0001140361-14-018308.txt : 20140502 0001140361-14-018308.hdr.sgml : 20140502 20140501190015 ACCESSION NUMBER: 0001140361-14-018308 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 13 CONFORMED PERIOD OF REPORT: 20140331 FILED AS OF DATE: 20140502 DATE AS OF CHANGE: 20140501 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Targa Resources Partners LP CENTRAL INDEX KEY: 0001379661 STANDARD INDUSTRIAL CLASSIFICATION: NATURAL GAS TRANSMISSION [4922] IRS NUMBER: 651295427 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-33303 FILM NUMBER: 14806484 BUSINESS ADDRESS: STREET 1: 1000 LOUISIANA STREET 2: SUITE 4300 CITY: HOUSTON STATE: TX ZIP: 77002 BUSINESS PHONE: (713)584-1000 MAIL ADDRESS: STREET 1: 1000 LOUISIANA STREET 2: SUITE 4300 CITY: HOUSTON STATE: TX ZIP: 77002 10-Q 1 form10q.htm TARGA RESOURCES PARTNERS LP 10-Q 3-31-2014

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 10-Q

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

For the quarterly period ended March 31, 2014

or

o 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: 001-33303

 
TARGA RESOURCES PARTNERS LP
(Exact name of registrant as specified in its charter)

Delaware
 
65-1295427
(State or other jurisdiction of incorporation or organization)
 
(I.R.S. Employer Identification No.)
 
 
 
1000 Louisiana St, Suite 4300, Houston, Texas
 
77002
(Address of principal executive offices)
 
(Zip Code)

(713) 584-1000
(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 þ No o
 
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 (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes þ No o

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 the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

Large accelerated filer þ
Accelerated filer o
Non-accelerated filer o
Smaller reporting company o

(Do not check if a 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 o No þ.
 
As of April 18, 2014, there were 114,296,848 common units and 2,332,590 general partner units outstanding.
 


Table of Contents
 
PART I—FINANCIAL INFORMATION

4
 
4
 
5
 
6
 
7
 
8
 
9
 
24
 
40
 
40
 
PART II—OTHER INFORMATION
 
40
 
40
 
40
 
40
 
40
 
40
 
41
 
SIGNATURES
 
42
CAUTIONARY STATEMENT ABOUT FORWARD-LOOKING STATEMENTS

Targa Resources Partners LP’s (together with its subsidiaries, “we,” “us,” “our,” or “the Partnership”) reports, filings and other public announcements may from time to time contain statements that do not directly or exclusively relate to historical facts. Such statements are “forward-looking statements.” You can typically identify forward-looking by the use of forward-looking statements, such as “may,” “could,” “project,” “believe,” “anticipate,” “expect,” “estimate,” “potential,” “plan,” “forecast” and other similar words.

All statements that are not statements of historical facts, including statements regarding our future financial position, business strategy, budgets, projected costs and plans and objectives of management for future operations, are forward-looking statements.

These forward-looking statements reflect our intentions, plans, expectations, assumptions and beliefs about future events and are subject to risks, uncertainties and other factors, many of which are outside our control. Important factors that could cause actual results to differ materially from the expectations expressed or implied in the forward-looking statements include known and unknown risks. Known risks and uncertainties include, but are not limited to, the risks set forth in “Part II – Other Information, Item 1A. Risk Factors.” of this Quarterly Report on Form 10-Q (“Quarterly Report”) as well as the following risks and uncertainties:

· our ability to access the debt and equity markets, which will depend on general market conditions and the credit ratings for our debt obligations;

· the amount of collateral required to be posted from time to time in our transactions;

· our success in risk management activities, including the use of derivative instruments to hedge commodity risks;

· the level of creditworthiness of counterparties to various transactions;

· changes in laws and regulations, particularly with regard to taxes, safety and protection of the environment;

· the timing and extent of changes in natural gas, natural gas liquids (“NGL”), crude oil and other commodity prices, interest rates and demand for our services;

· weather and other natural phenomena;

· industry changes, including the impact of consolidations and changes in competition;

· our ability to obtain necessary licenses, permits and other approvals;

· the level and success of crude oil and natural gas drilling around our assets, our success in connecting natural gas supplies to our gathering and processing systems, oil supplies to our gathering systems and NGL supplies to our logistics and marketing facilities and our success in connecting our facilities to transportation and markets;

· our ability to grow through acquisitions or internal growth projects and the successful integration and future performance of such assets;

