) + (iv)
     
    As of September 30, 2015:
                  
    Interest rate derivatives
     
    $
    7.6
      
    $
    --
      
    $
    7.6
      
    $
    --
      
    $
    --
      
    $
    --
      
    $
    7.6
     
    Commodity derivatives
      
    242.8
       
    --
       
    242.8
       
    (180.3
    )
      
    (38.2
    )
      
    (9.6
    )
      
    14.7
     
    As of December 31, 2014:
                                
    Commodity derivatives
     
    $
    226.6
      
    $
    --
      
    $
    226.6
      
    $
    (147.3
    )
     
    $
    (23.9
    )
     
    $
    --
      
    $
    55.4
     

     
    Offsetting of Financial Liabilities and Derivative Liabilities
     
     
    Gross
    Amounts of
    Recognized
    Liabilities
     
    Gross
    Amounts
    Offset in the
    Balance Sheet
     
    Amounts
    of Liabilities
    Presented
    in the
    Balance Sheet
     
    Gross Amounts Not Offset
    in the Balance Sheet
     
    Amounts That
    Would Have
    Been Presented
    On Net Basis
     
    Financial
    Instruments
     
    Cash
    Collateral
    Paid
     
     
    (i)
     
    (ii)
     
    (iii) = (i) – (ii)
     
    (iv)
     
    (v) = (iii) + (iv)
     
    As of September 30, 2015:
                
    Commodity derivatives
     
    $
    197.1
      
    $
    --
      
    $
    197.1
      
    $
    (180.3
    )
     
    $
    --
      
    $
    16.8
     
    As of December 31, 2014:
                            
    Commodity derivatives
     
    $
    147.4
      
    $
    --
      
    $
    147.4
      
    $
    (147.3
    )
     
    $
    --
      
    $
    0.1
     

    Derivative assets and liabilities recorded on our Unaudited Condensed Consolidated Balance Sheets are presented on a gross-basis and determined at the individual transaction level.  The tabular presentation above provides a means for comparing the gross amount of derivative assets and liabilities, excluding associated accounts payable and receivable, to the net amount that would likely be receivable or payable under a default scenario based on the existence of rights of offset in the respective derivative agreements.  Any cash collateral paid or received is reflected in these tables, but only to the extent that it represents variation margins.  Any amounts associated with derivative prepayments or initial margins that are not influenced by the derivative asset or liability amounts or those that are determined solely on their volumetric notional amounts are excluded from these tables.

    The following tables present the effect of our derivative instruments designated as fair value hedges on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:

    Derivatives in Fair Value
    Hedging Relationships
     
    Location
     
    Gain (Loss) Recognized in
    Income on Derivative
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    5.9
      
    $
    (4.1
    )
     
    $
    5.1
      
    $
    (9.5
    )
    Commodity derivatives
    Revenue
      
    3.6
       
    (0.3
    )
      
    4.0
       
    0.6
     
    Total
     
     
    $
    9.5
      
    $
    (4.4
    )
     
    $
    9.1
      
    $
    (8.9
    )

    Derivatives in Fair Value
    Hedging Relationships
     
    Location
     
    Gain (Loss) Recognized in
    Income on Hedged Item
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    (5.7
    )
     
    $
    3.9
      
    $
    (5.2
    )
     
    $
    9.3
     
    Commodity derivatives
    Revenue
      
    (2.5
    )
      
    1.0
       
    7.4
       
    (1.4
    )
    Total
     
     
    $
    (8.2
    )
     
    $
    4.9
      
    $
    2.2
      
    $
    7.9
     

    With respect to our derivative instruments designated as fair value hedges, amounts attributable to ineffectiveness and those excluded from the assessment of hedge effectiveness were not material to our consolidated financial statements during the periods presented.

    The following tables present the effect of our derivative instruments designated as cash flow hedges on our Unaudited Condensed Statements of Consolidated Operations and Unaudited Condensed Statements of Consolidated Comprehensive Income for the periods indicated:

    Derivatives in Cash Flow
    Hedging Relationships
     
    Change in Value Recognized in
    Other Comprehensive Income (Loss)
    on Derivative (Effective Portion)
     
     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Commodity derivatives – Revenue (1)
     
    $
    87.4
      
    $
    58.8
      
    $
    113.9
      
    $
    15.2
     
    Commodity derivatives – Operating costs and expenses (1)
      
    (1.6
    )
      
    (0.7
    )
      
    (1.6
    )
      
    0.9
     
    Total
     
    $
    85.8
      
    $
    58.1
      
    $
    112.3
      
    $
    16.1
     
     
    (1)     The fair value of these derivative instruments will be reclassified to their respective locations on the Unaudited Condensed Statement of Consolidated Operations upon settlement of the underlying derivative transactions, as appropriate.
     

    Derivatives in Cash Flow
    Hedging Relationships
    Location
     
    Gain (Loss) Reclassified from
    Accumulated Other Comprehensive Income (Loss)
    to Income (Effective Portion)
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    (8.9
    )
     
    $
    (8.0
    )
     
    $
    (26.3
    )
     
    $
    (23.9
    )
    Commodity derivatives
    Revenue
      
    46.8
       
    17.8
       
    128.6
       
    (14.5
    )
    Commodity derivatives
    Operating costs and expenses
      
    --
       
    0.2
       
    (0.5
    )
      
    1.6
     
    Total
     
     
    $
    37.9
      
    $
    10.0
      
    $
    101.8
      
    $
    (36.8
    )

    Derivatives in Cash Flow
    Hedging Relationships
    Location
     
    Gain (Loss) Recognized in Income
    on Derivative (Ineffective Portion)
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Commodity derivatives
    Revenue
     
    $
    (3.5
    )
     
    $
    0.1
      
    $
    (3.1
    )
     
    $
    --
     
    Commodity derivatives
    Operating costs and expenses
      
    --
       
    (0.1
    )
      
    --
       
    --
     
    Total
     
     
    $
    (3.5
    )
     
    $
    --
      
    $
    (3.1
    )
     
    $
    --
     

    Over the next twelve months, we expect to reclassify $36.8 million of losses attributable to interest rate derivative instruments from accumulated other comprehensive loss to earnings as an increase in interest expense.  Likewise, we expect to reclassify $54.1 million of net gains attributable to commodity derivative instruments from accumulated other comprehensive income to earnings, $55.7 million as an increase in revenue and $1.6 million as an increase in operating costs and expenses.

    The following table presents the effect of our derivative instruments not designated as hedging instruments on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:

    Derivatives Not Designated
    as Hedging Instruments
    Location
     
    Gain (Loss) Recognized in
    Income on Derivative
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    --
      
    $
    --
      
    $
    --
      
    $
    (0.1
    )
    Commodity derivatives
    Revenue
      
    --
       
    0.8
       
    3.9
       
    (26.8
    )
    Commodity derivatives
    Operating costs and expenses
      
    (0.3
    )
      
    --
       
    --
       
    --
     
    Total
     
     
    $
    (0.3
    )
     
    $
    0.8
      
    $
    3.9
      
    $
    (26.9
    )

    Fair Value Measurements
    Our fair value estimates are based on either (i) actual market data or (ii) assumptions that other market participants would use in pricing an asset or liability, including estimates of risk, in the principal market of the asset or liability at a specified measurement date.  Recognized valuation techniques employ inputs such as contractual prices, quoted market prices or rates, operating costs, discount factors and business growth rates.  These inputs may be either readily observable, corroborated by market data or generally unobservable.  In developing our estimates of fair value, we endeavor to utilize the best information available and apply market-based data to the highest extent possible.  Accordingly, we utilize valuation techniques (such as the market approach) that maximize the use of observable inputs and minimize the use of unobservable inputs.

    A three-tier hierarchy has been established that classifies fair value amounts recognized in the financial statements based on the observability of inputs used to estimate such fair values.  The hierarchy considers fair value amounts based on observable inputs (Levels 1 and 2) to be more reliable and predictable than those based primarily on unobservable inputs (Level 3).  At each balance sheet reporting date, we categorize our financial assets and liabilities using this hierarchy.

    Recurring Fair Value Measurements
    The following tables set forth, by level within the fair value hierarchy, the carrying values of our financial assets and liabilities at the dates indicated.  These assets and liabilities are measured on a recurring basis and are classified based on the lowest level of input used to estimate their fair value.  Our assessment of the relative significance of such inputs requires judgment.

     
     
    September 30, 2015
    Fair Value Measurements Using
      
     
     
     
    Quoted Prices
    in Active
    Markets for
    Identical Assets
    and Liabilities
    (Level 1)
      
    Significant
    Other
    Observable
    Inputs
    (Level 2)
      
    Significant
    Unobservable
    Inputs
    (Level 3)
      
    Total
     
    Financial assets:
     
      
      
      
     
    Interest rate derivatives
     
    $
    --
      
    $
    7.6
      
    $
    --
      
    $
    7.6
     
    Commodity derivatives
      
    84.1
       
    157.7
       
    1.0
       
    242.8
     
    Total
     
    $
    84.1
      
    $
    165.3
      
    $
    1.0
      
    $
    250.4
     
     
                    
    Financial liabilities:
                    
    Liquidity Option Agreement
     
    $
    --
      
    $
    --
      
    $
    235.5
      
    $
    235.5
     
    Commodity derivatives
      
    37.4
       
    142.7
       
    17.0
       
    197.1
     
    Total
     
    $
    37.4
      
    $
    142.7
      
    $
    252.5
      
    $
    432.6
     

     
     
    December 31, 2014
    Fair Value Measurements Using
      
     
     
     
    Quoted Prices
    in Active
    Markets for
    Identical Assets
    and Liabilities
    (Level 1)
      
    Significant
    Other
    Observable
    Inputs
    (Level 2)
      
    Significant
    Unobservable
    Inputs
    (Level 3)
      
    Total
     
    Financial assets:
     
      
      
      
     
    Commodity derivatives
     
    $
    37.8
      
    $
    187.8
      
    $
    1.0
      
    $
    226.6
     
     
                    
    Financial liabilities:
                    
    Liquidity Option Agreement
     
    $
    --
      
    $
    --
      
    $
    219.7
      
    $
    219.7
     
    Commodity derivatives
      
    13.8
       
    133.0
       
    0.6
       
    147.4
     
    Total
     
    $
    13.8
      
    $
    133.0
      
    $
    220.3
      
    $
    367.1
     

    The following table sets forth a reconciliation of changes in the fair values of our recurring Level 3 financial assets and liabilities on a combined basis for the periods indicated:

     
      
     
    For the Nine Months
    Ended September 30,
     
     
    Location 
    2015
      
    2014
     
    Financial asset (liability) balance, net, January 1
     
     
    $
    (219.3
    )
     
    $
    3.2
     
    Total gains (losses) included in:
     
            
    Net income (1)
    Revenue
      
    (0.4
    )
      
    4.6
     
    Other comprehensive income
    Commodity derivative instruments – changes in fair value of cash flow hedges
      
    (1.5
    )
      
    --
     
    Settlements
    Revenue
      
    (0.5
    )
      
    (0.1
    )
    Transfers out of Level 3
       
    0.1
       
    --
     
    Financial asset (liability) balance, net, March 31
     
      
    (221.6
    )
      
    7.7
     
    Total gains (losses) included in:
     
            
    Net income (1)
    Revenue
      
    (0.4
    )
      
    (3.3
    )
    Net income
    Other expense, net
      
    (11.5
    )
      
    --
     
    Other comprehensive income
    Commodity derivative instruments – changes in fair value of cash flow hedges
      
    (1.0
    )
      
    --
     
    Settlements
    Revenue
      
    0.2
       
    (1.8
    )
    Transfers out of Level 3
       
    1.5
       
    --
     
    Financial asset (liability) balance, net, June 30
     
      
    (232.8
    )
      
    2.6
     
    Total gains (losses) included in:
             
    Net income (1)
    Revenue
      
    (0.3
    )
      
    (0.9
    )
    Net income
    Other expense, net
      
    (4.3
    )
      
    --
     
    Other comprehensive income
    Commodity derivative instruments – changes in fair value of cash flow hedges
      
    (15.5
    )
      
    (2.5
    )
    Settlements
    Revenue
      
    0.3
       
    0.1
     
    Transfers out of Level 3
       
    1.1
       
    --
     
    Financial asset (liability) balance, net, September 30
      
    $
    (251.5
    )
     
    $
    (0.7
    )
     
    (1)   There were $1.1 million of unrealized losses included in these amounts for the nine months ended September 30, 2015. There were unrealized gains of $0.8 million and $1.3 million included in these amounts for the three and nine months ended September 30, 2014, respectively.
     

    The following table provides quantitative information about our recurring Level 3 fair value measurements at September 30, 2015:

     
     
    Fair Value
     
     
     
       
     
     
    Financial
    Assets
      
    Financial
    Liabilities
     
    Valuation
    Techniques
    Unobservable
    Input
    Range
    Commodity derivatives – Crude oil
     
    $
    0.7
      
    $
    1.3
     
    Discounted cash flow
    Forward commodity prices
    $44.47-$50.74/barrel
    Commodity derivatives – Natural gasoline
      
    0.3
       
    15.6
     
    Discounted cash flow
    Forward commodity prices
    $0.93-$1.00/gallon
    Commodity derivatives – Propane
      
    --
       
    0.1
     
    Discounted cash flow
    Forward commodity prices
    $0.50/gallon
    Total
     
    $
    1.0
      
    $
    17.0
          

    With respect to commodity derivatives, we believe forward commodity prices are the most significant unobservable inputs in determining our Level 3 recurring fair value measurements at September 30, 2015.  In general, changes in the price of the underlying commodity increases or decreases the fair value of a commodity derivative depending on whether the derivative was purchased or sold.  We generally expect changes in the fair value of our derivative instruments to be offset by corresponding changes in the fair value of our hedged exposures.

    As described in Note 15, we adjusted the expected life of OTA following exercise of the Liquidity Option Agreement to reflect an equal probability of the dissolution of OTA over each of the 30 years in our forecast period.  None of the other key valuation assumptions we listed in our 2014 Form 10-K for the Liquidity Option Agreement have changed.

    Nonrecurring Fair Value Measurements
    Long-lived assets (including intangible assets with finite useful lives and property, plant and equipment) are reviewed for impairment (i.e., subject to nonrecurring fair value measurements) when events or changes in circumstances indicate that the carrying amount of such assets may not be recoverable. Long-lived assets with carrying values that are not expected to be recovered through future cash flows are written-down to their estimated fair values. The following table summarizes our non-cash impairment charges by segment during each of the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    14.6
      
    $
    1.2
      
    $
    20.6
      
    $
    6.6
     
    Crude Oil Pipelines & Services
      
    --
       
    0.4
       
    25.9
       
    2.2
     
    Natural Gas Pipelines & Services
      
    --
       
    0.4
       
    21.5
       
    0.7
     
    Petrochemical & Refined Products Services
      
    12.2
       
    3.7
       
    12.6
       
    8.7
     
    Offshore Pipelines & Services
      
    --
       
    --
       
    58.5
       
    --
     
    Total
     
    $
    26.8
      
    $
    5.7
      
    $
    139.1
      
    $
    18.2
     

    Impairment charges are a component of “Operating costs and expenses” on our Unaudited Condensed Statements of Consolidated Operations.

    Our non-cash asset impairment charges for the third quarter of 2015 primarily relate to the planned abandonment of natural gas processing assets in southern Louisiana and the reclassification of certain marine vessels to held for sale status.  Our non-cash asset impairment charges for the nine months ended September 30, 2015 primarily reflect the $54.8 million charge we recorded in connection with the sale of our Offshore Business (see Note 6) and the abandonment of certain natural gas and crude oil pipeline assets in Texas. Our non-cash asset impairment charges for the nine months ended September 30, 2014 primarily reflect the abandonment of assets classified as property, plant and equipment.

    The following table presents categories of long-lived assets that were subject to non-recurring fair value measurements during the nine months ended September 30, 2015:

     
     
      
    Fair Value Measurements
    at the End of the Reporting Period Using
      
     
     
     
    Carrying
    Value at
    September 30,
    2015
      
    Quoted Prices
    in Active
    Markets for
    Identical
    Assets
    (Level 1)
      
    Significant
    Other
    Observable
    Inputs
    (Level 2)
      
    Significant
    Unobservable
    Inputs
    (Level 3)
      
    Total
    Non-Cash
    Impairment
    Loss
     
    Long-lived assets disposed of other than by sale
     
    $
    0.4
      
    $
    --
      
    $
    --
      
    $
    0.4
      
    $
    69.9
     
    Long-lived assets held for sale
      
    34.2
       
    --
       
    --
       
    34.2
       
    14.2
     
    Long-lived assets disposed of by sale (1)
      
    --
       
    --
       
    --
       
    --
       
    55.0
     
    Total
                     
    $
    139.1
     
                                                     
    (1)   Primarily represents the impairment charge recorded in second quarter of 2015 upon reclassification of our Offshore Business to held for sale status.
     

    The following table presents categories of long-lived assets that were subject to non-recurring fair value measurements during the nine months ended September 30, 2014:

     
     
    Fair Value Measurements
    at the End of the Reporting Period Using
     
     
     
    Carrying
    Value at
    September 30,
    2014
     
    Quoted Prices
    in Active
    Markets for
    Identical
    Assets
    (Level 1)
     
    Significant
    Other
    Observable
    Inputs
    (Level 2)
     
    Significant
    Unobservable
    Inputs
    (Level 3)
     
    Total
    Non-Cash
    Impairment
    Loss
     
    Long-lived assets disposed of other than by sale
     
    $
    --
      
    $
    --
      
    $
    --
      
    $
    --
      
    $
    11.7
     
    Long-lived assets held for sale
      
    1.1
       
    --
       
    --
       
    1.1
       
    6.5
     
    Total
                     
    $
    18.2
     

    Other Fair Value Information
    The carrying amounts of cash and cash equivalents (including restricted cash balances), accounts receivable, commercial paper notes and accounts payable approximate their fair values based on their short-term nature.  The estimated total fair value of our fixed-rate debt obligations was $20.77 billion and $22.16 billion at September 30, 2015 and December 31, 2014, respectively.  The aggregate carrying value of these debt obligations was $20.88 billion and $20.48 billion at September 30, 2015 and December 31, 2014, respectively.  These values are based on quoted market prices for such debt or debt of similar terms and maturities (Level 2), our credit standing and the credit standing of our counterparties.  Changes in market rates of interest affect the fair value of our fixed-rate debt.  The amounts reported for fixed-rate debt obligations as of September 30, 2015, exclude those amounts hedged using fixed-to-floating interest rate swaps. See “Interest Rate Hedging Activities” within this Note 4 for additional information.  The carrying values of our variable-rate long-term debt obligations approximate their fair values since the associated interest rates are market-based.  We do not have any long-term investments in debt or equity securities recorded at fair value.

    XML 76 R23.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Supplemental Cash Flow Information
    9 Months Ended
    Sep. 30, 2015
    Supplemental Cash Flow Information [Abstract]  
    Supplemental Cash Flow Information
    Note 16.  Supplemental Cash Flow Information

    The following table presents the net effect of changes in our operating accounts for the periods indicated:

     
     
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
     
    Decrease (increase) in:
     
      
     
    Accounts receivable – trade
     
    $
    1,042.5
      
    $
    153.6
     
    Accounts receivable – related parties
      
    1.2
       
    4.0
     
    Inventories
      
    (143.2
    )
      
    (536.9
    )
    Prepaid and other current assets
      
    (32.7
    )
      
    (44.5
    )
    Other assets
      
    2.1
       
    20.0
     
    Increase (decrease) in:
            
    Accounts payable – trade
      
    (72.7
    )
      
    (14.2
    )
    Accounts payable – related parties
      
    (38.6
    )
      
    (27.7
    )
    Accrued product payables
      
    (1,248.4
    )
      
    (13.1
    )
    Accrued interest
      
    (136.7
    )
      
    (131.7
    )
    Other current liabilities
      
    (13.8
    )
      
    143.5
     
    Other liabilities
      
    12.4
       
    11.2
     
    Net effect of changes in operating accounts
     
    $
    (627.9
    )
     
    $
    (435.8
    )

    We incurred liabilities for construction in progress that had not been paid at September 30, 2015 and December 31, 2014 of $495.1 million and $372.8 million, respectively.  Such amounts are not included under the caption “Capital expenditures” on the Unaudited Condensed Statements of Consolidated Cash Flows.

    On certain of our capital projects, third parties are obligated to reimburse us for all or a portion of project expenditures.  The majority of such arrangements are associated with projects related to pipeline construction activities and production well tie-ins.  These cash receipts are presented as “Contributions in aid of construction costs” within the investing activities section of our Unaudited Condensed Statements of Consolidated Cash Flows.

    In addition, we incurred a $1.0 billion payable in connection with our acquisition of EFS Midstream in July 2015 that will be paid no later than the first anniversary of the closing date of the acquisition (see Note 8).

    In February 2011, we experienced an NGL release and fire at the West Storage location of our Mont Belvieu, Texas underground storage facility.  As a final installment on the property damage claim we filed in connection with this incident, we received $95.0 million of nonrefundable cash insurance proceeds during the first quarter of 2014.  Operating income for the nine months ended September 30, 2014 includes $95.0 million of gains related to these proceeds.  This gain was classified as a reduction in operating costs and expenses for the period.  

    The following table presents our cash proceeds from asset sales and insurance recoveries for the periods indicated:

     
     
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
     
    Sale of Offshore Business (see Note 6)
     
    $
    1,528.6
      
    $
    --
     
    Insurance recoveries attributable to West Storage claims
      
    --
       
    95.0
     
    Other cash proceeds
      
    8.7
       
    26.5
     
    Total
     
    $
    1,537.3
      
    $
    121.5
     

    The following table presents net gains (losses) attributable to asset sales and insurance recoveries for the periods indicated:

     
     
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
     
    Sale of Offshore Business (see Note 6)
     
    $
    (12.6
    )
     
    $
    --
     
    Gains attributable to West Storage insurance recoveries
      
    --
       
    95.0
     
    Net gains (losses) attributable to other asset sales
      
    (2.1
    )
      
    4.0
     
    Total
     
    $
    (14.7
    )
     
    $
    99.0
     

    XML 77 R19.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Segments
    9 Months Ended
    Sep. 30, 2015
    Business Segments [Abstract]  
    Business Segments

    Note 12.  Business Segments

    Our historical operations are reported under five business segments: (i) NGL Pipelines & Services, (ii) Crude Oil Pipelines & Services, (iii) Natural Gas Pipelines & Services, (iv) Petrochemical & Refined Products Services and (v) Offshore Pipelines & Services. Our business segments are generally organized and managed according to the types of services rendered (or technologies employed) and products produced and/or sold.

    Our consolidated financial statements reflect ownership of the Offshore Business through July 24, 2015, which was the closing date of the sales transaction.  See Note 6 for additional information related to the sale of our Offshore Business.

    Segment revenues include intersegment and intrasegment transactions, which are generally based on transactions made at market-based rates.  Our consolidated revenues reflect the elimination of intercompany transactions.  Substantially all of our consolidated revenues are earned in the U.S. and derived from a wide customer base.

    We evaluate segment performance based on the non-GAAP financial measure of gross operating margin.  Gross operating margin (either in total or by individual segment) is an important performance measure of the core profitability of our operations.  This measure forms the basis of our internal financial reporting and is used by our executive management in deciding how to allocate capital resources among business segments.  We believe that investors benefit from having access to the same financial measures that our management uses in evaluating segment results.  The GAAP financial measure most directly comparable to total segment gross operating margin is operating income.

    In total, gross operating margin represents operating income exclusive of (1) depreciation, amortization and accretion expenses, (2) impairment charges, (3) gains and losses attributable to asset sales and insurance recoveries and (4) general and administrative costs.  Gross operating margin includes equity in income of unconsolidated affiliates and non-refundable deferred transportation revenues relating to the make-up rights of committed shippers associated with certain pipelines.  Gross operating margin by segment is calculated by subtracting segment operating costs and expenses (net of the adjustments noted above) from segment revenues, with both segment totals before the elimination of intercompany transactions.  In accordance with GAAP, intercompany accounts and transactions are eliminated in consolidation.  Gross operating margin is exclusive of other income and expense transactions, income taxes, the cumulative effect of changes in accounting principles and extraordinary charges.  Gross operating margin is presented on a 100% basis before any allocation of earnings to noncontrolling interests.

    Segment assets consist of property, plant and equipment, investments in unconsolidated affiliates, intangible assets and goodwill.  The carrying values of such amounts are assigned to each segment based on each asset’s or investment’s principal operations and contribution to the gross operating margin of that particular segment.  Since construction-in-progress amounts (a component of property, plant and equipment) generally do not contribute to segment gross operating margin, such amounts are excluded from segment asset totals until the underlying assets are placed in service.  Intangible assets and goodwill are assigned to each segment based on the classification of the assets to which they relate.  Substantially all of our plants, pipelines and other fixed assets are located in the U.S.

    The following table presents our measurement of non-GAAP total segment gross operating margin for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Revenues
     
    $
    6,307.9
      
    $
    12,330.2
      
    $
    20,872.9
      
    $
    37,760.9
     
    Subtract operating costs and expenses
      
    (5,452.6
    )
      
    (11,414.8
    )
      
    (18,426.5
    )
      
    (34,934.4
    )
    Add equity in income of unconsolidated affiliates
      
    103.1
       
    72.3
       
    302.5
       
    179.1
     
    Add depreciation, amortization and accretion expense amounts not reflected in gross operating margin
      
    351.1
       
    322.7
       
    1,082.0
       
    936.5
     
    Add impairment charges not reflected in gross operating margin
      
    26.8
       
    5.7
       
    139.1
       
    18.2
     
    Add net losses or subtract net gains attributable to asset sales and insurance recoveries not reflected in gross operating margin (see Note 16)
      
    12.3
       
    (2.6
    )
      
    14.7
       
    (99.0
    )
    Add non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
      
    3.4
       
    21.6
       
    39.3
       
    66.8
     
    Subtract subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
      
    (10.9
    )
      
    --
       
    (45.3
    )
      
    --
     
    Total segment gross operating margin
     
    $
    1,341.1
      
    $
    1,335.1
      
    $
    3,978.7
      
    $
    3,928.1
     

    The following table presents a reconciliation of total segment gross operating margin to operating income and further to income before income taxes for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Total segment gross operating margin
     
    $
    1,341.1
      
    $
    1,335.1
      
    $
    3,978.7
      
    $
    3,928.1
     
    Adjustments to reconcile total segment gross operating margin to operating income:
                    
    Subtract depreciation, amortization and accretion expense amounts not reflected in gross operating margin
      
    (351.1
    )
      
    (322.7
    )
      
    (1,082.0
    )
      
    (936.5
    )
    Subtract impairment charges not reflected in gross operating margin
      
    (26.8
    )
      
    (5.7
    )
      
    (139.1
    )
      
    (18.2
    )
    Add net gains or subtract net losses attributable to asset sales and insurance recoveries not reflected in gross operating margin
      
    (12.3
    )
      
    2.6
       
    (14.7
    )
      
    99.0
     
    Subtract non-refundable deferred revenues attributable to shipper make-up rights on new pipeline projects reflected in gross operating margin
      
    (3.4
    )
      
    (21.6
    )
      
    (39.3
    )
      
    (66.8
    )
    Add subsequent recognition of deferred revenues attributable to make-up rights not reflected in gross operating margin
      
    10.9
       
    --
       
    45.3
       
    --
     
    Subtract general and administrative costs not reflected in gross operating margin
      
    (49.0
    )
      
    (50.0
    )
      
    (143.2
    )
      
    (150.9
    )
    Operating income
      
    909.4
       
    937.7
       
    2,605.7
       
    2,854.7
     
    Other expense, net
      
    (246.2
    )
      
    (230.8
    )
      
    (736.4
    )
      
    (679.8
    )
    Income before income taxes
     
    $
    663.2
      
    $
    706.9
      
    $
    1,869.3
      
    $
    2,174.9
     

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

     
     
    Reportable Business Segments
      
      
     
     
     
    NGL
    Pipelines
    & Services
      
    Crude Oil
    Pipelines
    & Services
      
    Natural Gas
    Pipelines
    & Services
      
    Petrochemical
    & Refined Products Services
      
    Offshore
    Pipelines
    & Services
      
    Adjustments
    and
    Eliminations
      
    Consolidated
    Total
     
    Revenues from third parties:
     
      
      
      
      
      
      
     
    Three months ended September 30, 2015
     
    $
    2,284.6
      
    $
    2,316.4
      
    $
    705.2
      
    $
    980.0
      
    $
    7.8
      
    $
    --
      
    $
    6,294.0
     
    Three months ended September 30, 2014
      
    4,024.0
       
    5,435.6
       
    1,026.5
       
    1,792.0
       
    41.1
       
    --
       
    12,319.2
     
    Nine months ended September 30, 2015
      
    7,223.2
       
    8,080.4
       
    2,117.5
       
    3,347.6
       
    76.9
       
    --
       
    20,845.6
     
    Nine months ended September 30, 2014
      
    13,217.2
       
    16,236.6
       
    3,261.0
       
    4,869.9
       
    112.4
       
    --
       
    37,697.1
     
    Revenues from related parties:
                                
    Three months ended September 30, 2015
      
    2.2
       
    6.2
       
    4.5
       
    --
       
    1.0
       
    --
       
    13.9
     
    Three months ended September 30, 2014
      
    2.7
       
    1.5
       
    5.4
       
    --
       
    1.4
       
    --
       
    11.0
     
    Nine months ended September 30, 2015
      
    6.0
       
    8.6
       
    10.8
       
    --
       
    1.9
       
    --
       
    27.3
     
    Nine months ended September 30, 2014
      
    10.2
       
    31.1
       
    16.5
       
    --
       
    6.0
       
    --
       
    63.8
     
    Intersegment and intrasegment revenues:
                                
    Three months ended September 30, 2015
      
    2,461.0
       
    1,142.1
       
    180.2
       
    267.3
       
    0.1
       
    (4,050.7
    )
      
    --
     
    Three months ended September 30, 2014
      
    3,603.8
       
    2,529.5
       
    231.0
       
    452.2
       
    1.2
       
    (6,817.7
    )
      
    --
     
    Nine months ended September 30, 2015
      
    7,685.1
       
    3,958.9
       
    519.7
       
    875.8
       
    0.6
       
    (13,040.1
    )
      
    --
     
    Nine months ended September 30, 2014
      
    10,789.7
       
    10,714.5
       
    835.8
       
    1,317.6
       
    4.8
       
    (23,662.4
    )
      
    --
     
    Total revenues:
                                
    Three months ended September 30, 2015
      
    4,747.8
       
    3,464.7
       
    889.9
       
    1,247.3
       
    8.9
       
    (4,050.7
    )
      
    6,307.9
     
    Three months ended September 30, 2014
      
    7,630.5
       
    7,966.6
       
    1,262.9
       
    2,244.2
       
    43.7
       
    (6,817.7
    )
      
    12,330.2
     
    Nine months ended September 30, 2015
      
    14,914.3
       
    12,047.9
       
    2,648.0
       
    4,223.4
       
    79.4
       
    (13,040.1
    )
      
    20,872.9
     
    Nine months ended September 30, 2014
      
    24,017.1
       
    26,982.2
       
    4,113.3
       
    6,187.5
       
    123.2
       
    (23,662.4
    )
      
    37,760.9
     
    Equity in income (loss) of unconsolidated affiliates:
                                
    Three months ended September 30, 2015
      
    18.9
       
    81.2
       
    0.9
       
    (3.3
    )
      
    5.4
       
    --
       
    103.1
     
    Three months ended September 30, 2014
      
    11.7
       
    46.8
       
    0.9
       
    (4.2
    )
      
    17.1
       
    --
       
    72.3
     
    Nine months ended September 30, 2015
      
    43.0
       
    220.5
       
    2.8
       
    (10.4
    )
      
    46.6
       
    --
       
    302.5
     
    Nine months ended September 30, 2014
      
    19.2
       
    131.7
       
    2.7
       
    (10.3
    )
      
    35.8
       
    --
       
    179.1
     
    Gross operating margin:
                                
    Three months ended September 30, 2015
      
    695.5
       
    254.6
       
    192.4
       
    191.5
       
    7.1
       
    --
       
    1,341.1
     
    Three months ended September 30, 2014
      
    711.5
       
    190.8
       
    195.4
       
    190.3
       
    47.1
       
    --
       
    1,335.1
     
    Nine months ended September 30, 2015
      
    2,041.3
       
    704.2
       
    588.3
       
    547.4
       
    97.5
       
    --
       
    3,978.7
     
    Nine months ended September 30, 2014
      
    2,172.4
       
    534.5
       
    618.8
       
    482.4
       
    120.0
       
    --
       
    3,928.1
     
    Property, plant and equipment, net:
    (see Note 6)
                                
    At September 30, 2015
      
    12,192.8
       
    3,550.0
       
    8,680.6
       
    3,013.5
       
    --
       
    3,777.2
       
    31,214.1
     
    At December 31, 2014
      
    11,766.9
       
    2,332.2
       
    8,835.5
       
    3,047.2
       
    1,145.1
       
    2,754.7
       
    29,881.6
     
    Investments in unconsolidated affiliates:
    (see Note 7)
                                
    At September 30, 2015
      
    708.9
       
    1,817.9
       
    23.1
       
    75.4
       
    --
       
    --
       
    2,625.3
     
    At December 31, 2014
      
    682.3
       
    1,767.7
       
    23.2
       
    75.1
       
    493.7
       
    --
       
    3,042.0
     
    Intangible assets, net: (see Note 9)
                                
    At September 30, 2015
      
    460.4
       
    2,402.3
       
    1,025.7
       
    193.7
       
    --
       
    --
       
    4,082.1
     
    At December 31, 2014
      
    689.2
       
    2,223.6
       
    972.9
       
    374.8
       
    41.6
       
    --
       
    4,302.1
     
    Goodwill: (see Note 9)
                                
    At September 30, 2015
      
    2,651.7
       
    1,842.8
       
    296.3
       
    958.4
       
    --
       
    --
       
    5,749.2
     
    At December 31, 2014
      
    2,210.2
       
    918.7
       
    296.3
       
    793.0
       
    82.0
       
    --
       
    4,300.2
     
    Segment assets:
                                
    At September 30, 2015
      
    16,013.8
       
    9,613.0
       
    10,025.7
       
    4,241.0
       
    --
       
    3,777.2
       
    43,670.7
     
    At December 31, 2014
      
    15,348.6
       
    7,242.2
       
    10,127.9
       
    4,290.1
       
    1,762.4
       
    2,754.7
       
    41,525.9
     

    The following table presents additional information regarding our consolidated revenues and costs and expenses for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services:
     
      
      
      
     
    Sales of NGLs and related products
     
    $
    1,844.9
      
    $
    3,603.4
      
    $
    5,936.2
      
    $
    12,029.8
     
    Midstream services
      
    441.9
       
    423.3
       
    1,293.0
       
    1,197.6
     
    Total
      
    2,286.8
       
    4,026.7
       
    7,229.2
       
    13,227.4
     
    Crude Oil Pipelines & Services:
                    
    Sales of crude oil
      
    2,147.3
       
    5,348.2
       
    7,689.3
       
    16,003.5
     
    Midstream services
      
    175.3
       
    88.9
       
    399.7
       
    264.2
     
    Total
      
    2,322.6
       
    5,437.1
       
    8,089.0
       
    16,267.7
     
    Natural Gas Pipelines & Services:
                    
    Sales of natural gas
      
    455.0
       
    775.5
       
    1,361.2
       
    2,515.7
     
    Midstream services
      
    254.7
       
    256.4
       
    767.1
       
    761.8
     
    Total
      
    709.7
       
    1,031.9
       
    2,128.3
       
    3,277.5
     
    Petrochemical & Refined Products Services:
                    
    Sales of petrochemicals and refined products
      
    780.5
       
    1,605.4
       
    2,764.2
       
    4,338.2
     
    Midstream services
      
    199.5
       
    186.6
       
    583.4
       
    531.7
     
    Total
      
    980.0
       
    1,792.0
       
    3,347.6
       
    4,869.9
     
    Offshore Pipelines & Services:
                    
    Sales of natural gas
      
    --
       
    --
       
    --
       
    0.2
     
    Sales of crude oil
      
    0.4
       
    2.5
       
    3.2
       
    7.5
     
    Midstream services
      
    8.4
       
    40.0
       
    75.6
       
    110.7
     
    Total
      
    8.8
       
    42.5
       
    78.8
       
    118.4
     
    Total consolidated revenues
     
    $
    6,307.9
      
    $
    12,330.2
      
    $
    20,872.9
      
    $
    37,760.9
     
     
                    
    Consolidated costs and expenses
                    
    Operating costs and expenses:
                    
    Cost of sales
     
    $
    4,419.9
      
    $
    10,455.1
      
    $
    15,355.9
      
    $
    32,213.1
     
    Other operating costs and expenses (1)
      
    642.5
       
    633.9
       
    1,834.8
       
    1,865.6
     
    Depreciation, amortization and accretion
      
    351.1
       
    322.7
       
    1,082.0
       
    936.5
     
    Net losses (gains) attributable to asset sales
       and insurance recoveries
      
    12.3
       
    (2.6
    )
      
    14.7
       
    (99.0
    )
    Non-cash asset impairment charges
      
    26.8
       
    5.7
       
    139.1
       
    18.2
     
    General and administrative costs
      
    49.0
       
    50.0
       
    143.2
       
    150.9
     
    Total consolidated costs and expenses
     
    $
    5,501.6
      
    $
    11,464.8
      
    $
    18,569.7
      
    $
    35,085.3
     
        
    (1)    Represents cost of operating our plants, pipelines and other fixed assets, excluding depreciation, amortization and accretion charges.
     

    Fluctuations in our product sales revenues and related cost of sales amounts are explained in part by changes in energy commodity prices.  In general, lower energy commodity prices result in a decrease in our revenues attributable to product sales; however, these lower commodity prices also decrease the associated cost of sales as purchase costs decline.  The same correlation would be true in the case of higher energy commodity sales prices and purchase costs.

    XML 78 R15.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Acquisitions
    9 Months Ended
    Sep. 30, 2015
    Business Combinations [Abstract]  
    Business Combinations
    Note 8. Business Acquisition

    Acquisition of Eagle Ford Midstream Assets
    In June 2015, we announced the execution of definitive agreements to purchase all of the member interests in EFS Midstream from affiliates of Pioneer and Reliance for approximately $2.1 billion. The purchase price will be paid in two installments. The first installment of approximately $1.1 billion was paid at closing on July 8, 2015 and the final installment of $1.0 billion will be paid no later than the first anniversary of the closing date. The effective date of the acquisition was July 1, 2015. We funded the cash consideration for the first installment using proceeds from the issuance of short-term notes under our commercial paper program and cash on hand.

    EFS Midstream provides natural gas gathering, treating and compression and condensate gathering and processing services in the Eagle Ford Shale.  The EFS Midstream system includes approximately 460 miles of natural gas and condensate gathering pipelines, ten central gathering plants, 780 million cubic feet per day (“MMcf/d”) of natural gas treating capacity and 119 thousand barrels per day (“MBPD”) of condensate stabilization capacity.  Under terms of the associated agreements, Pioneer and Reliance have dedicated certain of their Eagle Ford Shale acreage to us under 20-year, fixed-fee gathering agreements that include minimum volume requirement for the first seven years.  Pioneer and Reliance have also entered into related 20-year fee-based agreements with us for natural gas transportation and processing, NGL transportation and fractionation, and for processed condensate and crude oil transportation services.

    We account for business acquisitions by applying the acquisition method of accounting.  The acquisition method of accounting requires, among other things, that the assets acquired and liabilities assumed in a business combination be measured at their fair values as of the effective date of the acquisition.  We engaged an independent third party business valuation expert to assist us in estimating the fair values of the tangible and intangible assets of EFS Midstream.

    The following table summarizes the consideration paid in the EFS Midstream acquisition and the amounts of the assets acquired and liabilities assumed as of July 1, 2015:

    Consideration:
      
    Cash
     
    $
    1,058.5
     
    Accrued liability related to EFS Midstream acquisition
      
    997.7
     
    Total consideration
     
    $
    2,056.2
     
         
    Identifiable assets acquired in business combination:
        
    Current assets, including cash of $13.4 million
     
    $
    64.0
     
    Property, plant and equipment
      
    636.0
     
    Customer relationship intangible assets
      
    1,409.8
     
    Total assets acquired
      
    2,109.8
     
    Liabilities assumed in business combination:
        
    Current liabilities
      
    (9.6
    )
    Long-term debt
      
    (125.0
    )
    Other long-term liabilities
      
    (1.3
    )
    Total liabilities assumed
      
    (135.9
    )
    Total assets acquired less liabilities assumed
      
    1,973.9
     
    Total consideration given for EFS Midstream
      
    2,056.2
     
    Goodwill
     
    $
    82.3
     

    The estimated fair value of the acquired property, plant and equipment was determined using the cost approach. Of the $636 million of fair value assigned to property, plant and equipment, $366 million was assigned to pipelines and rights of way, $112 million to processing equipment, $84 million to electrical and metering equipment, $42 million to pumps and compressors and $32 million to other assets.