· general economic, market and business conditions; and

· the risks described elsewhere in “Part II – Other Information, Item 1A. Risk Factors.” of this Quarterly Report, our Annual Report on Form 10-K for the year ended December 31, 2013 (“Annual Report”) and our reports and registration statements filed from time to time with the United States Securities and Exchange Commission (“SEC”).
Although we believe that the assumptions underlying our forward-looking statements are reasonable, any of the assumptions could be inaccurate, and, therefore, we cannot assure you that the forward-looking statements included in this Quarterly Report will prove to be accurate. Some of these and other risks and uncertainties that could cause actual results to differ materially from such forward-looking statements are more fully described in “Part II – Other Information, Item 1A. Risk Factors.” in this Quarterly Report and in our Annual Report. Except as may be required by applicable law, we undertake no obligation to publicly update or advise of any change in any forward-looking statement, whether as a result of new information, future events or otherwise.

As generally used in the energy industry and in this Quarterly Report, the identified terms have the following meanings:

Bbl
Barrels (equal to 42 U.S. gallons)
Bcf
Billion cubic feet
Btu
British thermal units, a measure of heating value
BBtu
Billion British thermal units
/d
Per day
/hr
Per hour
gal
U.S. gallons
GPM
Liquid volume equivalent expressed as gallons per 1000 cu. ft. of natural gas
LPG
Liquefied petroleum gas
MBbl
Thousand barrels
MMBbl
Million barrels
MMBtu
Million British thermal units
MMcf
Million cubic feet
NGL(s)
Natural gas liquid(s)
NYMEX
New York Mercantile Exchange
GAAP
Accounting principles generally accepted in the United States of America
LIBOR
London Interbank Offer Rate
NYSE
New York Stock Exchange
 
 
Price Index Definitions
 
IF-NGPL MC
Inside FERC Gas Market Report, Natural Gas Pipeline, Mid-Continent
IF-PB
Inside FERC Gas Market Report, Permian Basin
IF-WAHA
Inside FERC Gas Market Report, West Texas WAHA
NY-WTI
NYMEX, West Texas Intermediate Crude Oil
OPIS-MB
Oil Price Information Service, Mont Belvieu, Texas

PART I – FINANCIAL INFORMATION
 
Item 1. Financial Statements.
 
TARGA RESOURCES PARTNERS LP
CONSOLIDATED BALANCE SHEETS

 
 
March 31,
   
December 31,
 
 
 
2014
   
2013
 
 
 
   
 
 
 
(Unaudited)
 
 
 
(In millions)
 
ASSETS
 
Current assets:
 
   
 
Cash and cash equivalents
 
$
81.4
   
$
57.5
 
Trade receivables, net of allowances of $0.9 million and $0.9 million
   
610.1
     
658.6
 
Inventories
   
88.5
     
150.7
 
Assets from risk management activities
   
1.6
     
2.0
 
Other current assets
   
4.0
     
7.1
 
Total current assets
   
785.6
     
875.9
 
Property, plant and equipment
   
5,930.1
     
5,751.6
 
Accumulated depreciation
   
(1,470.3
)
   
(1,406.2
)
Property, plant and equipment, net
   
4,459.8
     
4,345.4
 
Intangible assets, net
   
638.1
     
653.4
 
Long-term assets from risk management activities
   
2.9
     
3.1
 
Investment in unconsolidated affiliate
   
53.7
     
55.9
 
Other long-term assets
   
36.2
     
37.7
 
Total assets
 
$
5,976.3
   
$
5,971.4
 
 
               
LIABILITIES AND OWNERS' EQUITY
 
Current liabilities:
               
Accounts payable and accrued liabilities
 
$
698.8
   
$
721.2
 
Accounts payable to Targa Resources Corp.
   
41.1
     
52.4
 
Liabilities from risk management activities
   
12.9
     
8.0
 
Total current liabilities
   
752.8
     
781.6
 
Long-term debt
   
2,819.7
     
2,905.3
 
Long-term liabilities from risk management activities
   
1.2
     
1.4
 
Deferred income taxes
   
12.5
     
12.1
 
Other long-term liabilities
   
55.3
     
52.6
 
 
               
Commitments and contingencies (see Note 15)
               
 
               
Owners' equity:
               
Common unitholders (113,494,218 and 111,263,207 units issued and outstanding as of March 31, 2014 and December 31, 2013)
   
2,123.8
     
2,001.9
 
General partner (2,316,210 and 2,270,680 units issued and outstanding as of March 31, 2014 and December 31, 2013)
   
66.4
     
62.0
 
Receivables from unit offerings
   
(7.1
)
   
-
 
Accumulated other comprehensive loss
   
(10.4
)
   
(6.1
)
 
   
2,172.7
     
2,057.8
 
Noncontrolling interests in subsidiaries
   
162.1
     
160.6
 
Total owners' equity
   
2,334.8
     
2,218.4
 
Total liabilities and owners' equity
 
$
5,976.3
   
$
5,971.4
 

See notes to consolidated financial statements.
TARGA RESOURCES PARTNERS LP
CONSOLIDATED STATEMENTS OF OPERATIONS

 
 
Three Months Ended March 31,
 
 
 
2014
   
2013
 
 
 
(Unaudited)
 
 
 
(In millions, except per unit amounts)
 
 
 
   
 
Revenues
 
$
2,352.9
   
$
1,397.8
 
Costs and expenses:
               
Product purchases
   
1,973.3
     
1,137.5
 
Operating expenses
   
104.3
     
86.1
 
Depreciation and amortization expenses
   
79.5
     
63.9
 
General and administrative expenses
   
35.9
     
34.1
 
Other operating income
   
(0.7
)
   
-
 
Income from operations
   
160.6
     
76.2
 
Other income (expense):
               
Interest expense, net
   
(33.1
)
   
(31.4
)
Equity earnings
   
4.9
     
1.6
 
Other
   
-
     
(0.2
)
Income before income taxes
   
132.4
     
46.2
 
Income tax expense:
               
Current
   
(0.7
)
   
(0.5
)
Deferred
   
(0.4
)
   
(0.4
)
 
   
(1.1
)
   
(0.9
)
Net income
   
131.3
     
45.3
 
Less: Net income attributable to noncontrolling interests
   
8.9
     
6.4
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
 
 
               
Net income attributable to general partner
 
$
33.8
   
$
22.8
 
Net income attributable to limited partners
   
88.6
     
16.1
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
 
 
               
Net income per limited partner unit - basic
 
$
0.79
   
$
0.16
 
Net income per limited partner unit - diluted
 
$
0.78
   
$
0.16
 
Weighted average limited partner units outstanding - basic
   
112.4
     
101.8
 
Weighted average limited partner units outstanding - diluted
   
113.0
     
102.0
 

See notes to consolidated financial statements.
TARGA RESOURCES PARTNERS LP
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS)

 
 
Three Months Ended March 31,
 
 
 
2014
   
2013
 
 
 
(Unaudited)
 
 
 
(In millions)
 
 
 
 
Net income
 
$
131.3
   
$
45.3
 
Other comprehensive loss:
               
Commodity hedging contracts:
               
Change in fair value
   
(11.9
)
   
(7.6
)
Settlements reclassified to revenues
   
6.3
     
(6.6
)
Interest rate swaps:
               
Settlements reclassified to interest expense, net
   
1.3
     
1.7
 
Other comprehensive loss
   
(4.3
)
   
(12.5
)
Comprehensive income
   
127.0
     
32.8
 
Less: Comprehensive income attributable to noncontrolling interests
   
8.9
     
6.4
 
Comprehensive income attributable to Targa Resources Partners LP
 
$
118.1
   
$
26.4
 

See notes to consolidated financial statements.
TARGA RESOURCES PARTNERS LP
CONSOLIDATED STATEMENTS OF CHANGES IN OWNERS' EQUITY

 
 
   
   
   
   
   
Accumulated
   
   
 
 
 
Limited
   
General
   
Receivables
   
Other
   
Non-
   
 
 
 
Partner
   
Partner
   
From Unit
   
Comprehensive
   
controlling
   
 
 
 
Units
   
Amount
   
Units
   
Amount
   
Offerings
   
Income (Loss)
   
Interests
   
Total
 
 
 
(Unaudited)
 
 
 
(In millions, except units in thousands)
 
 
 
   
   
   
   
   
   
   
 
Balance December 31, 2013
   
111,263
   
$
2,001.9
     
2,271
   
$
62.0
   
$
-
   
$
(6.1
)
 
$
160.6
   
$
2,218.4
 
Compensation on equity grants
   
9
     
2.6
     
-
     
-
     
-
     
-
     
-
     
2.6
 
Accrual of distribution equivalent rights
   
-
     
(0.6
)
   
-
     
-
     
-
     
-
     
-
     
(0.6
)
Equity Offerings
   
2,222
     
115.3
     
45
     
2.4
     
(7.1
)
   