    The estimated fair value of the acquired customer relationship intangible assets was determined using an income approach, specifically a discounted cash flow analysis.   Of the total assets acquired, $1.41 billion, or 67%, was assigned to customer relationship intangible assets.  In the context of EFS Midstream, a customer relationship intangible asset is broadly defined as a relationship between an asset network and the underlying production fields and producers (e.g., Pioneer and Reliance) supported by that network.  The customer relationships we acquired in this transaction provide us with long-term access to the natural gas, NGL and condensate resources supported by the EFS Midstream assets.

    Infrastructure such as that owned by EFS Midstream requires a significant investment, both in terms of initial construction costs and ongoing maintenance, and is generally supported by long-term contracts with producers that establish a customer base.  The level of expenditures involved in constructing such asset networks can create significant economic barriers to entry that effectively limit competition (i.e., akin to a franchise).  The long-term nature of the underlying producer contracts and limited risk of competition ensure a long commercial relationship with existing producers.

    The discounted cash flow analysis used to estimate the fair value of the EFS Midstream customer relationships relied on Level 3 fair value inputs. Level 3 fair values are based on unobservable inputs. Unobservable inputs are used to measure fair value to the extent that observable inputs are not available, thereby allowing for situations in which there is little, if any, market activity for the asset at the measurement date. With respect to the EFS Midstream customer relationships, the Level 3 inputs include long-range cash flow forecasts that extend for the estimated economic life of the hydrocarbon resource base served by the asset network, anticipated contract renewals and resource base depletion rates. A discount rate of 15% was applied to the resulting cash flows.

    We recorded $82.3 million of goodwill in connection with this transaction.  In general, we attribute this goodwill to our ability to leverage the acquired business with our existing asset base to create future business opportunities.

    In connection with the agreements to acquire EFS Midstream, we are obligated to spend up to an aggregate of $270 million on specified midstream gathering assets for Pioneer and Reliance, if requested by these producers, over a ten year period. If constructed, these new assets would be owned by us and be a component of the EFS Midstream asset network.

    Our consolidated revenues and net income included $56.7 million and $23.8 million, respectively, from EFS Midstream for the three months ended September 30, 2015.

    Since the effective date of the EFS Midstream acquisition was July 1, 2015, our Unaudited Condensed Statements of Consolidated Operations do not include earnings from this business prior to this date.  The following table presents selected unaudited pro forma earnings information for the nine months ended September 30, 2015 and 2014 as if the acquisition had been completed on January 1, 2014.  This pro forma information was prepared using historical financial data for EFS Midstream and reflects certain estimates and assumptions made by our management.  Our unaudited pro forma financial information is not necessarily indicative of what our consolidated financial results would have been for the periods presented had we acquired EFS Midstream on January 1, 2014.

     
    For the Three
    Months Ended
    September 30, 2014
      
    For the Nine Months
    Ended September 30,
     
     
       
    2015
      
    2014
     
    Pro forma earnings data:
          
    Revenues
     
    $
    12,388.7
      
    $
    20,993.5
      
    $
    37,927.5
     
    Costs and expenses
      
    11,502.6
       
    18,645.5
       
    35,195.2
     
    Operating income
      
    958.4
       
    2,650.5
       
    2,911.4
     
    Net income
      
    715.3
       
    1,900.9
       
    2,195.5
     
    Net income attributable to noncontrolling interests
      
    8.1
       
    28.5
       
    24.8
     
    Net income attributable to limited partners
      
    707.2
       
    1,872.4
       
    2,170.7
     
                 
    Basic earnings per unit:
                
    As reported basic earnings per unit
     
    $
    0.38
      
    $
    0.94
      
    $
    1.16
     
    Pro forma basic earnings per unit
     
    $
    0.38
      
    $
    0.96
      
    $
    1.18
     
    Diluted earnings per unit:
                
    As reported diluted earnings per unit
     
    $
    0.37
      
    $
    0.92
      
    $
    1.13
     
    Pro forma diluted earnings per unit
     
    $
    0.38
      
    $
    0.94
      
    $
    1.15
     


    XML 79 R60.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Business Acquisitions, Purchase Price Allocation (Details) - USD ($)
    $ in Millions
    9 Months Ended
    Sep. 30, 2015
    Jul. 02, 2015
    Dec. 31, 2014
    Liabilities assumed in business combination:      
    Goodwill $ 5,749.2   $ 4,300.2
    EFS Midstream Contract with Producers [Member]      
    Description of Business Combination:      
    Contractual obligation $ 270.0    
    Contract term (in years) 10 years    
    Eagle Ford Midstream Assets [Member]      
    Consideration:      
    Cash $ 1,058.5    
    Accrued liability related to EFS Midstream acquisition 997.7    
    Total consideration 2,056.2    
    Indentifiable assets acquired in business combination:      
    Current assets, including cash of $13.4 million   $ 64.0  
    Property, plant, and equipment   636.0  
    Customer relationship intangible assets   1,409.8  
    Total assets acquired   2,109.8  
    Liabilities assumed in business combination:      
    Current liabilities   (9.6)  
    Long-term debt   (125.0)  
    Other long-term liabilities   (1.3)  
    Total liabilities assumed   (135.9)  
    Total assets acquired less liabilities assumed   1,973.9  
    Total consideration given for ownership interests in EFS Midstream $ 2,056.2    
    Goodwill   82.3  
    Description of Business Combination:      
    Cash acquired   13.4  
    Eagle Ford Midstream Assets [Member] | Pipelines and related equipment [Member]      
    Indentifiable assets acquired in business combination:      
    Property, plant, and equipment   366.0  
    Eagle Ford Midstream Assets [Member] | Processing equipment [Member]      
    Indentifiable assets acquired in business combination:      
    Property, plant, and equipment   112.0  
    Eagle Ford Midstream Assets [Member] | Electrical and metering equipment [Member]      
    Indentifiable assets acquired in business combination:      
    Property, plant, and equipment   84.0  
    Eagle Ford Midstream Assets [Member] | Pumps and compressors [Member]      
    Indentifiable assets acquired in business combination:      
    Property, plant, and equipment   42.0  
    Eagle Ford Midstream Assets [Member] | Other property, plant and equipment [Member]      
    Indentifiable assets acquired in business combination:      
    Property, plant, and equipment   $ 32.0  
    Eagle Ford Midstream Assets [Member] | Customer relationship intangibles [Member]      
    Description of Business Combination:      
    Intangible assets as a percent of total assets acquired (in hundredths)   67.00%  
    Cash flow projections discount rate (in hundredths) 15.00%    
    XML 80 R13.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Property, Plant and Equipment
    9 Months Ended
    Sep. 30, 2015
    Property, Plant and Equipment [Abstract]  
    Property, Plant and Equipment
    Note 6.  Property, Plant and Equipment

    The historical costs of our property, plant and equipment and related accumulated depreciation balances were as follows at the dates indicated:

     
     
    Estimated
    Useful Life
    in Years
      
    September 30,
    2015
      
    December 31,
    2014
     
    Plants, pipelines and facilities (1)
     
    3-45 (6)
     
     
    $
    31,686.3
      
    $
    30,834.9
     
    Underground and other storage facilities (2)
     
    5-40 (7)
     
      
    2,847.7
       
    2,584.2
     
    Platforms and facilities (3)
     
    20-31
       
    --
       
    659.7
     
    Transportation equipment (4)
     
    3-10
       
    164.8
       
    154.2
     
    Marine vessels (5)
     
    15-30
       
    787.5
       
    796.4
     
    Land
          
    261.3
       
    262.6
     
    Construction in progress
          
    3,777.2
       
    2,754.7
     
    Total historical cost of property, plant and equipment
          
    39,524.8
       
    38,046.7
     
        Less accumulated depreciation
          
    8,310.7
       
    8,165.1
     
    Total property, plant and equipment, net
         
    $
    31,214.1
      
    $
    29,881.6
     
      
     
    (1)   Plants, pipelines and facilities include processing plants; NGL, natural gas, crude oil and petrochemical and refined products pipelines; terminal loading and unloading facilities; office furniture and equipment; buildings; laboratory and shop equipment and related assets.
     
    (2)   Underground and other storage facilities include underground product storage caverns; above ground storage tanks; water wells and related assets.
     
    (3)   Platforms and facilities included offshore platforms and related facilities and other associated assets located in the Gulf of Mexico prior to the sale of our Offshore Business (see below).
     
    (4)   Transportation equipment includes tractor-trailer tank trucks and other vehicles and similar assets used in our operations.
     
    (5)   Marine vessels include tow boats, barges and related equipment used in our marine transportation business.
     
    (6)   In general, the estimated useful lives of major assets within this category are: processing plants, 20-35 years; pipelines and related equipment, 5-45 years; terminal facilities, 10-35 years; office furniture and equipment, 3-20 years; buildings, 20-40 years; and laboratory and shop equipment, 5-35 years.
     
    (7)   In general, the estimated useful lives of assets within this category are: underground storage facilities, 5-35 years; storage tanks, 10-40 years; and water wells, 5-35 years.
     

    The following table summarizes our depreciation expense and capitalized interest amounts for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Depreciation expense (1)
     
    $
    286.2
      
    $
    283.2
      
    $
    870.1
      
    $
    822.1
     
    Capitalized interest (2)
      
    40.3
       
    17.2
       
    105.6
       
    53.4
     
        
    (1)  Depreciation expense is a component of “Costs and expenses” as presented on our Unaudited Condensed Statements of Consolidated Operations.
     
    (2)  We capitalize interest costs incurred on funds used to construct property, plant and equipment while the asset is in its construction phase. The capitalized interest is recorded as part of the asset to which it relates and is amortized over the asset’s estimated useful life as a component of depreciation expense. When capitalized interest is recorded, it reduces interest expense from what it would be otherwise.
     

    Sale of Offshore Business
    On July 24, 2015, we consummated a sale to Genesis of our Offshore Business, which primarily consisted of our Offshore Pipelines & Services business segment, for approximately $1.53 billion in cash. Our Offshore Business served drilling and development regions, including deepwater production fields, in the northern Gulf of Mexico offshore Texas, Louisiana, Mississippi and Alabama. As of December 31, 2014, our Offshore Business included approximately 2,350 miles of offshore natural gas and crude oil pipelines and six offshore hub platforms. Our results of operations reflect ownership of the Offshore Business through July 24, 2015.

    We viewed our Offshore Business as an extension of our midstream energy services network. As such, the sale of these assets did not represent a strategic shift in our consolidated operations, and their sale does not have a major effect on our financial results. At December 31, 2014 and June 30, 2015, segment assets for our Offshore Pipelines & Services segment represented 4.3% and 4.1%, respectively, of consolidated total segment assets. Likewise, gross operating margin from this business segment represented only 3.1% and 3.4% of our consolidated total gross operating margin for the year ended December 31, 2014 and six months ended June 30, 2015, respectively. The sale of this non-strategic business allowed us to redeploy capital to other business opportunities that we believe will generate a higher rate of return for us in the future (e.g., our recent acquisition of EFS Midstream (see Note 8)). Also, proceeds from the closing of this sale will reduce our need to issue additional equity and debt to support our ongoing capital spending program.

    We recorded a non-cash asset impairment charge at June 30, 2015 of approximately $54.8 million, which reflects the excess of the carrying value of net assets of the Offshore Business at June 30, 2015 over their comparable estimated fair value based on the transaction price. The carrying value of the net assets of the Offshore Business at June 30, 2015 totaled approximately $1.59 billion, which included current assets of $26.9 million, property plant and equipment of $1.14 billion, investments in unconsolidated affiliates of $482.4 million, intangible assets of $37.1 million and goodwill of $82.0 million. Total liabilities were $116.4 million and noncontrolling interests were $62.2 million at that date. The fair value of the Offshore Business based on the transaction price was approximately $1.53 billion.

    Upon closing of the transaction, we recorded a loss on the sale of $12.6 million based on the difference between the proceeds received and the carrying value of the net assets at July 24, 2015.

    Operating costs and expenses for the nine months ended September 30, 2015 include $40.1 million of depreciation expense associated with the Offshore Business.  Likewise, for the three and nine months ended September 30, 2014, we recognized $21.5 million and $62.3 million, respectively, of depreciation expense associated with these assets.

    Asset Retirement Obligations
    We record asset retirement obligations (“AROs”) in connection with legal requirements to perform specified retirement activities under contractual arrangements and/or governmental regulations.  Our contractual AROs primarily result from right-of-way agreements associated with our pipeline operations and real estate leases associated with our plant sites.  In addition, we record AROs in connection with governmental regulations associated with the abandonment or retirement of above-ground brine storage pits and certain marine vessels.  We also record AROs in connection with regulatory requirements associated with the renovation or demolition of certain assets containing hazardous substances such as asbestos.  We typically fund our AROs using cash flow from operations.

    Property, plant and equipment at September 30, 2015 and December 31, 2014 includes $17.8 million and $31.3 million, respectively, of asset retirement costs capitalized as an increase in the associated long-lived asset.

    The following table presents information regarding our AROs since December 31, 2014:

    ARO liability balance, December 31, 2014
     
    $
    98.3
     
    Liabilities incurred
      
    2.7
     
    Liabilities settled
      
    (5.9
    )
    Revisions in estimated cash flows
      
    49.0
     
    Accretion expense
      
    4.2
     
        AROs related to Offshore Business sold in July 2015
      
    (91.1
    )
    ARO liability balance, September 30, 2015
     
    $
    57.2
     

    Revisions to estimated cash flows include a $39.5 million adjustment made in the second quarter of 2015 related to the Matagorda Gathering System, which was a component of the Offshore Business.  In June 2015, we were notified by the U.S. Army Corps of Engineers (the “CoE”) to fully remove two pipeline segments included in this system that we had originally requested to abandon in-place.  As a result, we adjusted the ARO liabilities for those pipeline segments under CoE jurisdiction to account for the estimated cost of removal.  All ARO liabilities related to our Offshore Business (including those of the Matagorda Gathering System) were removed from our Unaudited Condensed Consolidated Balance Sheet upon the sale of the Offshore Business on July 24, 2015.

    Certain of our unconsolidated affiliates have AROs recorded at September 30, 2015 and December 31, 2014 relating to contractual agreements and regulatory requirements.  These amounts are immaterial to our consolidated financial statements.

    XML 81 R14.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Investments in Unconsolidated Affiliates
    9 Months Ended
    Sep. 30, 2015
    Investments in Unconsolidated Affiliates [Abstract]  
    Investments in Unconsolidated Affiliates

    Note 7.  Investments in Unconsolidated Affiliates

    The following table presents our investments in unconsolidated affiliates by business segment at the dates indicated.  We account for these investments using the equity method.

     
     
    Ownership
    Interest at
    September 30,
    2015
      
    September 30,
    2015
      
    December 31,
    2014
     
    NGL Pipelines & Services:
     
      
      
     
    Venice Energy Service Company, L.L.C.
     
    13.1%
     
     
    $
    26.4
      
    $
    27.7
     
    K/D/S Promix, L.L.C.
     
    50%
     
      
    42.8
       
    38.5
     
    Baton Rouge Fractionators LLC
     
    32.2%
     
      
    18.4
       
    18.8
     
    Skelly-Belvieu Pipeline Company, L.L.C.
     
    50%
     
      
    40.3
       
    40.1
     
    Texas Express Pipeline LLC
     
    35%
     
      
    343.4
       
    349.3
     
    Texas Express Gathering LLC
     
    45%
     
      
    37.2
       
    37.9
     
    Front Range Pipeline LLC
     
    33.3%
     
      
    171.7
       
    170.0
     
    Delaware Basin Gas Processing LLC (1)
     
    50%
     
      
    28.7
       
    --
     
    Crude Oil Pipelines & Services:
               
    Seaway Crude Pipeline Company LLC
     
    50%
     
      
    1,403.1
       
    1,431.2
     
    Eagle Ford Pipeline LLC
     
    50%
     
      
    391.4
       
    336.5
     
    Eagle Ford Terminals Corpus Christi LLC (2)
     
    50%
     
      
    23.4
       
    --
     
    Natural Gas Pipelines & Services:
               
    White River Hub, LLC
     
    50%
     
      
    23.1
       
    23.2
     
    Petrochemical & Refined Products Services:
               
    Baton Rouge Propylene Concentrator, LLC
     
    30%
     
      
    5.8
       
    6.5
     
    Centennial Pipeline LLC (“Centennial”)
     
    50%
     
      
    67.2
       
    66.1
     
    Other
     
    Various
       
    2.4
       
    2.5
     
    Offshore Pipelines & Services: (3)
               
    Poseidon Oil Pipeline Company, L.L.C.
     
    --
       
    --
       
    31.8
     
    Cameron Highway Oil Pipeline Company
     
    --
       
    --
       
    201.3
     
    Deepwater Gateway, L.L.C.
     
    --
       
    --
       
    79.6
     
    Neptune Pipeline Company, L.L.C.
     
    --
       
    --
       
    34.9
     
    Southeast Keathley Canyon Pipeline Company L.L.C.
     
    --
       
    --
       
    146.1
     
    Total investments in unconsolidated affiliates
        
    $
    2,625.3
      
    $
    3,042.0
     
                    
    (1)   New joint venture formed with Oxy Delaware Basin Plant, LLC, a subsidiary of Occidental Petroleum Corporation, in April 2015 that will plan, design and construct a new cryogenic natural gas processing plant to accommodate the growing production of NGL-rich natural gas in the Delaware Basin.
    (2)   New joint venture formed with Plains Marketing, L.P., a subsidiary of Plains All American Pipeline, L.P., in March 2015 to construct and operate a marine terminal that will handle crude oil delivered by Eagle Ford Pipeline LLC.
    (3)   Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis on July 24, 2015 (see Note 6). At June 30, 2015, the carrying value of these investments was $482.4 million.
     

    The following table presents our equity in income (loss) of unconsolidated affiliates by business segment for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    18.9
      
    $
    11.7
      
    $
    43.0
      
    $
    19.2
     
    Crude Oil Pipelines & Services
      
    81.2
       
    46.8
       
    220.5
       
    131.7
     
    Natural Gas Pipelines & Services
      
    0.9
       
    0.9
       
    2.8
       
    2.7
     
    Petrochemical & Refined Products Services
      
    (3.3
    )
      
    (4.2
    )
      
    (10.4
    )
      
    (10.3
    )
    Offshore Pipelines & Services
      
    5.4
       
    17.1
       
    46.6
       
    35.8
     
    Total
     
    $
    103.1
      
    $
    72.3
      
    $
    302.5
      
    $
    179.1
     

    The following table presents our unamortized excess cost amounts by business segment at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    NGL Pipelines & Services
     
    $
    25.6
      
    $
    26.5
     
    Crude Oil Pipelines & Services
      
    20.9
       
    21.7
     
    Petrochemical & Refined Products Services
      
    2.4
       
    2.4
     
    Offshore Pipelines & Services (1)
      
    --
       
    9.0
     
    Total
     
    $
    48.9
      
    $
    59.6
     
             
    (1)    Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015.
     

    The following table presents our amortization of excess cost amounts by business segment for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    0.3
      
    $
    0.2
      
    $
    0.9
      
    $
    0.9
     
    Crude Oil Pipelines & Services
      
    0.3
       
    0.2
       
    0.8
       
    0.5
     
    Petrochemical & Refined Products Services
      
    --
       
    --
       
    --
       
    0.1
     
    Offshore Pipelines & Services
      
    --
       
    0.3
       
    2.8
       
    0.8
     
    Total
     
    $
    0.6
      
    $
    0.7
      
    $
    4.5
      
    $
    2.3
     

    Other
    Centennial’s credit agreement restricts its ability to pay cash dividends if a default or event of default (as defined in the credit agreement) has occurred and is continuing at the time such payments are scheduled to be paid.  This business was in compliance with the terms of its credit agreement at September 30, 2015.