-
     
-
     
110.6
 
Distributions to noncontrolling interests
   
-
     
-
     
-
     
-
     
-
     
-
     
(7.4
)
   
(7.4
)
Other comprehensive loss
   
-
     
-
     
-
     
-
     
-
     
(4.3
)
   
-
     
(4.3
)
Net income
   
-
     
88.6
     
-
     
33.8
     
-
     
-
     
8.9
     
131.3
 
Distributions
   
-
     
(84.0
)
   
-
     
(31.8
)
   
-
     
-
     
-
     
(115.8
)
Balance March 31, 2014
   
113,494
   
$
2,123.8
     
2,316
   
$
66.4
   
$
(7.1
)
 
$
(10.4
)
 
$
162.1
   
$
2,334.8
 
 
                                                               
Balance December 31, 2012
   
100,096
   
$
1,649.5
     
2,043
   
$
45.3
   
$
-
   
$
14.8
   
$
150.5
   
$
1,860.1
 
Compensation on equity grants
   
13
     
1.7
     
-
     
-
     
-
     
-
     
-
     
1.7
 
Accrual of distribution equivalent rights
   
-
     
(0.3
)
   
-
     
-
     
-
     
-
     
-
     
(0.3
)
Equity offerings
   
2,668
     
105.3
     
54
     
2.3
     
-
     
-
     
-
     
107.6
 
Distributions to noncontrolling interests
   
-
     
-
     
-
     
-
     
-
     
-
     
(3.7
)
   
(3.7
)
Contributions from noncontrolling interests
   
-
     
-
     
-
     
-
     
-
     
-
     
2.1
     
2.1
 
Other comprehensive loss
   
-
     
-
     
-
     
-
     
-
     
(12.5
)
   
-
     
(12.5
)
Net income
   
-
     
16.1
     
-
     
22.8
     
-
     
-
     
6.4
     
45.3
 
Distributions
   
-
     
(69.0
)
   
-
     
(21.9
)
   
-
     
-
     
-
     
(90.9
)
Balance March 31, 2013
   
102,777
   
$
1,703.3
     
2,097
   
$
48.5
   
$
-
   
$
2.3
   
$
155.3
   
$
1,909.4
 

See notes to consolidated financial statements.
TARGA RESOURCES PARTNERS LP
CONSOLIDATED STATEMENTS OF CASH FLOWS

 
 
Three Months Ended March 31,
 
 
 
2014
   
2013
 
 
 
(Unaudited)
 
 
 
(In millions)
 
Cash flows from operating activities
       
Net income
 
$
131.3
   
$
45.3
 
Adjustments to reconcile net income to net cash provided by operating activities:
               
Amortization in interest expense
   
3.4
     
4.0
 
Compensation on equity grants
   
2.6
     
1.7
 
Depreciation and amortization expense
   
79.5
     
63.9
 
Accretion of asset retirement obligations
   
1.2
     
1.1
 
Deferred income tax expense
   
0.4
     
0.4
 
Equity earnings, net of distributions
   
-
     
(1.6
)
Risk management activities
   
(0.3
)
   
(0.2
)
Gain on sale or disposition of assets
   
(0.8
)
   
(0.1
)
Changes in operating assets and liabilities:
               
Receivables and other assets
   
50.6
     
87.9
 
Inventory
   
60.6
     
33.6
 
Accounts payable and other liabilities
   
(12.1
)
   
(45.4
)
Net cash provided by operating activities
   
316.4
     
190.6
 
Cash flows from investing activities
               
Outlays for property, plant and equipment
   
(197.7
)
   
(222.4
)
Purchase of material and supplies
   
0.1
     
-
 
Return of capital from unconsolidated affiliate
   
2.2
     
-
 
Other, net
   
1.7
     
(4.6
)
Net cash used in investing activities
   
(193.7
)
   
(227.0
)
Cash flows from financing activities
               
Proceeds from borrowings under credit facility
   
460.0
     
325.0
 
Repayments of credit facility
   
(500.0
)
   
(380.0
)
Borrowings from accounts receivable securitization facility
   
29.5
     
171.4
 
Repayments of accounts receivable securitization facility
   
(75.7
)
   
(60.0
)
Costs incurred in connection with financing arrangements
   
(1.2
)
   
(3.1
)
Proceeds from equity offerings
   
111.8
     
109.7
 
Distributions
   
(115.8
)
   