    XML 82 R16.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Intangible Assets and Goodwill
    9 Months Ended
    Sep. 30, 2015
    Intangible Assets and Goodwill [Abstract]  
    Intangible Assets and Goodwill

    Note 9.  Intangible Assets and Goodwill

    Intangible Assets
    The following table summarizes our intangible assets by business segment at the dates indicated:

     
     
    September 30, 2015
      
    December 31, 2014
     
     
     
    Gross
    Value
      
    Accumulated
    Amortization
      
    Carrying
    Value
      
    Gross
    Value
      
    Accumulated
    Amortization
      
    Carrying
    Value
     
    NGL Pipelines & Services:
     
      
      
      
      
      
     
    Customer relationship intangibles
     
    $
    550.8
      
    $
    (183.8
    )
     
    $
    367.0
      
    $
    340.8
      
    $
    (183.2
    )
     
    $
    157.6
     
    Contract-based intangibles
      
    283.0
       
    (189.6
    )
      
    93.4
       
    277.7
       
    (178.7
    )
      
    99.0
     
    IDRs (1)
      
    --
       
    --
       
    --
       
    432.6
       
    --
       
    432.6
     
    Segment total
      
    833.8
       
    (373.4
    )
      
    460.4
       
    1,051.1
       
    (361.9
    )
      
    689.2
     
    Crude Oil Pipelines & Services:
                            
    Customer relationship intangibles
      
    2,204.4
       
    (28.1
    )
      
    2,176.3
       
    1,108.0
       
    (7.7
    )
      
    1,100.3
     
    Contract-based intangibles
      
    281.4
       
    (55.4
    )
      
    226.0
       
    281.4
       
    (13.5
    )
      
    267.9
     
    IDRs (1)
      
    --
       
    --
       
    --
       
    855.4
       
    --
       
    855.4
     
    Segment total
      
    2,485.8
       
    (83.5
    )
      
    2,402.3
       
    2,244.8
       
    (21.2
    )
      
    2,223.6
     
    Natural Gas Pipelines & Services:
                            
    Customer relationship intangibles
      
    1,246.9
       
    (327.8
    )
      
    919.1
       
    1,163.6
       
    (308.9
    )
      
    854.7
     
    Contract-based intangibles
      
    466.0
       
    (359.4
    )
      
    106.6
       
    466.0
       
    (347.8
    )
      
    118.2
     
    Segment total
      
    1,712.9
       
    (687.2
    )
      
    1,025.7
       
    1,629.6
       
    (656.7
    )
      
    972.9
     
    Petrochemical & Refined Products Services:
                            
    Customer relationship intangibles
      
    185.5
       
    (37.3
    )
      
    148.2
       
    198.4
       
    (43.3
    )
      
    155.1
     
    Contract-based intangibles
      
    56.3
       
    (10.8
    )
      
    45.5
       
    56.3
       
    (7.8
    )
      
    48.5
     
    IDRs (1)
      
    --
       
    --
       
    --
       
    171.2
       
    --
       
    171.2
     
    Segment total
      
    241.8
       
    (48.1
    )
      
    193.7
       
    425.9
       
    (51.1
    )
      
    374.8
     
    Offshore Pipelines & Services: (2)
                            
    Customer relationship intangibles
      
    --
       
    --
       
    --
       
    195.8
       
    (154.9
    )
      
    40.9
     
    Contract-based intangibles
      
    --
       
    --
       
    --
       
    1.2
       
    (0.5
    )
      
    0.7
     
    Segment total
      
    --
       
    --
       
    --
       
    197.0
       
    (155.4
    )
      
    41.6
     
    Total intangible assets
     
    $
    5,274.3
      
    $
    (1,192.2
    )
      
    4,082.1
      
    $
    5,548.4
      
    $
    (1,246.3
    )
     
    $
    4,302.1
     
                                
    (1)   At December 31, 2014, we had indefinite-lived intangible assets outstanding with a carrying value of $1.46 billion recorded in connection with our acquisition of the Oiltanking IDRs in October 2014. The IDRs represented contractual rights to future cash incentive distributions to be paid by Oiltanking. In February 2015 (following completion of Step 2 of the Oiltanking acquisition), the Oiltanking IDRs were cancelled and the carrying value of the IDRs were reclassified to goodwill.
    (2)   Our intangible assets classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015 (see Note 6).
     

    We acquired $1.41 billion of customer relationship intangible assets as part of the EFS Midstream acquisition (see Note 8).  We assigned $1.1 billion of these intangible assets to our Crude Oil Pipelines & Services segment, $230.1 million to our NGL Pipelines & Services segment and $83.3 million to our Natural Gas Pipelines & Services segment based on the nature of the services provided in connection with these relationships.  These customer relationships have estimated economic lives ranging from 26 to 29 years.  Amortization expense attributable to these customer relationships is recorded using a units-of-production method that closely resembles the pattern in which the economic benefits we derive from such assets are expected to be consumed or otherwise used.

    The following table presents the amortization expense of our intangible assets by business segment for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    9.7
      
    $
    8.1
      
    $
    24.9
      
    $
    25.4
     
    Crude Oil Pipelines & Services
      
    29.0
       
    0.3
       
    62.3
       
    0.9
     
    Natural Gas Pipelines & Services
      
    10.7
       
    11.1
       
    30.5
       
    34.2
     
    Petrochemical & Refined Products Services
      
    2.3
       
    1.5
       
    7.0
       
    4.6
     
    Offshore Pipelines & Services
      
    --
       
    2.5
       
    4.5
       
    7.6
     
    Total
     
    $
    51.7
      
    $
    23.5
      
    $
    129.2
      
    $
    72.7
     

    The following table presents a forecast of amortization expense associated with our intangible assets for the periods indicated:

    Remainder
    of 2015
      
    2016
      
    2017
      
    2018
      
    2019
     
    $
    50.3
      
    $
    218.8
      
    $
    223.5
      
    $
    220.4
      
    $
    208.6
     

    Goodwill
    Goodwill represents the excess of the purchase price of an acquired business over the amounts assigned to assets acquired and liabilities assumed in the transaction.  The following table presents changes in the carrying amount of goodwill since December 31, 2014:

     
     
    NGL
    Pipelines
    & Services
      
    Crude Oil
    Pipelines
    & Services
      
    Natural Gas
    Pipelines
    & Services
      
    Petrochemical
    & Refined
    Products
    Services
      
    Offshore
    Pipelines
    & Services
      
    Consolidated
    Total
     
    Balance at December 31, 2014
     
    $
    2,210.2
      
    $
    918.7
      
    $
    296.3
      
    $
    793.0
      
    $
    82.0
      
    $
    4,300.2
     
    Reclassification of Oiltanking IDR balances to goodwill in connection with the cancellation of such rights in February 2015 and other adjustments
      
    432.6
       
    850.7
       
    --
       
    170.8
       
    --
       
    1,454.1
     
    Reduction in goodwill related to the sale of assets
      
    --
       
    --
       
    --
       
    --
       
    (82.0
    )
      
    (82.0
    )
    Addition to goodwill related to the acquisition of EFS Midstream
      
    8.9
       
    73.4
       
    --
       
    --
       
    --
       
    82.3
     
    Goodwill reclassified to assets held-for-sale
      
    --
       
    --
       
    --
       
    (5.4
    )
      
    --
       
    (5.4
    )
    Balance at September 30, 2015
     
    $
    2,651.7
      
    $
    1,842.8
      
    $
    296.3
      
    $
    958.4
      
    $
    --
      
    $
    5,749.2
     

    Upon completion of Step 2 of the Oiltanking acquisition in February 2015, the IDRs of Oiltanking were cancelled and the associated carrying values were reclassified from intangible assets to goodwill and allocated to the appropriate business segments.

    During 2015, we retrospectively adjusted our provisional fair value estimate of the Liquidity Option Agreement by $100.3 million, with a corresponding increase to goodwill, which was allocated to the appropriate business segments at December 31, 2014 as follows: $29.8 million to NGL Pipelines & Services; $58.8 million to Crude Oil Pipelines & Services; and $11.7 million to Petrochemical & Refined Products Services. See Note 15 for additional information regarding this change.

    In July 2015, in connection with the sale of the Offshore Business, we removed $82.0 million of goodwill, which was allocated to these assets (see Note 6). 

    In July 2015, we recorded $82.3 million of goodwill in connection with our acquisition of EFS Midstream.  In general, we attribute this goodwill to our ability to leverage the acquired business with our existing asset base to create future business opportunities.

    XML 83 R64.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Debt Obligations (Details) - USD ($)
    $ in Millions
    9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Debt Instrument [Line Items]      
    Principal Outstanding $ 22,497.8   $ 21,389.2
    Other, non-principal amounts (37.7)   (25.4)
    Less current maturities of debt [1] (1,619.4)   (2,206.4)
    Total long-term debt 20,840.7   19,157.4
    Debt Obligations Terms [Abstract]      
    Gains on early extinguishment of debt 1.4 $ 0.0  
    Letters of credit outstanding for facilities and motor fuel tax obligations 2.5    
    Senior Debt Obligations [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding 21,019.5   19,856.5
    Debt Obligations Terms [Abstract]      
    Aggregate debt principal issued 2,500.0    
    Senior Debt Obligations [Member] | Commercial Paper Notes [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 869.5   906.5
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms variable    
    Information regarding variable interest rates paid [Abstract]      
    Variable Interest Rates Paid, Minimum (in hundredths) 0.35%    
    Variable Interest Rates Paid, Maximum (in hundredths) 0.78%    
    Weighted-Average Interest Rate Paid (in hundredths) 0.59%    
    Senior Debt Obligations [Member] | EPO Senior Notes I [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.0   250.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.00%    
    Maturity Date Mar. 01, 2015    
    Repayment of debt obligations $ 250.0    
    Senior Debt Obligations [Member] | EPO Senior Notes X [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.0   400.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 3.70%    
    Maturity Date Jun. 01, 2015    
    Repayment of debt obligations $ 400.0    
    Senior Debt Obligations [Member] | EPO Senior Notes FF [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.0   650.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 1.25%    
    Maturity Date Aug. 13, 2015    
    Senior Debt Obligations [Member] | EPO Senior Notes AA [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 750.0   750.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 3.20%    
    Maturity Date Feb. 01, 2016    
    Senior Debt Obligations [Member] | EPO 364-Day Credit Agreement [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.0   0.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms variable    
    Maturity Date Sep. 14, 2016    
    Maximum borrowing capacity $ 1,500.0    
    Maximum bank commitments increase 200.0    
    Senior Debt Obligations [Member] | EPO Senior Notes L [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 800.0   800.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.30%    
    Maturity Date Sep. 01, 2017    
    Senior Debt Obligations [Member] | EPO Senior Notes V [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 349.7   349.7
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.65%    
    Maturity Date Apr. 15, 2018    
    Senior Debt Obligations [Member] | EPO Senior Notes OO [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 750.0   0.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 1.65%    
    Maturity Date May 07, 2018    
    Aggregate debt principal issued $ 750.0    
    Debt issued as percent of principal amount (in hundredths) 99.881%    
    Senior Debt Obligations [Member] | EPO Senior Notes N [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 700.0   700.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.50%    
    Maturity Date Jan. 31, 2019    
    Senior Debt Obligations [Member] | EPO Senior Notes LL [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 800.0   800.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 2.55%    
    Maturity Date Oct. 15, 2019    
    Senior Debt Obligations [Member] | EPO Senior Notes Q [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 500.0   500.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.25%    
    Maturity Date Jan. 31, 2020    
    Senior Debt Obligations [Member] | EPO Senior Notes Y [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 1,000.0   1,000.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.20%    
    Maturity Date Sep. 01, 2020    
    Senior Debt Obligations [Member] | EPO Multi-Year Revolving Credit Facility [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.0   0.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms variable    
    Maturity Date Sep. 15, 2020    
    Maximum borrowing capacity $ 4,000.0   3,500.0
    Maximum bank commitments increase $ 500.0    
    Information regarding variable interest rates paid [Abstract]      
    Variable Interest Rates Paid, Minimum (in hundredths) 1.15%    
    Variable Interest Rates Paid, Maximum (in hundredths) 3.25%    
    Weighted-Average Interest Rate Paid (in hundredths) 1.30%    
    Senior Debt Obligations [Member] | EPO Senior Notes CC [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 650.0   650.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 4.05%    
    Maturity Date Feb. 15, 2022    
    Senior Debt Obligations [Member] | EPO Senior Notes HH [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 1,250.0   1,250.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 3.35%    
    Maturity Date Mar. 15, 2023    
    Senior Debt Obligations [Member] | EPO Senior Notes JJ [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 850.0   850.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 3.90%    
    Maturity Date Feb. 15, 2024    
    Senior Debt Obligations [Member] | EPO Senior Notes MM [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 1,150.0   1,150.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 3.75%    
    Maturity Date Feb. 15, 2025    
    Senior Debt Obligations [Member] | EPO Senior Notes PP [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 875.0   0.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 3.70%    
    Maturity Date Feb. 15, 2026    
    Aggregate debt principal issued $ 875.0    
    Debt issued as percent of principal amount (in hundredths) 99.635%    
    Senior Debt Obligations [Member] | EPO Senior Notes D [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 500.0   500.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.875%    
    Maturity Date Mar. 01, 2033    
    Senior Debt Obligations [Member] | EPO Senior Notes H [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 350.0   350.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.65%    
    Maturity Date Oct. 15, 2034    
    Senior Debt Obligations [Member] | EPO Senior Notes J [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 250.0   250.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.75%    
    Maturity Date Mar. 01, 2035    
    Senior Debt Obligations [Member] | EPO Senior Notes W [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 399.6   399.6
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 7.55%    
    Maturity Date Apr. 15, 2038    
    Senior Debt Obligations [Member] | EPO Senior Notes R [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 600.0   600.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.125%    
    Maturity Date Oct. 15, 2039    
    Senior Debt Obligations [Member] | EPO Senior Notes Z [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 600.0   600.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.45%    
    Maturity Date Sep. 01, 2040    
    Senior Debt Obligations [Member] | EPO Senior Notes BB [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 750.0   750.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.95%    
    Maturity Date Feb. 01, 2041    
    Senior Debt Obligations [Member] | EPO Senior Notes DD [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 600.0   600.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.70%    
    Maturity Date Feb. 15, 2042    
    Senior Debt Obligations [Member] | EPO Senior Notes EE [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 750.0   750.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 4.85%    
    Maturity Date Aug. 15, 2042    
    Senior Debt Obligations [Member] | EPO Senior Notes GG [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 1,100.0   1,100.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 4.45%    
    Maturity Date Feb. 15, 2043    
    Senior Debt Obligations [Member] | EPO Senior Notes II [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 1,400.0   1,400.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 4.85%    
    Maturity Date Mar. 15, 2044    
    Senior Debt Obligations [Member] | EPO Senior Notes KK [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 1,150.0   1,150.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 5.10%    
    Maturity Date Feb. 15, 2045    
    Senior Debt Obligations [Member] | EPO Senior Notes QQ [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 875.0   0.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 4.90%    
    Maturity Date May 15, 2046    
    Aggregate debt principal issued $ 875.0    
    Debt issued as percent of principal amount (in hundredths) 99.635%    
    Senior Debt Obligations [Member] | EPO Senior Notes NN [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 400.0   400.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 4.95%    
    Maturity Date Oct. 15, 2054    
    Senior Debt Obligations [Member] | TEPPCO Senior Notes 4 [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.3   0.3
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 6.65%    
    Maturity Date Apr. 15, 2018    
    Senior Debt Obligations [Member] | TEPPCO Senior Notes 5 [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 0.4   0.4
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed    
    Interest Rate, stated percentage (in hundredths) 7.55%    
    Maturity Date Apr. 15, 2038    
    Junior Debt Obligations [Member] | EPO Junior Subordinated Notes A [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding [2] $ 521.9   550.0
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms [2] fixed/variable    
    Interest Rate, stated percentage (in hundredths) [2] 8.375%    
    Maturity Date [2] Aug. 31, 2066    
    Repayment of debt obligations $ 28.1    
    Date through which interest rate is fixed 8/1/2016    
    Variable annual interest rate thereafter, variable rate basis 3-month LIBOR    
    Variable interest rate (in hundredths) 3.7075%    
    Junior Debt Obligations [Member] | EPO Junior Subordinated Notes C [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding [3] $ 259.5   285.8
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms [3] fixed/variable    
    Interest Rate, stated percentage (in hundredths) [3] 7.00%    
    Maturity Date [3] Jun. 01, 2067    
    Repayment of debt obligations $ 26.3    
    Date through which interest rate is fixed 9/1/2017    
    Variable annual interest rate thereafter, variable rate basis 3-month LIBOR    
    Variable interest rate (in hundredths) 2.7775%    
    Junior Debt Obligations [Member] | EPO Junior Subordinated Notes B [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding [4] $ 682.7   682.7
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms [4] fixed/variable    
    Interest Rate, stated percentage (in hundredths) [4] 7.034%    
    Maturity Date [4] Jan. 15, 2068    
    Date through which interest rate is fixed 1/15/2018    
    Variable annual interest rate thereafter, variable rate basis 3-month LIBOR    
    Variable interest rate (in hundredths) 2.68%    
    Minimum variable annual interest rate (in hundredths) 7.034%    
    Junior Debt Obligations [Member] | TEPPCO Junior Subordinated Notes [Member]      
    Debt Instrument [Line Items]      
    Principal Outstanding $ 14.2   $ 14.2
    Debt Obligations Terms [Abstract]      
    Interest Rate Terms fixed/variable    
    Maturity Date Jun. 01, 2067    
    [1] We expect to refinance the current maturities of our debt obligations at or prior to their maturity.
    [2] Fixed rate of 8.375% through August 1, 2016 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 3.7075%. During the third quarter of 2015, EPO retired $28.1 million of these junior notes.
    [3] Fixed rate of 7.0% through September 1, 2017 (i.e., first call date without a make-whole redemption premium); thereafter, variable rate based on 3-month LIBOR plus 2.7775%. During the third quarter of 2015, EPO retired $26.3 million of these junior notes.
    [4] Fixed rate of 7.034% through January 15, 2018 (i.e., first call date without a make-whole redemption premium); thereafter, the rate will be the greater of 7.034% or a variable rate based on 3-month LIBOR plus 2.68%.
    XML 84 R66.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity and Distributions, Summary of Changes in Outstanding Units (Details)
    9 Months Ended
    Sep. 30, 2015
    shares
    Common Units (Unrestricted) [Member]  
    Summary of changes in outstanding units [Roll Forward]  
    Beginning Balance (in units) 1,933,095,027
    Common units issued in connection with at-the-market program (in units) 23,258,453
    Common units issued in connection with DRIP and EUPP (in units) 8,251,315
    Common units issued in connection with Step 2 of Oiltanking acquisition (in units) 36,827,517
    Common units issued in connection with the vesting and exercise of unit options (in units) 333,002
    Common units issued in connection with the vesting of phantom unit awards (in units) 613,689
    Common units issued in connection with the vesting of restricted common unit awards (in units) 1,997,194
    Forfeiture of restricted common unit awards (in units) 0
    Acquisition and cancellation of treasury units in connection with the vesting of equity-based awards (in units) (680,496)
    Other (in units) 15,054
    Ending Balance (in units) 2,003,710,755
    Restricted Common Units [Member]  
    Summary of changes in outstanding units [Roll Forward]  
    Beginning Balance (in units) 4,229,790
    Common units issued in connection with at-the-market program (in units) 0
    Common units issued in connection with DRIP and EUPP (in units) 0
    Common units issued in connection with Step 2 of Oiltanking acquisition (in units) 0
    Common units issued in connection with the vesting and exercise of unit options (in units) 0
    Common units issued in connection with the vesting of phantom unit awards (in units) 0
    Common units issued in connection with the vesting of restricted common unit awards (in units) (1,997,194)
    Forfeiture of restricted common unit awards (in units) (157,750)
    Acquisition and cancellation of treasury units in connection with the vesting of equity-based awards (in units) 0
    Other (in units) 0
    Ending Balance (in units) 2,074,846
    Common units [Member]  
    Summary of changes in outstanding units [Roll Forward]  
    Beginning Balance (in units) 1,937,324,817
    Common units issued in connection with at-the-market program (in units) 23,258,453
    Common units issued in connection with DRIP and EUPP (in units) 8,251,315
    Common units issued in connection with Step 2 of Oiltanking acquisition (in units) 36,827,517
    Common units issued in connection with the vesting and exercise of unit options (in units) 333,002
    Common units issued in connection with the vesting of phantom unit awards (in units) 613,689
    Common units issued in connection with the vesting of restricted common unit awards (in units) 0
    Forfeiture of restricted common unit awards (in units) (157,750)
    Acquisition and cancellation of treasury units in connection with the vesting of equity-based awards (in units) (680,496)
    Other (in units) 15,054
    Ending Balance (in units) 2,005,785,601
    XML 85 R63.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Intangible Assets and Goodwill, Goodwill (Details) - USD ($)
    $ in Millions
    9 Months Ended 12 Months Ended
    Sep. 30, 2015
    Dec. 31, 2014
    Changes in carrying amount of goodwill [Roll Forward]    
    Balance at beginning of period $ 4,300.2  
    Purchase price and other adjustments 1,454.1  
    Reduction in goodwill related to the sale of assets (82.0)  
    Addition to goodwill related to the acquisition of EFS Midstream 82.3  
    Goodwill reclassified to assets held-for-sale (5.4)  
    Balance at end of period 5,749.2 $ 4,300.2
    Oiltanking Partners L.P. - Step 1 [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Purchase price and other adjustments   100.3
    NGL Pipelines & Services [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Balance at beginning of period 2,210.2  
    Purchase price and other adjustments 432.6  
    Reduction in goodwill related to the sale of assets 0.0  
    Addition to goodwill related to the acquisition of EFS Midstream 8.9  
    Goodwill reclassified to assets held-for-sale 0.0  
    Balance at end of period 2,651.7 2,210.2
    NGL Pipelines & Services [Member] | Oiltanking Partners L.P. - Step 1 [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Purchase price and other adjustments   29.8
    Crude Oil Pipelines & Services [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Balance at beginning of period 918.7  
    Purchase price and other adjustments 850.7  
    Reduction in goodwill related to the sale of assets 0.0  
    Addition to goodwill related to the acquisition of EFS Midstream 73.4  
    Goodwill reclassified to assets held-for-sale 0.0  
    Balance at end of period 1,842.8 918.7
    Crude Oil Pipelines & Services [Member] | Oiltanking Partners L.P. - Step 1 [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Purchase price and other adjustments   58.8
    Natural Gas Pipelines & Services [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Balance at beginning of period 296.3  
    Purchase price and other adjustments 0.0  
    Reduction in goodwill related to the sale of assets 0.0  
    Addition to goodwill related to the acquisition of EFS Midstream 0.0  
    Goodwill reclassified to assets held-for-sale 0.0  
    Balance at end of period 296.3 296.3
    Petrochemical & Refined Products Services [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Balance at beginning of period 793.0  
    Purchase price and other adjustments 170.8  
    Reduction in goodwill related to the sale of assets 0.0  
    Addition to goodwill related to the acquisition of EFS Midstream 0.0  
    Goodwill reclassified to assets held-for-sale (5.4)  
    Balance at end of period 958.4 793.0
    Petrochemical & Refined Products Services [Member] | Oiltanking Partners L.P. - Step 1 [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Purchase price and other adjustments   11.7
    Offshore Pipelines & Services [Member]    
    Changes in carrying amount of goodwill [Roll Forward]    
    Balance at beginning of period 82.0  
    Purchase price and other adjustments 0.0  
    Reduction in goodwill related to the sale of assets (82.0)  
    Addition to goodwill related to the acquisition of EFS Midstream 0.0  
    Goodwill reclassified to assets held-for-sale 0.0  
    Balance at end of period $ 0.0 $ 82.0
    XML 86 R34.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity and Distributions (Tables)
    9 Months Ended
    Sep. 30, 2015
    Equity and Distributions [Abstract]  
    Summary of Changes in Outstanding Units
    Partners’ equity reflects the various classes of limited partner interests (i.e., common units, including restricted common units) that we have outstanding.  The following table summarizes changes in the number of our outstanding units since December 31, 2014:

     
    Common
    Units
    (Unrestricted)
     
    Restricted
    Common
    Units
     
    Total
    Common
    Units
    Number of units outstanding at December 31, 2014
    1,933,095,027
     
    4,229,790
     
    1,937,324,817
    Common units issued in connection with ATM  program
    23,258,453
     
    --
     
    23,258,453
    Common units issued in connection with DRIP and EUPP
    8,251,315
     
    --
     
    8,251,315
    Common units issued in connection with Step 2 of Oiltanking acquisition
    36,827,517
     
    --
     
    36,827,517
    Common units issued in connection with the vesting and exercise of unit options
    333,002
     
    --
     
    333,002
    Common units issued in connection with the vesting of phantom unit awards
    613,689
     
    --
     
    613,689
    Common units issued in connection with the vesting of restricted common unit awards
    1,997,194
     
    (1,997,194)
     
    --
    Forfeiture of restricted common unit awards
    --
     
    (157,750)
     
    (157,750)
    Acquisition and cancellation of treasury units in connection with the
    vesting of equity-based awards
    (680,496)
     
    --
     
    (680,496)
    Other
    15,054
     
    --
     
    15,054
    Number of units outstanding at September 30, 2015
    2,003,710,755
     
    2,074,846
     
    2,005,785,601

    Components of Accumulated Other Comprehensive Income (Loss)
    The following tables present the components of accumulated other comprehensive income (loss) as reported on our Unaudited Condensed Consolidated Balance Sheets at the dates indicated:

     
     
    Gains (Losses) on
    Cash Flow Hedges
      
      
     
     
     
    Commodity
    Derivative
    Instruments
      
    Interest Rate
    Derivative
    Instruments
      
    Other
      
    Total
     
    Balance, December 31, 2014
     
    $
    69.9
      
    $
    (314.8
    )
     
    $
    3.3
      
    $
    (241.6
    )
    Other comprehensive income before reclassifications
      
    112.3
       
    --
       
    0.4
       
    112.7
     
    Amounts reclassified from accumulated other comprehensive loss (income)
      
    (128.1
    )
      
    26.3
       
    --
       
    (101.8
    )
    Total other comprehensive income (loss)
      
    (15.8
    )
      
    26.3
       
    0.4
       
    10.9
     
    Balance, September 30, 2015
     
    $
    54.1
      
    $
    (288.5
    )
     
    $
    3.7
      
    $
    (230.7
    )

     
     
    Gains (Losses) on
    Cash Flow Hedges
      
      
     
     
     
    Commodity
    Derivative
    Instruments
      
    Interest Rate
    Derivative
    Instruments
      
    Other
      
    Total
     
    Balance, December 31, 2013
     
    $
    (14.7
    )
     
    $
    (347.2
    )
     
    $
    2.9
      
    $
    (359.0
    )
    Other comprehensive income before reclassifications
      
    16.1
       
    --
       
    --
       
    16.1
     
    Amounts reclassified from accumulated other comprehensive loss
      
    12.9
       
    23.9
       
    --
       
    36.8
     
    Total other comprehensive income
      
    29.0
       
    23.9
       
    --
       
    52.9
     
    Balance, September 30, 2014
     
    $
    14.3
      
    $
    (323.3
    )
     
    $
    2.9
      
    $
    (306.1
    )

    Reclassification out of Accumulated Other Comprehensive Income (Loss)
    The following table presents reclassifications out of accumulated other comprehensive income (loss) into net income during the periods indicated:
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
    Location 
    2015
      
    2014
      
    2015
      
    2014
     
    Losses (gains) on cash flow hedges:
             
    Interest rate derivatives
    Interest expense
     
    $
    8.9
      
    $
    8.0
      
    $
    26.3
      
    $
    23.9
     
    Commodity derivatives
    Revenue
      
    (46.8
    )
      
    (17.8
    )
      
    (128.6
    )
      
    14.5
     
    Commodity derivatives
    Operating costs and expenses
      
    --
       
    (0.2
    )
      
    0.5
       
    (1.6
    )
    Total
     
     
    $
    (37.9
    )
     
    $
    (10.0
    )
     
    $
    (101.8
    )
     
    $
    36.8
     

    Declared Quarterly Cash Distribution Rates
    The following table presents our declared quarterly cash distribution rates per common unit with respect to the quarter indicated:

     
     
    Distribution Per
    Common Unit
     
    Record
    Date
    Payment
    Date
    2014:
           
    1st Quarter
     
    $
    0.3550
     
    4/30/2014
    5/7/2014
    2nd Quarter
     
    $
    0.3600
     
    7/31/2014
    8/7/2014
    3rd Quarter
     
    $
    0.3650
     
    10/31/2014
    11/7/2014
    2015:
        
     
        
    1st Quarter
     
    $
    0.3750
     
    4/30/2015
    5/7/2015
    2nd Quarter
     
    $
    0.3800
     
    7/31/2015
    8/7/2015
    3rd Quarter
     
    $
    0.3850
     
    10/30/2015
    11/6/2015

    XML 87 R51.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements, Recurring Fair Value Measurements (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Jun. 30, 2015
    Mar. 31, 2015
    Sep. 30, 2014
    Jun. 30, 2014
    Mar. 31, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Total gains (losses) included in:                  
    Unrealized gain (loss) recognized as a component of net income related to financial assets and liabilities             $ 7.7 $ 3.8  
    Fair Value, Measurements, Recurring [Member] | Level 3 [Member]                  
    Reconciliation of changes in the fair value of Level 3 financial assets and liabilities [Roll Forward]                  
    Financial asset (liability) balance, net, beginning of period $ (232.8) $ (221.6) $ (219.3) $ 2.6 $ 7.7 $ 3.2 (219.3) 3.2  
    Total gains (losses) included in:                  
    Other comprehensive income (15.5) (1.0) (1.5) (2.5) 0.0 0.0      
    Settlements 0.3 0.2 (0.5) 0.1 (1.8) (0.1)      
    Transfers out of Level 3 1.1 1.5 0.1 0.0 0.0 0.0      
    Financial asset (liability) balance, net, end of period (251.5) (232.8) (221.6) (0.7) 2.6 7.7 (251.5) (0.7)  
    Unrealized gain (loss) recognized as a component of net income related to financial assets and liabilities 0.0     0.8     (1.1) $ 1.3  
    Fair Value, Measurements, Recurring [Member] | Level 3 [Member] | Location - Revenue [Member]                  
    Total gains (losses) included in:                  
    Net income [1] (0.3) (0.4) $ (0.4) (0.9) (3.3) $ 4.6      
    Fair Value, Measurements, Recurring [Member] | Level 3 [Member] | Location - Other Expense [Member]                  
    Total gains (losses) included in:                  
    Net income (4.3) $ (11.5)   $ 0.0 $ 0.0        
    Fair Value, Measurements, Recurring [Member] | Fair Value [Member]                  
    Financial assets [Abstract]                  
    Interest rate derivatives 7.6           7.6    
    Commodity derivatives 242.8           242.8   $ 226.6
    Total 250.4           250.4    
    Financial liabilities [Abstract]                  
    Liquidity Option Agreement 235.5           235.5   219.7
    Commodity derivatives 197.1           197.1   147.4
    Total 432.6           432.6   367.1
    Fair Value, Measurements, Recurring [Member] | Fair Value [Member] | Level 1 [Member]                  
    Financial assets [Abstract]                  
    Interest rate derivatives 0.0           0.0    
    Commodity derivatives 84.1           84.1   37.8
    Total 84.1           84.1    
    Financial liabilities [Abstract]                  
    Liquidity Option Agreement 0.0           0.0   0.0
    Commodity derivatives 37.4           37.4   13.8
    Total 37.4           37.4   13.8
    Fair Value, Measurements, Recurring [Member] | Fair Value [Member] | Level 2 [Member]                  
    Financial assets [Abstract]                  
    Interest rate derivatives 7.6           7.6    
    Commodity derivatives 157.7           157.7   187.8
    Total 165.3           165.3    
    Financial liabilities [Abstract]                  
    Liquidity Option Agreement 0.0           0.0   0.0
    Commodity derivatives 142.7           142.7   133.0
    Total 142.7           142.7   133.0
    Fair Value, Measurements, Recurring [Member] | Fair Value [Member] | Level 3 [Member]                  
    Financial assets [Abstract]                  
    Interest rate derivatives 0.0           0.0    
    Commodity derivatives 1.0           1.0   1.0
    Total 1.0           1.0    
    Financial liabilities [Abstract]                  
    Liquidity Option Agreement 235.5           235.5   219.7
    Commodity derivatives 17.0           17.0   0.6
    Total $ 252.5           $ 252.5   $ 220.3
    [1] There were $1.1 million of unrealized losses included in these amounts for the nine months ended September 30, 2015. There were unrealized gains of $0.8 million and $1.3 million included in these amounts for the three and nine months ended September 30, 2014, respectively.
    XML 88 R21.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Earnings Per Unit
    9 Months Ended
    Sep. 30, 2015
    Earnings Per Unit [Abstract]  
    Earnings Per Unit
    Note 14.  Earnings Per Unit

    The following table presents our calculation of basic and diluted earnings per unit for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    BASIC EARNINGS PER UNIT
     
      
      
      
     
    Net income attributable to limited partners
     
    $
    649.3
      
    $
    691.1
      
    $
    1,836.4
      
    $
    2,127.6
     
    Undistributed earnings allocated and cash payments on phantom unit awards (1)
      
    (2.2
    )
      
    (1.3
    )
      
    (6.6
    )
      
    (4.0
    )
    Net income available to common unitholders
     
    $
    647.1
      
    $
    689.8
      
    $
    1,829.8
      
    $
    2,123.6
     
     
                    
    Basic weighted-average number of common units outstanding
      
    1,969.3
       
    1,834.2
       
    1,952.3
       
    1,831.1
     
     
                    
    Basic earnings per unit
     
    $
    0.33
      
    $
    0.38
      
    $
    0.94
      
    $
    1.16
     
     
                    
    DILUTED EARNINGS PER UNIT
                    
    Net income attributable to limited partners
     
    $
    649.3
      
    $
    691.1
      
    $
    1,836.4
      
    $
    2,127.6
     
     
                    
    Diluted weighted-average number of units outstanding:
                    
    Distribution-bearing common units
      
    1,969.3
       
    1,834.2
       
    1,952.3
       
    1,831.1
     
    Designated Units
      
    35.4
       
    45.1
       
    35.4
       
    45.1
     
    Phantom units (1)
      
    5.7
       
    3.4
       
    5.4
       
    2.8
     
    Incremental option units
      
    0.1
       
    0.7
       
    0.2
       
    1.0
     
    Total
      
    2,010.5
       
    1,883.4
       
    1,993.3
       
    1,880.0
     
     
                    
    Diluted earnings per unit
     
    $
    0.32
      
    $
    0.37
      
    $
    0.92
      
    $
    1.13
     
     
    (1)     Each phantom unit award includes a DER, which entitles the recipient to receive cash payments equal to the product of the number of phantom unit awards and the cash distribution per unit paid to our common unitholders. Cash payments made in connection with DERs are nonforfeitable. As a result, the phantom units are considered participating securities for purposes of computing basic earnings per unit. Phantom unit awards were first issued in February 2014.
     

    XML 89 R26.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity-based Awards (Tables)
    9 Months Ended
    Sep. 30, 2015
    Equity-based Awards [Abstract]  
    Equity-based Award Expense
    An allocated portion of the fair value of EPCO’s equity-based awards is charged to us under the ASA.  The following table summarizes compensation expense we recognized in connection with equity-based awards for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Equity-classified awards:
            
    Restricted common unit awards
     
    $
    3.1
      
    $
    8.7
      
    $
    13.1
      
    $
    29.3
     
    Phantom unit awards
      
    20.3
       
    12.9
       
    60.2
       
    32.3
     
    Liability-classified awards
      
    --
       
    0.1
       
    0.2
       
    0.4
     
    Total
     
    $
    23.4
      
    $
    21.7
      
    $
    73.5
      
    $
    62.0
     

    Restricted Common Unit Awards

    The following table presents information regarding restricted common unit awards for the period indicated:

     
     
    Number of
    Units
      
    Weighted-
    Average Grant
    Date Fair Value
    per Unit (1)
     
    Restricted common units at December 31, 2014
      
    4,229,790
      
    $
    26.96
     
    Vested
      
    (1,997,194
    )
     
    $
    25.99
     
    Forfeited
      
    (157,750
    )
     
    $
    27.64
     
    Restricted common units at September 30, 2015
      
    2,074,846
      
    $
    27.85
     
        
    (1)    Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
     

    Cash Distributions and Total Intrinsic Value of Restricted Common Unit Awards
    The following table presents supplemental information regarding our restricted common unit awards for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Cash distributions paid to restricted common unitholders
     
    $
    0.8
      
    $
    1.6
      
    $
    3.2
      
    $
    5.7
     
    Total intrinsic value of restricted common unit awards that vested during period
      
    1.5
       
    1.3
       
    66.9
       
    85.4
     

    Phantom Unit Awards
    The following table presents phantom unit award activity for the period indicated:

     
     
    Number of
    Units
      
    Weighted-
    Average Grant
    Date Fair Value
    per Unit (1)
     
    Phantom unit awards at December 31, 2014
      
    3,342,390
      
    $
    33.13
     
    Granted (2)
      
    3,491,040
      
    $
    33.97
     
    Vested
      
    (933,890
    )
     
    $
    33.13
     
    Forfeited
      
    (275,356
    )
     
    $
    33.51
     
    Phantom unit awards at September 30, 2015
      
    5,624,184
      
    $
    33.63
     
      
     
    (1)    Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
     
    (2)    The aggregate grant date fair value of phantom unit awards issued during 2015 was $118.6 million based on a grant date market price of our common units ranging from $27.31 to $34.40 per unit. An estimated annual forfeiture rate of 3.5% was applied to these awards.
     

    Cash Distributions and Total Intrinsic Value of Phantom Unit Awards
    The following table presents supplemental information regarding our phantom unit awards and DERs for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Cash payments made in connection with DERs
     
    $
    2.2
      
    $
    1.2
      
    $
    5.6
      
    $
    2.4
     
    Total intrinsic value of phantom unit awards that vested during period
      
    2.3
       
    0.1
       
    31.0
       
    1.3
     

    Unit Option Awards
    The following table presents unit option award activity for the period indicated:

     
     
    Number of
    Units (1)
      
    Weighted-
    Average
    Strike Price
    (dollars/unit)
      
    Weighted-
    Average
    Remaining
    Contractual
    Term
    (in years)
      
    Aggregate
    Intrinsic
    Value (2)
     
    Unit option awards at December 31, 2014
      
    1,270,000
      
    $
    16.14
         
    Exercised
      
    (1,080,000
    )
     
    $
    16.14
      
      
     
    Unit option awards at September 30, 2015
      
    190,000
      
    $
    16.14
       
    0.3
      
    $
    1.7
     
      
     
    (1)    All of the unit option awards outstanding at September 30, 2015 were exercisable. None of the unit option awards outstanding at December 31, 2014 were exercisable.
    (2)   Aggregate intrinsic value reflects fully vested unit option awards at the dates indicated.
     

    Supplemental Information Regarding Unit Option Awards
    The following table presents supplemental information regarding unit option awards during the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Total intrinsic value of unit option awards exercised during period
     
    $
    0.2
      
    $
    --
      
    $
    19.8
      
    $
    57.5
     
    Cash received from EPCO in connection with the exercise of unit option awards
      
    0.2
       
    --
       
    11.5
       
    33.4
     
    Unit option award-related cash reimbursements to EPCO
      
    0.2
       
    --
       
    19.8
       
    57.5
     

    XML 90 R49.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements, Liability Balance Sheet Offsetting (Details) - Commodity derivatives [Member] - USD ($)
    $ in Millions
    Sep. 30, 2015
    Dec. 31, 2014
    Offsetting Liabilities [Line Items]    
    Gross Amounts of Recognized Liabilities $ 197.1 $ 147.4
    Gross Amounts Offset in the Balance Sheet 0.0 0.0
    Amounts of Liabilities Presented in the Balance Sheet 197.1 147.4
    Financial Instruments (180.3) (147.3)
    Cash Collateral Paid 0.0 0.0
    Amounts That Would Have Been Presented On Net Basis $ 16.8 $ 0.1
    XML 91 R41.htm IDEA: XBRL DOCUMENT v3.3.0.814
    General Accounting and Disclosure Matters (Details) - USD ($)
    $ in Millions
    Sep. 30, 2015
    Dec. 31, 2014
    Restricted cash [Abstract]    
    Restricted cash $ 46.2 $ 0.0
    XML 92 R5.htm IDEA: XBRL DOCUMENT v3.3.0.814
    UNAUDITED CONDENSED STATEMENTS OF CONSOLIDATED COMPREHENSIVE INCOME - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    STATEMENTS OF CONSOLIDATED COMPREHENSIVE INCOME        
    Net income $ 657.7 $ 699.2 $ 1,864.9 $ 2,152.4
    Commodity derivative instruments:        
    Changes in fair value of cash flow hedges 85.8 58.1 112.3 16.1
    Reclassification of losses (gains) to net income (46.8) (18.0) (128.1) 12.9
    Interest rate derivative instruments:        
    Reclassification of losses to net income 8.9 8.0 26.3 23.9
    Total cash flow hedges 47.9 48.1 10.5 52.9
    Other 0.0 0.0 0.4 0.0
    Total other comprehensive income 47.9 48.1 10.9 52.9
    Comprehensive income 705.6 747.3 1,875.8 2,205.3
    Comprehensive income attributable to noncontrolling interests (8.4) (8.1) (28.5) (24.8)
    Comprehensive income attributable to limited partners $ 697.2 $ 739.2 $ 1,847.3 $ 2,180.5
    XML 93 R10.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity-based Awards
    9 Months Ended
    Sep. 30, 2015
    Equity-based Awards [Abstract]  
    Equity-based Awards
    Note 3.  Equity-based Awards

    An allocated portion of the fair value of EPCO’s equity-based awards is charged to us under the ASA.  The following table summarizes compensation expense we recognized in connection with equity-based awards for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Equity-classified awards:
            
    Restricted common unit awards
     
    $
    3.1
      
    $
    8.7
      
    $
    13.1
      
    $
    29.3
     
    Phantom unit awards
      
    20.3
       
    12.9
       
    60.2
       
    32.3
     
    Liability-classified awards
      
    --
       
    0.1
       
    0.2
       
    0.4
     
    Total
     
    $
    23.4
      
    $
    21.7
      
    $
    73.5
      
    $
    62.0
     

    The fair value of equity-classified awards is amortized into earnings over the requisite service or vesting period.  Equity-classified awards are expected to result in the issuance of common units upon vesting.  Compensation expense for liability-classified awards is recognized over the requisite service or vesting period based on the fair value of the award remeasured at each reporting date.  Liability-classified awards are settled in cash upon vesting.