(90.9
)
Contributions from noncontrolling interests
   
-
     
2.1
 
Distributions to noncontrolling interests
   
(7.4
)
   
(3.7
)
Net cash provided by (used in) financing activities
   
(98.8
)
   
70.5
 
Net change in cash and cash equivalents
   
23.9
     
34.1
 
Cash and cash equivalents, beginning of period
   
57.5
     
68.0
 
Cash and cash equivalents, end of period
 
$
81.4
   
$
102.1
 

See notes to consolidated financial statements.
TARGA RESOURCES PARTNERS LP
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
(Unaudited)

The year-end condensed balance sheet data was derived from audited financial statements, but does not include all disclosures required by GAAP. Except as noted within the context of each footnote disclosure, the dollar amounts presented in the tabular data within these footnote disclosures are stated in millions of dollars.

Note 1 — Organization and Operations

Our Organization

Targa Resources Partners LP is a publicly traded Delaware limited partnership formed in October 2006 by Targa Resources Corp. (“Targa” or “Parent”). Our common units, which represent limited partner interests in us, are listed on the New York Stock Exchange under the symbol “NGLS.” In this Quarterly Report, unless the context requires otherwise, references to “we,” “us,” “our” or the “Partnership” are intended to mean the business and operations of Targa Resources Partners LP and its consolidated subsidiaries.

Targa Resources GP LLC is a Delaware limited liability company formed by Targa in October 2006 to own a 2% general partner interest in us. Its primary business purpose is to manage our affairs and operations. Targa Resources GP LLC is an indirect wholly owned subsidiary of Targa. As of March 31, 2014, Targa owned a 13.2% interest in us in the form of 2,316,210 general partner units and 12,945,659 common units. In addition, Targa Resources GP LLC also owns incentive distribution rights (“IDRs”), which entitle it to receive increasing cash distributions up to 48% of distributable cash for a quarter.

Allocation of costs

The employees supporting our operations are employed by Targa Resources LLC, a Delaware limited liability company and an indirect wholly owned subsidiary of Targa. Our financial statements include the direct costs of Targa employees deployed to our operating segments, as well as an allocation of costs associated with our usage of Targa centralized general and administrative services.

Our Operations

We are engaged in the business of gathering, compressing, treating, processing and selling natural gas; storing, fractionating, treating, transporting and selling NGLs and NGL products; gathering, storing and terminaling crude oil; and storing, terminaling and selling refined petroleum products. See Note 17 for certain financial information for our business segments.

Note 2 — Basis of Presentation

We have prepared these unaudited consolidated financial statements in accordance with GAAP for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. Accordingly, they do not include all of the information and footnotes required by GAAP for complete financial statements. While we derived the year-end balance sheet data from audited financial statements, this interim report does not include all disclosures required by GAAP for annual periods. These unaudited consolidated financial statements and other information included in this Quarterly Report should be read in conjunction with our consolidated financial statements and notes thereto included in our Annual Report.

The unaudited consolidated financial statements for the three months ended March 31, 2014 and 2013 include all adjustments, which we believe are necessary, for a fair presentation of the results for interim periods. All significant intercompany balances and transactions have been eliminated in consolidation. Certain amounts in prior periods may have been reclassified to conform to the current year presentation.

Our financial results for the three months ended March 31, 2014 are not necessarily indicative of the results that may be expected for the full year.
Reclassifications Affecting Statement of Cash Flows
 
In conjunction with the ongoing integration of Badlands into our financial reporting environment during 2013, we obtained further information about acquisition date balance sheet, including the nature of the items comprising assumed Accounts payable and accrued liabilities. We determined that certain assumed liabilities related to purchases that, under our accounting policies, we considered capital in nature. Consequently, we made certain refinements to better reflect Badlands cash flow activity on a basis similar to that used for our other operations. As a result of these refinements, certain Badlands cash flow activity was presented in our 2013 Form 10-K on a basis different than that utilized for previous quarterly reporting during 2013. In preparing this quarterly report we have made certain measurement period reclassifications to the comparative Statement of Cash Flows for the three months ended March 31, 2013 to conform to the presentation of our Form 10-K, reclassifying $18.9 million related to capital expenditures previously included in Accounts payable and other liabilities of operating activities to Outlays for property, plant and equipment in investing activities, as shown below.