    At September 30, 2015, EPCO’s significant long-term incentive plans applicable to us were the Enterprise Products 1998 Long-Term Incentive Plan (“1998 Plan”) and the 2008 Enterprise Products Long-Term Incentive Plan (Third Amendment and Restatement) (“2008 Plan”).  Up to 14,000,000 of our common units may be issued as awards under the 1998 Plan.  The maximum number of common units available for issuance under the 2008 Plan was 30,000,000 at September 30, 2015.  This amount will automatically increase under the terms of the 2008 Plan by 5,000,000 common units on January 1, 2016 and will continue to automatically increase annually on January 1 thereafter during the term of the 2008 Plan; provided, however, that in no event shall the maximum aggregate number exceed 70,000,000 common units.  After giving effect to awards granted under the 1998 Plan and 2008 Plan through September 30, 2015, a total of 3,040,506 and 16,277,823 additional common units were available for issuance under these plans, respectively.

    Restricted Common Unit Awards
    Restricted common unit awards allow recipients to acquire our common units (at no cost to the recipient apart from fulfilling service and other conditions) once a defined vesting period expires, subject to customary forfeiture provisions.  Restricted common unit awards generally vest at a rate of 25% per year beginning one year after the grant date and are non-vested until the required service periods expire.  Restricted common units are included in the number of common units outstanding as presented on our Unaudited Condensed Consolidated Balance Sheets.

    The fair value of a restricted common unit award is based on the market price per unit of our common units on the date of grant.  Compensation expense is recognized based on the grant date fair value, net of an allowance for estimated forfeitures, over the requisite service or vesting period.


    The following table presents information regarding restricted common unit awards for the period indicated:

     
     
    Number of
    Units
      
    Weighted-
    Average Grant
    Date Fair Value
    per Unit (1)
     
    Restricted common units at December 31, 2014
      
    4,229,790
      
    $
    26.96
     
    Vested
      
    (1,997,194
    )
     
    $
    25.99
     
    Forfeited
      
    (157,750
    )
     
    $
    27.64
     
    Restricted common units at September 30, 2015
      
    2,074,846
      
    $
    27.85
     
        
    (1)    Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
     

    Each recipient of a restricted common unit award is entitled to nonforfeitable cash distributions equal to the product of the number of restricted common units outstanding for the participant and the cash distribution per unit paid to our common unitholders.  These distributions are included in “Cash distributions paid to limited partners” as presented on our Unaudited Condensed Statements of Consolidated Cash Flows.

    The following table presents supplemental information regarding our restricted common unit awards for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Cash distributions paid to restricted common unitholders
     
    $
    0.8
      
    $
    1.6
      
    $
    3.2
      
    $
    5.7
     
    Total intrinsic value of restricted common unit awards that vested during period
      
    1.5
       
    1.3
       
    66.9
       
    85.4
     

    For the EPCO group of companies, the unrecognized compensation cost associated with restricted common unit awards was an aggregate $11.5 million at September 30, 2015, of which our share of the cost is currently estimated to be $9.6 million.  Due to the graded vesting provisions of these awards, we expect to recognize our share of the unrecognized compensation cost for these awards over a weighted-average period of 1.1 years.

    Phantom Unit Awards
    Phantom unit awards allow recipients to acquire our common units (at no cost to the recipient apart from fulfilling service and other conditions) once a defined vesting period expires, subject to customary forfeiture provisions.  Phantom unit awards generally vest at a rate of 25% per year beginning one year after the grant date and are non-vested until the required service periods expire.

    At September 30, 2015, substantially all of our phantom unit awards are expected to result in the issuance of common units upon vesting; therefore, the applicable awards are accounted for as equity-classified awards.  The grant date fair value of a phantom unit award is based on the market price per unit of our common units on the date of grant.  Compensation expense is recognized based on the grant date fair value, net of an allowance for estimated forfeitures, over the requisite service or vesting period.

    The following table presents phantom unit award activity for the period indicated:

     
     
    Number of
    Units
      
    Weighted-
    Average Grant
    Date Fair Value
    per Unit (1)
     
    Phantom unit awards at December 31, 2014
      
    3,342,390
      
    $
    33.13
     
    Granted (2)
      
    3,491,040
      
    $
    33.97
     
    Vested
      
    (933,890
    )
     
    $
    33.13
     
    Forfeited
      
    (275,356
    )
     
    $
    33.51
     
    Phantom unit awards at September 30, 2015
      
    5,624,184
      
    $
    33.63
     
      
     
    (1)    Determined by dividing the aggregate grant date fair value of awards (before an allowance for forfeitures) by the number of awards issued.
     
    (2)    The aggregate grant date fair value of phantom unit awards issued during 2015 was $118.6 million based on a grant date market price of our common units ranging from $27.31 to $34.40 per unit. An estimated annual forfeiture rate of 3.5% was applied to these awards.
     

    Our long-term incentive plans provide for the issuance of distribution equivalent rights (“DERs”) in connection with phantom unit awards.  A DER entitles the participant to nonforfeitable cash payments equal to the product of the number of phantom unit awards outstanding for the participant and the cash distribution per common unit paid to our common unitholders.  Cash payments made in connection with DERs are charged to partners’ equity when the phantom unit award is expected to result in the issuance of common units; otherwise, such amounts are expensed.

    The following table presents supplemental information regarding our phantom unit awards and DERs for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Cash payments made in connection with DERs
     
    $
    2.2
      
    $
    1.2
      
    $
    5.6
      
    $
    2.4
     
    Total intrinsic value of phantom unit awards that vested during period
      
    2.3
       
    0.1
       
    31.0
       
    1.3
     

    For the EPCO group of companies, the unrecognized compensation cost associated with phantom unit awards was $100.4 million at September 30, 2015, of which our share of the cost is currently estimated to be $91.7 million.  Due to the graded vesting provisions of these awards, we expect to recognize our share of the unrecognized compensation cost for these awards over a weighted-average period of 2.0 years.

    Unit Option Awards
    EPCO’s long-term incentive plans provide for the issuance of non-qualified incentive options denominated in our common units.  In general, unit option awards have a vesting period of four years from the date of grant and expire at the end of the calendar year following the year of vesting (e.g., an option vesting on May 29, 2014 will expire on December 31, 2015).  However, unit option awards only become exercisable at certain times during the calendar year following the year in which they vest (typically the months of February, May, August and November).

    The following table presents unit option award activity for the period indicated:

     
     
    Number of
    Units (1)
      
    Weighted-
    Average
    Strike Price
    (dollars/unit)
      
    Weighted-
    Average
    Remaining
    Contractual
    Term
    (in years)
      
    Aggregate
    Intrinsic
    Value (2)
     
    Unit option awards at December 31, 2014
      
    1,270,000
      
    $
    16.14
         
    Exercised
      
    (1,080,000
    )
     
    $
    16.14
      
      
     
    Unit option awards at September 30, 2015
      
    190,000
      
    $
    16.14
       
    0.3
      
    $
    1.7
     
      
     
    (1)    All of the unit option awards outstanding at September 30, 2015 were exercisable. None of the unit option awards outstanding at December 31, 2014 were exercisable.
    (2)   Aggregate intrinsic value reflects fully vested unit option awards at the dates indicated.
     

    In order to fund its unit option award-related obligations, EPCO may purchase common units at fair value either in the open market or directly from us.  When employees exercise unit option awards, we reimburse EPCO for the cash difference between the strike price paid by the employee and the actual purchase price paid by EPCO for the units issued to the employee.

    The following table presents supplemental information regarding unit option awards during the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Total intrinsic value of unit option awards exercised during period
     
    $
    0.2
      
    $
    --
      
    $
    19.8
      
    $
    57.5
     
    Cash received from EPCO in connection with the exercise of unit option awards
      
    0.2
       
    --
       
    11.5
       
    33.4
     
    Unit option award-related cash reimbursements to EPCO
      
    0.2
       
    --
       
    19.8
       
    57.5
     

    As of September 30, 2015, all compensation expense related to unit option awards had been recognized.
     
    XML 94 R58.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Investments in Unconsolidated Affiliates (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Jun. 30, 2015
    Dec. 31, 2014
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates $ 2,625.3   $ 2,625.3     $ 3,042.0
    Equity in income (loss) of unconsolidated affiliates by business segment [Abstract]            
    Equity in income of unconsolidated affiliates 103.1 $ 72.3 302.5 $ 179.1    
    Unamortized excess cost amounts by business segment [Abstract]            
    Unamortized excess cost amounts 48.9   48.9     59.6
    Equity method investment amortization of excess cost 0.6 0.7 4.5 2.3    
    NGL Pipelines & Services [Member]            
    Equity in income (loss) of unconsolidated affiliates by business segment [Abstract]            
    Equity in income of unconsolidated affiliates 18.9 11.7 43.0 19.2    
    Unamortized excess cost amounts by business segment [Abstract]            
    Unamortized excess cost amounts 25.6   25.6     26.5
    Equity method investment amortization of excess cost $ 0.3 0.2 $ 0.9 0.9    
    NGL Pipelines & Services [Member] | Venice Energy Service Company, L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 13.10%   13.10%      
    Total investments in unconsolidated affiliates $ 26.4   $ 26.4     27.7
    NGL Pipelines & Services [Member] | K/D/S Promix, L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates $ 42.8   $ 42.8     38.5
    NGL Pipelines & Services [Member] | Baton Rouge Fractionators LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 32.20%   32.20%      
    Total investments in unconsolidated affiliates $ 18.4   $ 18.4     18.8
    NGL Pipelines & Services [Member] | Skelly-Belvieu Pipeline Company, L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates $ 40.3   $ 40.3     40.1
    NGL Pipelines & Services [Member] | Texas Express Pipeline LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 35.00%   35.00%      
    Total investments in unconsolidated affiliates $ 343.4   $ 343.4     349.3
    NGL Pipelines & Services [Member] | Texas Express Gathering LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 45.00%   45.00%      
    Total investments in unconsolidated affiliates $ 37.2   $ 37.2     37.9
    NGL Pipelines & Services [Member] | Front Range Pipeline LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 33.30%   33.30%      
    Total investments in unconsolidated affiliates $ 171.7   $ 171.7     170.0
    NGL Pipelines & Services [Member] | Delaware Basin Gas Processing LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates [1] $ 28.7   $ 28.7     0.0
    Crude Oil Pipelines & Services [Member]            
    Equity in income (loss) of unconsolidated affiliates by business segment [Abstract]            
    Equity in income of unconsolidated affiliates 81.2 46.8 220.5 131.7    
    Unamortized excess cost amounts by business segment [Abstract]            
    Unamortized excess cost amounts 20.9   20.9     21.7
    Equity method investment amortization of excess cost $ 0.3 0.2 $ 0.8 0.5    
    Crude Oil Pipelines & Services [Member] | Seaway Crude Pipeline Company LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates $ 1,403.1   $ 1,403.1     1,431.2
    Crude Oil Pipelines & Services [Member] | Eagle Ford Pipeline LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates $ 391.4   $ 391.4     336.5
    Crude Oil Pipelines & Services [Member] | Eagle Ford Terminals Corpus Christi LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates [2] $ 23.4   $ 23.4     0.0
    Natural Gas Pipelines & Services [Member]            
    Equity in income (loss) of unconsolidated affiliates by business segment [Abstract]            
    Equity in income of unconsolidated affiliates $ 0.9 0.9 $ 2.8 2.7    
    Natural Gas Pipelines & Services [Member] | White River Hub, LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates $ 23.1   $ 23.1     23.2
    Petrochemical & Refined Products Services [Member]            
    Equity in income (loss) of unconsolidated affiliates by business segment [Abstract]            
    Equity in income of unconsolidated affiliates (3.3) (4.2) (10.4) (10.3)    
    Unamortized excess cost amounts by business segment [Abstract]            
    Unamortized excess cost amounts 2.4   2.4     2.4
    Equity method investment amortization of excess cost $ 0.0 0.0 $ 0.0 0.1    
    Petrochemical & Refined Products Services [Member] | Baton Rouge Propylene Concentrator, LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 30.00%   30.00%      
    Total investments in unconsolidated affiliates $ 5.8   $ 5.8     6.5
    Petrochemical & Refined Products Services [Member] | Centennial Pipeline LLC [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Ownership Interest (in hundredths) 50.00%   50.00%      
    Total investments in unconsolidated affiliates $ 67.2   $ 67.2     66.1
    Petrochemical & Refined Products Services [Member] | Other Unconsolidated Affiliates [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates 2.4   2.4     2.5
    Offshore Pipelines & Services [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates         $ 482.4  
    Equity in income (loss) of unconsolidated affiliates by business segment [Abstract]            
    Equity in income of unconsolidated affiliates 5.4 17.1 46.6 35.8    
    Unamortized excess cost amounts by business segment [Abstract]            
    Unamortized excess cost amounts [3] 0.0   0.0     9.0
    Equity method investment amortization of excess cost 0.0 $ 0.3 2.8 $ 0.8    
    Offshore Pipelines & Services [Member] | Poseidon Oil Pipeline Company, L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates [4] 0.0   0.0     31.8
    Offshore Pipelines & Services [Member] | Cameron Highway Oil Pipeline Company [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates [4] 0.0   0.0     201.3
    Offshore Pipelines & Services [Member] | Deepwater Gateway, L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates [4] 0.0   0.0     79.6
    Offshore Pipelines & Services [Member] | Neptune Pipeline Company, L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates [4] 0.0   0.0     34.9
    Offshore Pipelines & Services [Member] | Southeast Keathley Canyon Pipeline Company L.L.C. [Member]            
    Schedule of Equity Method Investments [Line Items]            
    Total investments in unconsolidated affiliates [4] $ 0.0   $ 0.0     $ 146.1
    [1] New joint venture formed with Oxy Delaware Basin Plant, LLC, a subsidiary of Occidental Petroleum Corporation, in April 2015 that will plan, design and construct a new cryogenic natural gas processing plant to accommodate the growing production of NGL-rich natural gas in the Delaware Basin.
    [2] New joint venture formed with Plains Marketing, L.P., a subsidiary of Plains All American Pipeline, L.P., in March 2015 to construct and operate a marine terminal that will handle crude oil delivered by Eagle Ford Pipeline LLC.
    [3] Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis in July 2015.
    [4] Our investments in unconsolidated affiliates classified within the Offshore Pipelines & Services segment were sold to Genesis on July 24, 2015 (see Note 6). At June 30, 2015, the carrying value of these investments was $482.4 million.
    XML 95 R82.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Condensed Consolidating Financial Information, Statement of Cash Flows (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Operating activities:        
    Net income $ 657.7 $ 699.2 $ 1,864.9 $ 2,152.4
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     1,147.7 992.4
    Equity in income of unconsolidated affiliates (103.1) (72.3) (302.5) (179.1)
    Distributions received from unconsolidated affiliates     362.4 260.7
    Net effect of changes in operating accounts and other operating activities     (481.3) (522.0)
    Net cash flows provided by operating activities     2,591.2 2,704.4
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     (2,619.1) (1,859.5)
    Cash used for business combinations, net of cash received     (1,045.1) 0.0
    Proceeds from asset sales and insurance recoveries     1,537.3 121.5
    Other investing activities     (181.3) (530.1)
    Cash used in investing activities     (2,308.2) (2,268.1)
    Financing activities:        
    Borrowings under debt agreements     17,113.7 7,167.5
    Repayments of debt     (16,139.2) (4,856.3)
    Cash distributions paid to partners     (2,185.1) (1,948.2)
    Cash payments made in connection with DERs     (5.6) (2.4)
    Cash distributions paid to noncontrolling interests     (33.2) (29.4)
    Cash contributions from noncontrolling interests     37.4 4.0
    Net cash proceeds from issuance of common units     1,011.4 304.9
    Cash contributions from owners     0.0 0.0
    Other financing activities     (76.3) (71.7)
    Cash provided by (used in) financing activities     (276.9) 568.4
    Net change in cash and cash equivalents     6.1 1,004.7
    Cash and cash equivalents, beginning balance     74.4 56.9
    Cash and cash equivalents, ending balance 80.5 1,061.6 80.5 1,061.6
    Eliminations and Adjustments [Member]        
    Operating activities:        
    Net income (653.2) (693.4) (1,853.5) (2,130.8)
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     0.0 0.0
    Equity in income of unconsolidated affiliates 653.2 692.5 1,852.6 2,129.4
    Distributions received from unconsolidated affiliates     (2,241.1) (2,007.4)
    Net effect of changes in operating accounts and other operating activities     0.9 1.4
    Net cash flows provided by operating activities     (2,241.1) (2,007.4)
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     0.0 0.0
    Cash used for business combinations, net of cash received     0.0  
    Proceeds from asset sales and insurance recoveries     0.0 0.0
    Other investing activities     1,005.2 300.7
    Cash used in investing activities     1,005.2 300.7
    Financing activities:        
    Borrowings under debt agreements     0.0 0.0
    Repayments of debt     0.0 0.0
    Cash distributions paid to partners     2,241.1 2,007.4
    Cash payments made in connection with DERs     0.0 0.0
    Cash distributions paid to noncontrolling interests     0.0 0.0
    Cash contributions from noncontrolling interests     0.0 0.0
    Net cash proceeds from issuance of common units     0.0 0.0
    Cash contributions from owners     (1,005.2) (300.7)
    Other financing activities     0.0 0.0
    Cash provided by (used in) financing activities     1,235.9 1,706.7
    Net change in cash and cash equivalents     0.0 0.0
    Cash and cash equivalents, beginning balance     0.0 0.0
    Cash and cash equivalents, ending balance 0.0 0.0 0.0 0.0
    Subsidiary Issuer (EPO) [Member]        
    Operating activities:        
    Net income 651.8 691.9 1,849.5 2,126.5
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     106.0 114.3
    Equity in income of unconsolidated affiliates (725.5) (762.5) (1,996.4) (2,169.5)
    Distributions received from unconsolidated affiliates     1,705.4 3,475.8
    Net effect of changes in operating accounts and other operating activities     (52.9) (764.6)
    Net cash flows provided by operating activities     1,611.6 2,782.5
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     (725.5) (329.1)
    Cash used for business combinations, net of cash received     (1,058.4)  
    Proceeds from asset sales and insurance recoveries     1,532.1 4.2
    Other investing activities     (1,091.2) (2,059.3)
    Cash used in investing activities     (1,343.0) (2,384.2)
    Financing activities:        
    Borrowings under debt agreements     17,113.7 7,167.5
    Repayments of debt     (16,139.2) (4,856.3)
    Cash distributions paid to partners     (2,241.1) (2,007.4)
    Cash payments made in connection with DERs     0.0 0.0
    Cash distributions paid to noncontrolling interests     0.0 0.0
    Cash contributions from noncontrolling interests     0.0 0.0
    Net cash proceeds from issuance of common units     0.0 0.0
    Cash contributions from owners     1,005.2 300.7
    Other financing activities     (23.9) (18.1)
    Cash provided by (used in) financing activities     (285.3) 586.4
    Net change in cash and cash equivalents     (16.7) 984.7
    Cash and cash equivalents, beginning balance     18.7 28.4
    Cash and cash equivalents, ending balance 2.0 1,013.1 2.0 1,013.1
    Other Subsidiaries (Non-guarantor) [Member]        
    Operating activities:        
    Net income 748.5 794.1 2,040.5 2,274.7
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     1,042.1 878.5
    Equity in income of unconsolidated affiliates (116.5) (94.4) (314.5) (256.1)
    Distributions received from unconsolidated affiliates     227.1 229.0
    Net effect of changes in operating accounts and other operating activities     (450.6) 230.1
    Net cash flows provided by operating activities     2,544.6 3,356.2
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     (1,893.6) (1,530.4)
    Cash used for business combinations, net of cash received     13.3  
    Proceeds from asset sales and insurance recoveries     5.2 117.3
    Other investing activities     (43.5) (526.9)
    Cash used in investing activities     (1,918.6) (1,940.0)
    Financing activities:        
    Borrowings under debt agreements     77.9 0.0
    Repayments of debt     0.0 0.0
    Cash distributions paid to partners     (1,602.4) (3,473.6)
    Cash payments made in connection with DERs     0.0 0.0
    Cash distributions paid to noncontrolling interests     (0.8) 0.0
    Cash contributions from noncontrolling interests     37.8 0.0
    Net cash proceeds from issuance of common units     0.0 0.0
    Cash contributions from owners     875.1 2,060.0
    Other financing activities     0.0 0.0
    Cash provided by (used in) financing activities     (612.4) (1,413.6)
    Net change in cash and cash equivalents     13.6 2.6
    Cash and cash equivalents, beginning balance     70.4 49.5
    Cash and cash equivalents, ending balance 84.0 52.1 84.0 52.1
    Consolidated EPO and Subsidiaries [Member]        
    Operating activities:        
    Net income 661.6 701.5 1,882.0 2,155.6
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     1,147.7 992.4
    Equity in income of unconsolidated affiliates (103.1) (72.3) (302.5) (179.1)
    Distributions received from unconsolidated affiliates     362.4 260.7
    Net effect of changes in operating accounts and other operating activities     (494.2) (517.8)
    Net cash flows provided by operating activities     2,595.4 2,711.8
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     (2,619.1) (1,859.5)
    Cash used for business combinations, net of cash received     (1,045.1)  
    Proceeds from asset sales and insurance recoveries     1,537.3 121.5
    Other investing activities     (181.3) (530.1)
    Cash used in investing activities     (2,308.2) (2,268.1)
    Financing activities:        
    Borrowings under debt agreements     17,113.7 7,167.5
    Repayments of debt     (16,139.2) (4,856.3)
    Cash distributions paid to partners     (2,241.1) (2,007.4)
    Cash payments made in connection with DERs     0.0 0.0
    Cash distributions paid to noncontrolling interests     (33.2) (29.4)
    Cash contributions from noncontrolling interests     37.4 4.0
    Net cash proceeds from issuance of common units     0.0 0.0
    Cash contributions from owners     1,005.2 300.7
    Other financing activities     (23.9) (18.1)
    Cash provided by (used in) financing activities     (281.1) 561.0
    Net change in cash and cash equivalents     6.1 1,004.7
    Cash and cash equivalents, beginning balance     74.4 56.9
    Cash and cash equivalents, ending balance 80.5 1,061.6 80.5 1,061.6
    Consolidated EPO and Subsidiaries [Member] | Eliminations and Adjustments [Member]        
    Operating activities:        
    Net income (738.7) (784.5) (2,008.0) (2,245.6)
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     (0.4) (0.4)
    Equity in income of unconsolidated affiliates 738.9 784.6 2,008.4 2,246.5
    Distributions received from unconsolidated affiliates     (1,570.1) (3,444.1)
    Net effect of changes in operating accounts and other operating activities     9.3 16.7
    Net cash flows provided by operating activities     (1,560.8) (3,426.9)
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     0.0 0.0
    Cash used for business combinations, net of cash received     0.0  
    Proceeds from asset sales and insurance recoveries     0.0 0.0
    Other investing activities     953.4 2,056.1
    Cash used in investing activities     953.4 2,056.1
    Financing activities:        
    Borrowings under debt agreements     (77.9) 0.0
    Repayments of debt     0.0 0.0
    Cash distributions paid to partners     1,602.4 3,473.6
    Cash payments made in connection with DERs     0.0 0.0
    Cash distributions paid to noncontrolling interests     (32.4) (29.4)
    Cash contributions from noncontrolling interests     (0.4) 4.0
    Net cash proceeds from issuance of common units     0.0 0.0
    Cash contributions from owners     (875.1) (2,060.0)
    Other financing activities     0.0 0.0
    Cash provided by (used in) financing activities     616.6 1,388.2
    Net change in cash and cash equivalents     9.2 17.4
    Cash and cash equivalents, beginning balance     (14.7) (21.0)
    Cash and cash equivalents, ending balance (5.5) (3.6) (5.5) (3.6)
    Enterprise Products Partners L.P. (Guarantor) [Member]        
    Operating activities:        
    Net income 649.3 691.1 1,836.4 2,127.6
    Reconciliation of net income to net cash flows provided by operating activities:        
    Depreciation, amortization and accretion     0.0 0.0
    Equity in income of unconsolidated affiliates (653.2) (692.5) (1,852.6) (2,129.4)
    Distributions received from unconsolidated affiliates     2,241.1 2,007.4
    Net effect of changes in operating accounts and other operating activities     12.0 (5.6)
    Net cash flows provided by operating activities     2,236.9 2,000.0
    Investing activities:        
    Capital expenditures, net of contributions in aid of construction costs     0.0 0.0
    Cash used for business combinations, net of cash received     0.0  
    Proceeds from asset sales and insurance recoveries     0.0 0.0
    Other investing activities     (1,005.2) (300.7)
    Cash used in investing activities     (1,005.2) (300.7)
    Financing activities:        
    Borrowings under debt agreements     0.0 0.0
    Repayments of debt     0.0 0.0
    Cash distributions paid to partners     (2,185.1) (1,948.2)
    Cash payments made in connection with DERs     (5.6) (2.4)
    Cash distributions paid to noncontrolling interests     0.0 0.0
    Cash contributions from noncontrolling interests     0.0 0.0
    Net cash proceeds from issuance of common units     1,011.4 304.9
    Cash contributions from owners     0.0 0.0
    Other financing activities     (52.4) (53.6)
    Cash provided by (used in) financing activities     (1,231.7) (1,699.3)
    Net change in cash and cash equivalents     0.0 0.0
    Cash and cash equivalents, beginning balance     0.0 0.0
    Cash and cash equivalents, ending balance $ 0.0 $ 0.0 $ 0.0 $ 0.0
    XML 96 R69.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Equity and Distributions, Accumulated Other Comprehensive Income (Loss) (Details) - USD ($)
    $ in Millions
    3 Months Ended 9 Months Ended
    Sep. 30, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Beginning Balance     $ (241.6) $ (359.0)
    Other comprehensive income before reclassifications     112.7 16.1
    Amounts reclassified from accumulated other comprehensive loss (income)     (101.8) 36.8
    Total other comprehensive income (loss) $ 47.9 $ 48.1 10.9 52.9
    Ending Balance (230.7) (306.1) (230.7) (306.1)
    Interest expense 243.7 229.8 723.2 679.6
    Revenue (6,307.9) (12,330.2) (20,872.9) (37,760.9)
    Operating costs and expenses 5,452.6 11,414.8 18,426.5 34,934.4
    Total (657.7) (699.2) (1,864.9) (2,152.4)
    Gains and Losses on Cash Flow Hedges [Member] | Interest rate derivatives [Member]        
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Beginning Balance     (314.8) (347.2)
    Other comprehensive income before reclassifications     0.0 0.0
    Amounts reclassified from accumulated other comprehensive loss (income)     26.3 23.9
    Total other comprehensive income (loss)     26.3 23.9
    Ending Balance (288.5) (323.3) (288.5) (323.3)
    Gains and Losses on Cash Flow Hedges [Member] | Commodity derivatives [Member]        
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Beginning Balance     69.9 (14.7)
    Other comprehensive income before reclassifications     112.3 16.1
    Amounts reclassified from accumulated other comprehensive loss (income)     (128.1) 12.9
    Total other comprehensive income (loss)     (15.8) 29.0
    Ending Balance 54.1 14.3 54.1 14.3
    Other [Member]        
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Beginning Balance     3.3 2.9
    Other comprehensive income before reclassifications     0.4 0.0
    Amounts reclassified from accumulated other comprehensive loss (income)     0.0 0.0
    Total other comprehensive income (loss)     0.4 0.0
    Ending Balance 3.7 2.9 3.7 2.9
    Reclassification out of Accumulated Other Comprehensive Income [Member]        
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Total (37.9) (10.0) (101.8) 36.8
    Reclassification out of Accumulated Other Comprehensive Income [Member] | Gains and Losses on Cash Flow Hedges [Member] | Interest rate derivatives [Member]        
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Interest expense 8.9 8.0 26.3 23.9
    Reclassification out of Accumulated Other Comprehensive Income [Member] | Gains and Losses on Cash Flow Hedges [Member] | Commodity derivatives [Member]        
    Accumulated Other Comprehensive Income (Loss) [Abstract]        
    Revenue (46.8) (17.8) (128.6) 14.5
    Operating costs and expenses $ 0.0 $ (0.2) $ 0.5 $ (1.6)
    XML 97 R27.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Derivative Instruments, Hedging Activities and Fair Value Measurements (Tables)
    9 Months Ended
    Sep. 30, 2015
    Derivative Instruments, Hedging Activities and Fair Value Measurements [Abstract]  
    Hedging Instruments Under the FASB's Derivative and Hedging Guidance
    We may utilize interest rate swaps, forward starting swaps and similar derivative instruments to manage our exposure to changes in interest rates charged on borrowings under certain consolidated debt agreements.  This strategy may be used in controlling our overall cost of capital associated with such borrowings.  At December 31, 2014, we did not have any interest rate hedging derivative instruments outstanding.  The following table summarizes our portfolio of interest rate swaps at September 30, 2015:

    Hedged Transaction
    Number and Type
    of Derivatives
    Outstanding
     
    Notional
    Amount
     
    Period of
    Hedge
    Rate
    Swap
    Accounting
    Treatment
    Senior Notes OO
    10 fixed-to-floating swaps
     
    $
    750.0
     
    5/2015 to 5/2018
    1.65% to 0.79%
    Fair value hedge

    The prices of natural gas, NGLs, crude oil, petrochemicals and refined products are subject to fluctuations in response to changes in supply and demand, market conditions and a variety of additional factors that are beyond our control.  In order to manage such price risks, we enter into commodity derivative instruments such as physical forward contracts, futures contracts, fixed-for-float swaps, basis swaps and option contracts.  The following table summarizes our portfolio of commodity derivative instruments outstanding at September 30, 2015 (volume measures as noted):

     
    Volume (1)
    Accounting
    Derivative Purpose
    Current (2)
    Long-Term (2)
    Treatment
    Derivatives designated as hedging instruments:
       
    Natural gas processing:
       
    Forecasted natural gas purchases for plant thermal reduction (Bcf)
    4.9
    n/a
    Cash flow hedge
    Forecasted sales of NGLs (MMBbls) (3)
    1.1
    n/a
    Cash flow hedge
    Octane enhancement:
       
    Forecasted purchases of NGLs (MMBbls)
    0.1
    n/a
    Cash flow hedge
    Forecasted sales of octane enhancement products (MMBbls)
    0.5
    n/a
    Cash flow hedge
    Natural gas marketing:
       
    Forecasted purchases of natural gas for fuel (Bcf)
    6.4
    n/a
    Cash flow hedge
    Forecasted sales of natural gas (Bcf)
    0.1
    n/a
    Cash flow hedge
    Natural gas storage inventory management activities (Bcf)
    10.2
    n/a
    Fair value hedge
    NGL marketing:
       
    Forecasted purchases of NGLs and related hydrocarbon products (MMBbls)
    34.6
    0.5
    Cash flow hedge
    Forecasted sales of NGLs and related hydrocarbon products (MMBbls)
    49.8
    n/a
    Cash flow hedge
    Refined products marketing:
     
      
    Forecasted purchases of refined products (MMBbls)
    0.4
    n/a
    Cash flow hedge
    Forecasted sales of refined products (MMBbls)
    0.7
    n/a
    Cash flow hedge
    Refined products inventory management activities (MMBbls)
    0.2
    n/a
    Fair value hedge
    Crude oil marketing:
      
     
    Forecasted purchases of crude oil (MMBbls)
    9.0
    1.6
    Cash flow hedge
    Forecasted sales of crude oil (MMBbls)
    11.9
    1.6
    Cash flow hedge
    Derivatives not designated as hedging instruments:
       
    Natural gas risk management activities (Bcf) (4,5)
    65.9
    9.6
    Mark-to-market
    NGL risk management activities (MMBbls) (5)
    14.9
    n/a
    Mark-to-market
    Crude oil risk management activities (MMBbls) (5)
    5.8
    0.4
    Mark-to-market
     
    (1)    Volume for derivatives designated as hedging instruments reflects the total amount of volumes hedged whereas volume for derivatives not designated as hedging instruments reflects the absolute value of derivative notional volumes.
    (2)    The maximum term for derivatives designated as cash flow hedges, derivatives designated as fair value hedges and derivatives not designated as hedging instruments is December 2017, April 2016 and March 2018, respectively.
    (3)    Forecasted sales of NGL volumes under natural gas processing exclude 0.7 MMBbls of additional hedges executed under contracts that have been designated as normal sales agreements.
    (4)    Current and long-term volumes include 38.7 Bcf and 0.9 Bcf, respectively, of physical derivative instruments that are predominantly priced at a marked-based index plus a premium or minus a discount related to location differences.
    (5)    Reflects the use of derivative instruments to manage risks associated with transportation, processing and storage assets.

    Derivative Assets and Liabilities Balance Sheet
    The following table provides a balance sheet overview of our derivative assets and liabilities at the dates indicated:

     
    Asset Derivatives
     
    Liability Derivatives
     
     
    September 30, 2015
     
    December 31, 2014
     
    September 30, 2015
     
    December 31, 2014
     
      Balance
    Sheet
    Location
      
    Fair
    Value
     
    Balance
    Sheet
    Location
      
    Fair
    Value 
     Balance
    Sheet
    Location
      
    Fair
    Value 
     Balance
    Sheet
    Location
     
     
    Fair
    Value 
     
    Derivatives designated as hedging instruments  
                    
    Interest rate derivatives
    Current assets
     
    $
    7.4
     
    Current assets
     
    $
    --
     
    Other current
    liabilities
     
    $
    --
     
    Other current
    liabilities
     
    $
    --
     
    Interest rate derivatives
    Other assets
      
    0.2
     
    Other assets
      
    --
     
    Other liabilities
      
    --
     
    Other liabilities
      
    --
     
    Total interest rate derivatives
       
    7.6
        
    --
        
    --
        
    --
     
    Commodity derivatives
    Current assets
      
    216.9
     
    Current assets
      
    217.9
     
    Other current
    liabilities
      
    178.5
     
    Other current
    liabilities
      
    145.3
     
    Commodity derivatives
    Other assets
      
    8.3
     
    Other assets
      
    --
     
    Other liabilities
      
    8.2
     
    Other liabilities
      
    --
     
    Total commodity derivatives
     
      
    225.2
     
     
      
    217.9
     
     
      
    186.7
     
     
      
    145.3
     
    Total derivatives designated as hedging instruments
      
    $
    232.8
       
    $
    217.9
       
    $
    186.7
       
    $
    145.3
     
     
     
        
     
        
     
        
     
        
    Derivatives not designated as hedging instruments
     
    Commodity derivatives
    Current assets
     
    $
    17.5
     
    Current assets
     
    $
    8.1
     
    Other current
    liabilities
     
    $
    9.4
     
    Other current
    liabilities
     
    $
    0.7
     
    Commodity derivatives
    Other assets
      
    0.1
     
    Other assets
      
    0.6
     
    Other liabilities
      
    1.0
     
    Other liabilities
      
    1.4
     
    Total commodity derivatives
     
     
    $
    17.6
     
     
     
    $
    8.7
     
     
     
    $
    10.4
     
     
     
    $
    2.1
     

    Offsetting Financial Assets
    Certain of our commodity derivative instruments are subject to master netting arrangements or similar agreements.  The following tables present our derivative instruments subject to such arrangements at the dates indicated:

     
    Offsetting of Financial Assets and Derivative Assets
     
     
    Gross
    Amounts of
    Recognized
    Assets
     
    Gross
    Amounts
    Offset in the
    Balance Sheet
     
    Amounts
    of Assets
    Presented
    in the
    Balance Sheet
     
    Gross Amounts Not Offset
    in the Balance Sheet
     
    Amounts That
    Would Have
    Been Presented
    On Net Basis
     
    Financial
    Instruments
      
    Cash
    Collateral
    Received
      
    Cash
    Collateral
    Paid
     
     
    (i)
     
    (ii)
     
    (iii) = (i) – (ii)
     
    (iv)
     
    (v) = (iii) + (iv)
     
    As of September 30, 2015:
                  
    Interest rate derivatives
     
    $
    7.6
      
    $
    --
      
    $
    7.6
      
    $
    --
      
    $
    --
      
    $
    --
      
    $
    7.6
     
    Commodity derivatives
      
    242.8
       
    --
       
    242.8
       
    (180.3
    )
      
    (38.2
    )
      
    (9.6
    )
      
    14.7
     
    As of December 31, 2014:
                                
    Commodity derivatives
     
    $
    226.6
      
    $
    --
      
    $
    226.6
      
    $
    (147.3
    )
     
    $
    (23.9
    )
     
    $
    --
      
    $
    55.4
     

    Offsetting Financial Liabilities
     
    Offsetting of Financial Liabilities and Derivative Liabilities
     
     
    Gross
    Amounts of
    Recognized
    Liabilities
     
    Gross
    Amounts
    Offset in the
    Balance Sheet
     
    Amounts
    of Liabilities
    Presented
    in the
    Balance Sheet
     
    Gross Amounts Not Offset
    in the Balance Sheet
     
    Amounts That
    Would Have
    Been Presented
    On Net Basis
     
    Financial
    Instruments
     
    Cash
    Collateral
    Paid
     
     
    (i)
     
    (ii)
     
    (iii) = (i) – (ii)
     
    (iv)
     
    (v) = (iii) + (iv)
     
    As of September 30, 2015:
                
    Commodity derivatives
     
    $
    197.1
      
    $
    --
      
    $
    197.1
      
    $
    (180.3
    )
     
    $
    --
      
    $
    16.8
     
    As of December 31, 2014:
                            
    Commodity derivatives
     
    $
    147.4
      
    $
    --
      
    $
    147.4
      
    $
    (147.3
    )
     
    $
    --
      
    $
    0.1
     

    Derivative Instruments Effects on Statements of Operations
    The following tables present the effect of our derivative instruments designated as fair value hedges on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:

    Derivatives in Fair Value
    Hedging Relationships
     
    Location
     
    Gain (Loss) Recognized in
    Income on Derivative
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    5.9
      
    $
    (4.1
    )
     
    $
    5.1
      
    $
    (9.5
    )
    Commodity derivatives
    Revenue
      
    3.6
       
    (0.3
    )
      
    4.0
       
    0.6
     
    Total
     
     
    $
    9.5
      
    $
    (4.4
    )
     
    $
    9.1
      
    $
    (8.9
    )

    Derivatives in Fair Value
    Hedging Relationships
     
    Location
     
    Gain (Loss) Recognized in
    Income on Hedged Item
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    (5.7
    )
     
    $
    3.9
      
    $
    (5.2
    )
     
    $
    9.3
     
    Commodity derivatives
    Revenue
      
    (2.5
    )
      
    1.0
       
    7.4
       
    (1.4
    )
    Total
     
     
    $
    (8.2
    )
     
    $
    4.9
      
    $
    2.2
      
    $
    7.9
     

    Derivative Instruments Effects on Statements of Comprehensive Income
    The following tables present the effect of our derivative instruments designated as cash flow hedges on our Unaudited Condensed Statements of Consolidated Operations and Unaudited Condensed Statements of Consolidated Comprehensive Income for the periods indicated:

    Derivatives in Cash Flow
    Hedging Relationships
     
    Change in Value Recognized in
    Other Comprehensive Income (Loss)
    on Derivative (Effective Portion)
     
     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Commodity derivatives – Revenue (1)
     
    $
    87.4
      
    $
    58.8
      
    $
    113.9
      
    $
    15.2
     
    Commodity derivatives – Operating costs and expenses (1)
      
    (1.6
    )
      
    (0.7
    )
      
    (1.6
    )
      
    0.9
     
    Total
     
    $
    85.8
      
    $
    58.1
      
    $
    112.3
      
    $
    16.1
     
     
    (1)     The fair value of these derivative instruments will be reclassified to their respective locations on the Unaudited Condensed Statement of Consolidated Operations upon settlement of the underlying derivative transactions, as appropriate.
     