 
Three Months Ended March 31, 2013
 
Revised line items Consolidated Statement of Cash Flows
 
As Reported
   
Reclassification
   
Revised
 
Cash Flows from operating activities
           
Changes in operating assets and liabilities:
           
Accounts payable and other liabilities
 
$
(64.3
)
 
$
18.9
   
$
(45.4
)
Net cash provided by operating activities
   
171.7
     
18.9
     
190.6
 
Cash flows from investing activities:
                       
Changes in investing assets and liabilities:
                       
Outlays for property, plant and equipment
   
(203.5
)
   
(18.9
)
   
(222.4
)
Net cash used in investing activities
   
(208.1
)
   
(18.9
)
   
(227.0
)

Note 3 — Significant Accounting Policies

Accounting Policy Updates/Revisions

The accounting policies that we follow are set forth in Note 3 of the Notes to Consolidated Financial Statements in our Annual Report on Form 10-K for the year ended December 31, 2013. There were no significant updates or revisions to these policies during the three months ended March 31, 2014.

Recent Accounting Pronouncements

In April 2014, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update No 2014-08, Presentation of Financial Statements (Topic 205) and Property, Plant and Equipment (Topic 360): Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity. The amendment, required to be applied prospectively for reporting periods beginning after December 15, 2014, limits discontinued operations reporting to disposals of components of an entity that represent strategic shifts that have, or will have, a major effect on operations and financial results.  The amendment requires expanded disclosures for discontinued operations and also requires additional disclosures regarding disposals of individually significant components that do not qualify as discontinued operations. Early adoption is permitted, but only for disposals (or classifications as held for sale) that have not been reported in financial statements previously issued or available for issuance. This amendment has no impact on our current disclosures, but will in the future if we dispose of any individually significant components.
Note 4 — Inventories

The components of inventories consisted of the following:
 
 
March 31, 2014
   
December 31, 2013
 
Commodities
 
$
74.7
   
$
136.4
 
Materials and supplies
   
13.8
     
14.3
 
 
$
88.5
   
$
150.7
 

Note 5 — Property, Plant and Equipment and Intangible Assets

 
         
Estimated useful life
 
 
 
March 31, 2014
   
December 31, 2013
   
(In Years)
 
Gathering systems
 
$
2,293.6
   
$
2,230.1
   
5 to 20
 
Processing and fractionation facilities
   
1,600.7
     
1,598.0
   
5 to 25
 
Terminaling and storage facilities
   
735.4
     
715.2
   
5 to 25
 
Transportation assets
   
334.7
     
294.7
   
10 to 25
 
Other property, plant and equipment
   
124.8
     
121.3
   
3 to 25
 
Land
   
89.7
     
89.5
   
-
 
Construction in progress
   
751.2
     
702.8
   
-
 
Property, plant and equipment
   
5,930.1
     
5,751.6
       
Accumulated depreciation
   
(1,470.3
)
   
(1,406.2
)
     
Property, plant and equipment, net
 
$
4,459.8
   
$
4,345.4
       
 
                     
Intangible assets
 
$
681.8
   
$
681.8
   
20
 
Accumulated amortization
   
(43.7
)
   
(28.4
)
     
Intangible assets, net
 
$
638.1
   
$
653.4
       

Note 6 — Asset Retirement Obligations

Our asset retirement obligations primarily relate to certain gas gathering pipelines and processing facilities, and are included in our consolidated balance sheets as a component of other long-term liabilities. The changes in our aggregate asset retirement obligations are as follows:

 
Three Months Ended
 
 
March 31, 2014
 
Beginning of period
 
$
50.5
 
Change in cash flow estimate
   
2.1
 
Accretion expense
   
1.2
 
End of period
 
$
53.8
 

Note 7 — Investment in Unconsolidated Affiliate

At March 31, 2014 our unconsolidated investment consisted of a 38.8% ownership interest in Gulf Coast Fractionators LP (“GCF”).

The following table shows the activity related to our investment in GCF:

 
Three Months Ended
 
 
March 31, 2014
 
Beginning of period
 
$
55.9
 
Equity earnings
   
4.9
 
Cash distributions (1)
   
(7.1
)
End of period
 
$
53.7
 
 

(1) Includes distributions in excess of cumulative earnings of $2.2 million that are considered a return of capital and disclosed in cash flows from investing activities in the Consolidated Statements of Cash Flows.
Note 8 Accounts Payable and Accrued Liabilities

The components of accounts payable and accrued liabilities consisted of the following:

 
March 31, 2014
   
December 31, 2013
 
Commodities
 
$
528.1
   
$
520.8
 
Other goods and services
   
108.5
     
145.1
 
Interest
   
42.3
     
35.8
 
Compensation and benefits
   
1.7
     
1.3
 
Income and other taxes
   
12.0
     
11.1
 
Other
   
6.2
     
7.1
 
 
$
698.8
   
$
721.2
 

Note 9 — Debt Obligations

 
March 31, 2014
   
December 31, 2013
 
Senior secured revolving credit facility, variable rate, due October 2017 (1)
 
$
355.0
   
$
395.0
 
Senior unsecured notes, 7⅞% fixed rate, due October 2018
   
250.0
     
250.0
 
Senior unsecured notes, 6% fixed rate, due February 2021
   
483.6
     
483.6
 
Unamortized discount
   
(27.4
)
   
(28.0
)
Senior unsecured notes, 6% fixed rate, due August 2022
   
300.0
     
300.0
 
Senior unsecured notes, 5¼% fixed rate, due May 2023
   
600.0
     
600.0
 
Senior unsecured notes, 4¼% fixed rate, due November 2023
   
625.0
     
625.0
 
Accounts receivable securitization facility, due December 2014 (2)
   
233.5
     
279.7
 
Total long-term debt
 
$
2,819.7
   
$
2,905.3
 
 
               
Letters of credit outstanding (1)
 
$
97.2
   
$
86.8
 
 

(1) As of March 31, 2014, availability under our $1.2 billion senior secured revolving credit facility was $747.8 million.
(2) All amounts outstanding under the Securitization Facility are reflected as long-term debt in our balance sheet because we have the ability and intent to fund the Securitization Facility’s borrowings on a long-term basis.

The following table shows the range of interest rates and weighted average interest rate incurred on our variable-rate debt obligations during the three months ended March 31, 2014:

 
Range of Interest
Rates Incurred
   
Weighted Average
Interest Rate Incurred
 
Senior secured revolving credit facility
   
2.2% - 4.5
%
   
2.3
%
Accounts receivable securitization facility
   
0.9
%
   
0.9
%

Compliance with Debt Covenants

As of March 31, 2014, we were in compliance with the covenants contained in our various debt agreements.

Note 10 — Partnership Units and Related Matters

Public Offerings of Common Units

In the first quarter 2014, we issued 2,222,271 common units under an equity distribution agreement entered into in August 2013 (the “August 2013 EDA”), receiving net proceeds of $115.3 million, of which $5.9 million was received in April. Targa contributed $2.4 million to us to maintain its 2% general partner interest, of which $1.2 million was received in April.

Subsequent Event

In April 2014, we issued 802,630 common units under the August 2013 EDA, receiving net proceeds of $47.7 million. Targa contributed $1.0 million to us to maintain its 2% general partner interest. As of April 18, 2014, approximately $7.4 million of the aggregate offering amount remained available for sale pursuant to the August 2013 EDA.

Distributions

In accordance with the Partnership Agreement, we must distribute all of our available cash, as determined by the general partner, to unitholders of record within 45 days after the end of each quarter. The following table details the distributions declared and/or paid by us for the three months ended March 31, 2014.

 
Distributions
     
Three Months Ended
Date Paid or to be Paid
 
Limited Partners
   
General Partner
       
Distributions per Limited Partner Unit
 
 
Common
   
Incentive
   
2%
   
Total
 
 
(In millions, except per unit amounts)
 
                     
March 31, 2014
May 15, 2014
 
$
87.2
   
$
31.7
   
$
2.4
   
$
121.3
   
$
0.7625
 
December 31, 2013
February 14, 2014
   
84.0
     
29.5
     
2.3
     
115.8
     
0.7475
 

Note 11 — Earnings per Limited Partner Unit

The following table sets forth a reconciliation of net income and weighted average shares outstanding used in computing basic and diluted net income per limited partner:

 
Three Months Ended March 31,
 
 
2014
   
2013
 
Net income
 
$
131.3
   
$
45.3
 
Less: Net income attributable to noncontrolling interests
   
8.9
     
6.4
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
 
 
               
Net income attributable to general partner
 
$
33.8
   
$
22.8
 
Net income attributable to limited partners
   
88.6
     
16.1
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
 
 
               
Weighted average units outstanding - basic
   
112.4
     
101.8
 
 
               
Net income available per limited partner unit - basic
 
$
0.79
   
$
0.16
 
 
               
Weighted average units outstanding
   
112.4
     
101.8
 
Dilutive effect of unvested stock awards
   
0.6
     
0.2
 
Weighted average units outstanding - diluted
   
113.0
     
102.0
 
 
               