    Gain/(Loss) Reclassified from Accumulated Other Comprehensive Income/(Loss) to Income (Effective Portion)
    Derivatives in Cash Flow
    Hedging Relationships
    Location
     
    Gain (Loss) Reclassified from
    Accumulated Other Comprehensive Income (Loss)
    to Income (Effective Portion)
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    (8.9
    )
     
    $
    (8.0
    )
     
    $
    (26.3
    )
     
    $
    (23.9
    )
    Commodity derivatives
    Revenue
      
    46.8
       
    17.8
       
    128.6
       
    (14.5
    )
    Commodity derivatives
    Operating costs and expenses
      
    --
       
    0.2
       
    (0.5
    )
      
    1.6
     
    Total
     
     
    $
    37.9
      
    $
    10.0
      
    $
    101.8
      
    $
    (36.8
    )

    Gain/(Loss) Recognized in Income on Derivative (Ineffective Portion)
    Derivatives in Cash Flow
    Hedging Relationships
    Location
     
    Gain (Loss) Recognized in Income
    on Derivative (Ineffective Portion)
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Commodity derivatives
    Revenue
     
    $
    (3.5
    )
     
    $
    0.1
      
    $
    (3.1
    )
     
    $
    --
     
    Commodity derivatives
    Operating costs and expenses
      
    --
       
    (0.1
    )
      
    --
       
    --
     
    Total
     
     
    $
    (3.5
    )
     
    $
    --
      
    $
    (3.1
    )
     
    $
    --
     

    Gain/(Loss) Recognized in Income on Derivative
    The following table presents the effect of our derivative instruments not designated as hedging instruments on our Unaudited Condensed Statements of Consolidated Operations for the periods indicated:

    Derivatives Not Designated
    as Hedging Instruments
    Location
     
    Gain (Loss) Recognized in
    Income on Derivative
     
     
      
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Interest rate derivatives
    Interest expense
     
    $
    --
      
    $
    --
      
    $
    --
      
    $
    (0.1
    )
    Commodity derivatives
    Revenue
      
    --
       
    0.8
       
    3.9
       
    (26.8
    )
    Commodity derivatives
    Operating costs and expenses
      
    (0.3
    )
      
    --
       
    --
       
    --
     
    Total
     
     
    $
    (0.3
    )
     
    $
    0.8
      
    $
    3.9
      
    $
    (26.9
    )

    Fair Value Measurements of Financial Assets and Liabilities Measured on a Recurring Basis
    The following tables set forth, by level within the fair value hierarchy, the carrying values of our financial assets and liabilities at the dates indicated.  These assets and liabilities are measured on a recurring basis and are classified based on the lowest level of input used to estimate their fair value.  Our assessment of the relative significance of such inputs requires judgment.

     
     
    September 30, 2015
    Fair Value Measurements Using
      
     
     
     
    Quoted Prices
    in Active
    Markets for
    Identical Assets
    and Liabilities
    (Level 1)
      
    Significant
    Other
    Observable
    Inputs
    (Level 2)
      
    Significant
    Unobservable
    Inputs
    (Level 3)
      
    Total
     
    Financial assets:
     
      
      
      
     
    Interest rate derivatives
     
    $
    --
      
    $
    7.6
      
    $
    --
      
    $
    7.6
     
    Commodity derivatives
      
    84.1
       
    157.7
       
    1.0
       
    242.8
     
    Total
     
    $
    84.1
      
    $
    165.3
      
    $
    1.0
      
    $
    250.4
     
     
                    
    Financial liabilities:
                    
    Liquidity Option Agreement
     
    $
    --
      
    $
    --
      
    $
    235.5
      
    $
    235.5
     
    Commodity derivatives
      
    37.4
       
    142.7
       
    17.0
       
    197.1
     
    Total
     
    $
    37.4
      
    $
    142.7
      
    $
    252.5
      
    $
    432.6
     

     
     
    December 31, 2014
    Fair Value Measurements Using
      
     
     
     
    Quoted Prices
    in Active
    Markets for
    Identical Assets
    and Liabilities
    (Level 1)
      
    Significant
    Other
    Observable
    Inputs
    (Level 2)
      
    Significant
    Unobservable
    Inputs
    (Level 3)
      
    Total
     
    Financial assets:
     
      
      
      
     
    Commodity derivatives
     
    $
    37.8
      
    $
    187.8
      
    $
    1.0
      
    $
    226.6
     
     
                    
    Financial liabilities:
                    
    Liquidity Option Agreement
     
    $
    --
      
    $
    --
      
    $
    219.7
      
    $
    219.7
     
    Commodity derivatives
      
    13.8
       
    133.0
       
    0.6
       
    147.4
     
    Total
     
    $
    13.8
      
    $
    133.0
      
    $
    220.3
      
    $
    367.1
     

    Reconciliation of Changes in the Fair Value of Level 3 Financial Assets and Liabilities
    The following table sets forth a reconciliation of changes in the fair values of our recurring Level 3 financial assets and liabilities on a combined basis for the periods indicated:

     
      
     
    For the Nine Months
    Ended September 30,
     
     
    Location 
    2015
      
    2014
     
    Financial asset (liability) balance, net, January 1
     
     
    $
    (219.3
    )
     
    $
    3.2
     
    Total gains (losses) included in:
     
            
    Net income (1)
    Revenue
      
    (0.4
    )
      
    4.6
     
    Other comprehensive income
    Commodity derivative instruments – changes in fair value of cash flow hedges
      
    (1.5
    )
      
    --
     
    Settlements
    Revenue
      
    (0.5
    )
      
    (0.1
    )
    Transfers out of Level 3
       
    0.1
       
    --
     
    Financial asset (liability) balance, net, March 31
     
      
    (221.6
    )
      
    7.7
     
    Total gains (losses) included in:
     
            
    Net income (1)
    Revenue
      
    (0.4
    )
      
    (3.3
    )
    Net income
    Other expense, net
      
    (11.5
    )
      
    --
     
    Other comprehensive income
    Commodity derivative instruments – changes in fair value of cash flow hedges
      
    (1.0
    )
      
    --
     
    Settlements
    Revenue
      
    0.2
       
    (1.8
    )
    Transfers out of Level 3
       
    1.5
       
    --
     
    Financial asset (liability) balance, net, June 30
     
      
    (232.8
    )
      
    2.6
     
    Total gains (losses) included in:
             
    Net income (1)
    Revenue
      
    (0.3
    )
      
    (0.9
    )
    Net income
    Other expense, net
      
    (4.3
    )
      
    --
     
    Other comprehensive income
    Commodity derivative instruments – changes in fair value of cash flow hedges
      
    (15.5
    )
      
    (2.5
    )
    Settlements
    Revenue
      
    0.3
       
    0.1
     
    Transfers out of Level 3
       
    1.1
       
    --
     
    Financial asset (liability) balance, net, September 30
      
    $
    (251.5
    )
     
    $
    (0.7
    )
     
    (1)   There were $1.1 million of unrealized losses included in these amounts for the nine months ended September 30, 2015. There were unrealized gains of $0.8 million and $1.3 million included in these amounts for the three and nine months ended September 30, 2014, respectively.
     

    Fair Value Measurements, Valuation Techniques
    The following table provides quantitative information about our recurring Level 3 fair value measurements at September 30, 2015:

     
     
    Fair Value
     
     
     
       
     
     
    Financial
    Assets
      
    Financial
    Liabilities
     
    Valuation
    Techniques
    Unobservable
    Input
    Range
    Commodity derivatives – Crude oil
     
    $
    0.7
      
    $
    1.3
     
    Discounted cash flow
    Forward commodity prices
    $44.47-$50.74/barrel
    Commodity derivatives – Natural gasoline
      
    0.3
       
    15.6
     
    Discounted cash flow
    Forward commodity prices
    $0.93-$1.00/gallon
    Commodity derivatives – Propane
      
    --
       
    0.1
     
    Discounted cash flow
    Forward commodity prices
    $0.50/gallon
    Total
     
    $
    1.0
      
    $
    17.0
          

    Noncash Impairment Charges by Segment
    Long-lived assets (including intangible assets with finite useful lives and property, plant and equipment) are reviewed for impairment (i.e., subject to nonrecurring fair value measurements) when events or changes in circumstances indicate that the carrying amount of such assets may not be recoverable. Long-lived assets with carrying values that are not expected to be recovered through future cash flows are written-down to their estimated fair values. The following table summarizes our non-cash impairment charges by segment during each of the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    NGL Pipelines & Services
     
    $
    14.6
      
    $
    1.2
      
    $
    20.6
      
    $
    6.6
     
    Crude Oil Pipelines & Services
      
    --
       
    0.4
       
    25.9
       
    2.2
     
    Natural Gas Pipelines & Services
      
    --
       
    0.4
       
    21.5
       
    0.7
     
    Petrochemical & Refined Products Services
      
    12.2
       
    3.7
       
    12.6
       
    8.7
     
    Offshore Pipelines & Services
      
    --
       
    --
       
    58.5
       
    --
     
    Total
     
    $
    26.8
      
    $
    5.7
      
    $
    139.1
      
    $
    18.2
     

    Nonrecurring Fair Value Measurements

    The following table presents categories of long-lived assets that were subject to non-recurring fair value measurements during the nine months ended September 30, 2015:

     
     
      
    Fair Value Measurements
    at the End of the Reporting Period Using
      
     
     
     
    Carrying
    Value at
    September 30,
    2015
      
    Quoted Prices
    in Active
    Markets for
    Identical
    Assets
    (Level 1)
      
    Significant
    Other
    Observable
    Inputs
    (Level 2)
      
    Significant
    Unobservable
    Inputs
    (Level 3)
      
    Total
    Non-Cash
    Impairment
    Loss
     
    Long-lived assets disposed of other than by sale
     
    $
    0.4
      
    $
    --
      
    $
    --
      
    $
    0.4
      
    $
    69.9
     
    Long-lived assets held for sale
      
    34.2
       
    --
       
    --
       
    34.2
       
    14.2
     
    Long-lived assets disposed of by sale (1)
      
    --
       
    --
       
    --
       
    --
       
    55.0
     
    Total
                     
    $
    139.1
     
                                                     
    (1)   Primarily represents the impairment charge recorded in second quarter of 2015 upon reclassification of our Offshore Business to held for sale status.
     

    The following table presents categories of long-lived assets that were subject to non-recurring fair value measurements during the nine months ended September 30, 2014:

     
     
    Fair Value Measurements
    at the End of the Reporting Period Using
     
     
     
    Carrying
    Value at
    September 30,
    2014
     
    Quoted Prices
    in Active
    Markets for
    Identical
    Assets
    (Level 1)
     
    Significant
    Other
    Observable
    Inputs
    (Level 2)
     
    Significant
    Unobservable
    Inputs
    (Level 3)
     
    Total
    Non-Cash
    Impairment
    Loss
     
    Long-lived assets disposed of other than by sale
     
    $
    --
      
    $
    --
      
    $
    --
      
    $
    --
      
    $
    11.7
     
    Long-lived assets held for sale
      
    1.1
       
    --
       
    --
       
    1.1
       
    6.5
     
    Total
                     
    $
    18.2
     

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    Related Party Transactions (Details) - USD ($)
    $ / shares in Units, $ in Millions
    3 Months Ended 9 Months Ended
    Nov. 06, 2015
    Sep. 30, 2015
    Mar. 31, 2015
    Sep. 30, 2014
    Sep. 30, 2015
    Sep. 30, 2014
    Dec. 31, 2014
    Revenues - related parties:              
    Total revenue - related parties   $ 13.9   $ 11.0 $ 27.3 $ 63.8  
    Costs and expenses - related parties:              
    Total costs and expenses - related parties   312.9   248.6 869.2 826.4  
    Accounts receivable - related parties:              
    Total accounts receivable - related parties   1.7     1.7   $ 2.8
    Accounts payable - related parties:              
    Total accounts payable - related parties   80.3     80.3   118.9
    Related Party Transactions [Abstract]              
    Operating costs and expenses   284.7   216.7 783.9 735.5  
    General and administrative expenses   28.2   31.9 85.3 90.9  
    Relationship with Affiliates [Abstract]              
    Net cash proceeds from the issuance of common units         $ 1,011.4 $ 304.9  
    2013 At-the-Market Registration [Member]              
    Relationship with Affiliates [Abstract]              
    Number of common units issued (in units)         23,258,453 1,590,334  
    Net cash proceeds from the issuance of common units         $ 759.7 $ 57.7  
    Distribution Reinvestment Plan [Member]              
    Relationship with Affiliates [Abstract]              
    Number of common units issued (in units)         7,965,318 7,148,778  
    Net cash proceeds from the issuance of common units         $ 242.8 $ 239.8  
    EPCO and its privately held affiliates [Member]              
    Costs and expenses - related parties:              
    Total costs and expenses - related parties   246.0   212.8 703.9 688.0  
    Accounts payable - related parties:              
    Total accounts payable - related parties   $ 64.6     64.6   98.1
    Distributions:              
    Total cash distributions         $ 705.9 $ 652.8  
    Relationship with Affiliates [Abstract]              
    Total Number of Units (in units)   675,259,617     675,259,617    
    Percentage of Total Units Outstanding (in hundredths)   33.70%     33.70%    
    Number of Designated Units excluded from distributions (in units)         35,380,000 45,120,000  
    Enterprise common units pledged as security (in units)   118,000,000     118,000,000    
    EPCO and its privately held affiliates [Member] | 2013 At-the-Market Registration [Member]              
    Relationship with Affiliates [Abstract]              
    Number of common units issued (in units)     3,225,057   3,225,057    
    Offering price of common unit (in dollars per unit)     $ 31.01        
    Net cash proceeds from the issuance of common units         $ 100.0    
    EPCO and its privately held affiliates [Member] | Distribution Reinvestment Plan [Member]              
    Relationship with Affiliates [Abstract]              
    Net cash proceeds from the issuance of common units $ 50.0       50.0 $ 75.0  
    EPCO and its privately held affiliates [Member] | Administrative Services Agreement [Member]              
    Costs and expenses - related parties:              
    Total costs and expenses - related parties   $ 241.7   208.6 691.0 676.1  
    Related Party Transactions [Abstract]              
    Operating costs and expenses   215.3   179.0 612.2 591.6  
    General and administrative expenses   26.4   29.6 78.8 84.5  
    Unconsolidated affiliates [Member]              
    Revenues - related parties:              
    Total revenue - related parties   13.9   11.0 27.3 63.8  
    Costs and expenses - related parties:              
    Total costs and expenses - related parties   66.9   $ 35.8 165.3 $ 138.4  
    Accounts receivable - related parties:              
    Total accounts receivable - related parties   1.7     1.7   2.8
    Accounts payable - related parties:              
    Total accounts payable - related parties   $ 15.7     $ 15.7   $ 20.8
    XML 100 R38.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Supplemental Cash Flow Information (Tables)
    9 Months Ended
    Sep. 30, 2015
    Supplemental Cash Flow Information [Abstract]  
    Net Effect of Changes in Operating Assets and Liabilities
    The following table presents the net effect of changes in our operating accounts for the periods indicated:

     
     
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
     
    Decrease (increase) in:
     
      
     
    Accounts receivable – trade
     
    $
    1,042.5
      
    $
    153.6
     
    Accounts receivable – related parties
      
    1.2
       
    4.0
     
    Inventories
      
    (143.2
    )
      
    (536.9
    )
    Prepaid and other current assets
      
    (32.7
    )
      
    (44.5
    )
    Other assets
      
    2.1
       
    20.0
     
    Increase (decrease) in:
            
    Accounts payable – trade
      
    (72.7
    )
      
    (14.2
    )
    Accounts payable – related parties
      
    (38.6
    )
      
    (27.7
    )
    Accrued product payables
      
    (1,248.4
    )
      
    (13.1
    )
    Accrued interest
      
    (136.7
    )
      
    (131.7
    )
    Other current liabilities
      
    (13.8
    )
      
    143.5
     
    Other liabilities
      
    12.4
       
    11.2
     
    Net effect of changes in operating accounts
     
    $
    (627.9
    )
     
    $
    (435.8
    )

    Schedule of Significant Acquisitions and Disposals
    The following table presents our cash proceeds from asset sales and insurance recoveries for the periods indicated:

     
     
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
     
    Sale of Offshore Business (see Note 6)
     
    $
    1,528.6
      
    $
    --
     
    Insurance recoveries attributable to West Storage claims
      
    --
       
    95.0
     
    Other cash proceeds
      
    8.7
       
    26.5
     
    Total
     
    $
    1,537.3
      
    $
    121.5
     

    The following table presents net gains (losses) attributable to asset sales and insurance recoveries for the periods indicated:

     
     
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
     
    Sale of Offshore Business (see Note 6)
     
    $
    (12.6
    )
     
    $
    --
     
    Gains attributable to West Storage insurance recoveries
      
    --
       
    95.0
     
    Net gains (losses) attributable to other asset sales
      
    (2.1
    )
      
    4.0
     
    Total
     
    $
    (14.7
    )
     
    $
    99.0
     

    XML 101 R20.htm IDEA: XBRL DOCUMENT v3.3.0.814
    Related Party Transactions
    9 Months Ended
    Sep. 30, 2015
    Related Party Transactions [Abstract]  
    Related Party Transactions

    Note 13.  Related Party Transactions

    The following table summarizes our related party transactions for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Revenues – related parties:
            
    Unconsolidated affiliates
     
    $
    13.9
      
    $
    11.0
      
    $
    27.3
      
    $
    63.8
     
    Costs and expenses – related parties:
                    
    EPCO and its privately held affiliates
     
    $
    246.0
      
    $
    212.8
      
    $
    703.9
      
    $
    688.0
     
    Unconsolidated affiliates
      
    66.9
       
    35.8
       
    165.3
       
    138.4
     
    Total
     
    $
    312.9
      
    $
    248.6
      
    $
    869.2
      
    $
    826.4
     

    The following table summarizes our related party accounts receivable and accounts payable balances at the dates indicated:

     
     
    September 30,
    2015
      
    December 31,
    2014
     
    Accounts receivable - related parties:
     
      
     
    Unconsolidated affiliates
     
    $
    1.7
      
    $
    2.8
     
     
            
    Accounts payable - related parties:
            
    EPCO and its privately held affiliates
     
    $
    64.6
      
    $
    98.1
     
    Unconsolidated affiliates
      
    15.7
       
    20.8
     
    Total
     
    $
    80.3
      
    $
    118.9
     

    We believe that the terms and provisions of our related party agreements are fair to us; however, such agreements and transactions may not be as favorable to us as we could have obtained from unaffiliated third parties.

    Relationship with EPCO and its Privately Held Affiliates
    We have an extensive and ongoing relationship with EPCO and its privately held affiliates (including Enterprise GP, our general partner), which are not a part of our consolidated group of companies.  

    At September 30, 2015, EPCO and its privately held affiliates (including Dan Duncan LLC and certain Duncan family trusts) beneficially owned the following limited partner interests in us:

    Total Number
     of Units
    Percentage of
    Total Units
    Outstanding
    675,259,617
    33.7%

    Of the total number of units held by EPCO and its privately held affiliates, 118,000,000 have been pledged as security under the credit facilities of certain of the privately held affiliates at September 30, 2015.  These credit facilities contain customary and other events of default, including defaults by us and other affiliates of EPCO.  An event of default, followed by a foreclosure on the pledged collateral, could ultimately result in a change in ownership of these units and affect the market price of our common units.

    We and Enterprise GP are both separate legal entities apart from each other and apart from EPCO and its other affiliates, with assets and liabilities that are also separate from those of EPCO and its other affiliates.  EPCO and its privately held affiliates depend on the cash distributions they receive from us and other investments to fund their other activities and to meet their debt obligations.  During the nine months ended September 30, 2015 and 2014, we paid EPCO and its privately held affiliates cash distributions totaling $705.9 million and $652.8 million, respectively.  Distributions paid during the nine months ended September 30, 2015 excluded 35,380,000 Designated Units (see Note 11).  Likewise, distributions paid during the nine months ended September 30, 2014 excluded 45,120,000 Designated Units.

    From time-to-time, EPCO and its privately held affiliates elect to reinvest a portion of the cash distributions they receive from us into the purchase of additional common units under our DRIP. These purchases totaled $50 million and $75 million for the nine months ended September 30, 2015 and 2014, respectively. In addition, a total of $50 million of distributions were reinvested in connection with the distribution we paid on November 6, 2015.  In March 2015, a privately held affiliate of EPCO purchased 3,225,057 common units from us under our ATM program for $31.01 per unit. See Note 11 for additional information regarding our DRIP and ATM program.

    We have no employees.  All of our operating functions and general and administrative support services are provided by employees of EPCO pursuant to the ASA or by other service providers. The following table presents our related party costs and expenses attributable to the ASA with EPCO for the periods indicated:

     
     
    For the Three Months
    Ended September 30,
      
    For the Nine Months
    Ended September 30,
     
     
     
    2015
      
    2014
      
    2015
      
    2014
     
    Operating costs and expenses
     
    $
    215.3
      
    $
    179.0
      
    $
    612.2
      
    $
    591.6
     
    General and administrative expenses
      
    26.4
       
    29.6
       
    78.8
       
    84.5
     
    Total costs and expenses
     
    $
    241.7
      
    $
    208.6
      
    $
    691.0
      
    $
    676.1
     


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