Net income available per limited partner unit - diluted
 
$
0.78
   
$
0.16
 

Note 12 — Derivative Instruments and Hedging Activities

Commodity Hedges

The primary purpose of our commodity risk management activities is to manage our exposure to commodity price risk and reduce volatility in our operating cash flow due to fluctuations in commodity prices. We have hedged the commodity prices associated with a portion of our expected (i) natural gas equity volumes in our Field Gathering and Processing segment and (ii) NGL and condensate equity volumes predominately in our Field Gathering and Processing segment and the LOU business unit in our Coastal Gathering and Processing segment that result from its percent-of-proceeds processing arrangements. These hedge positions will move favorably in periods of falling commodity prices and unfavorably in periods of rising commodity prices. We have designated these derivative contracts as cash flow hedges for accounting purposes.

The hedges generally match the NGL product composition and the NGL and natural gas delivery points to those of our physical equity volumes. The NGL hedges may be transacted as specific NGL hedges or as baskets of ethane, propane, normal butane, isobutane and natural gasoline based upon our expected equity NGL composition. We believe this approach avoids uncorrelated risks resulting from employing hedges on crude oil or other petroleum products as “proxy” hedges of NGL prices. Our natural gas and NGL hedges are settled using published index prices for delivery at various locations, which closely approximate our actual natural gas and NGL delivery points.
We hedge a portion of our condensate equity volumes using crude oil hedges that are based on the New York Mercantile Exchange (“NYMEX”) futures contracts for West Texas Intermediate light, sweet crude, which approximates the prices received for condensate. This necessarily exposes us to a market differential risk if the NYMEX futures do not move in exact parity with the sales price of our underlying condensate equity volumes.

At March 31, 2014, the notional volumes of our commodity hedges for equity volumes were:

 Commodity
 Instrument
 Unit
 
2014
   
2015
   
2016
 
Natural Gas
 Swaps
 MMBtu/d
   
54,050
     
40,551
     
25,500
 
NGL
 Swaps
 Bbl/d
   
1,125
     
-
     
-
 
Condensate
 Swaps
 Bbl/d
   
2,450
     
-
     
-
 

We also enter into derivative instruments to help manage other short-term commodity-related business risks. We have not designated these derivatives as hedges, and we record changes in fair value and cash settlements to revenues.

Our derivative contracts are subject to netting arrangements that allow net cash settlement of offsetting asset and liability positions with the same counterparty. We record derivative assets and liabilities on our Consolidated Balance Sheets on a gross basis, without considering the effect of master netting arrangements. The following schedules reflect the fair values of our derivative instruments and their location in our Consolidated Balance Sheets as well as pro forma reporting assuming that we reported derivatives subject to master netting agreements on a net basis:

 
Fair Value as of March 31, 2014
   
Fair Value as of December 31, 2013
 
 Balance Sheet
 
Derivative
   
Derivative
   
Derivative
   
Derivative
 
Location
 
Assets
   
Liabilities
   
Assets
   
Liabilities
 
Derivatives designated as hedging instruments
               
Commodity contracts
Current
 
$
1.6
   
$
(12.8
)
 
$
2.0
   
$
(7.7
)
Long-term
   
2.9
     
(1.2
)
   
3.1
     
(1.4
)
Total derivatives designated as hedging instruments
 
$
4.5
   
$
(14.0
)
 
$
5.1
   
$
(9.1
)
 
                                 
Derivatives not designated as hedging instruments
                               
Commodity contracts
Current
 
$
-
   
$
(0.1
)
 
$
-
   
$
(0.3
)
Total derivatives not designated as hedging instruments
 
$
-
   
$
(0.1
)
 
$
-
   
$
(0.3
)
 
                                 
Total current position
 
$
1.6
   
$
(12.9
)
 
$
2.0
   
$
(8.0
)
Total long-term position
   
2.9
     
(1.2
)
   
3.1
     
(1.4
)
Total derivatives
 
$
4.5
   
$
(14.1
)
 
$
5.1
   
$
(9.4
)

The pro forma impact of reporting derivatives in the Consolidated Balance Sheets is as follows:

 
 
Gross Presentation
   
Pro forma Net Presentation
 
 
 
Asset
   
Liability
   
Asset
   
Liability
 
March 31, 2014
 
Position
   
Position
   
Position
   
Position
 
Current position
               
Counterparties with offsetting position
 
$
1.6
   
$
(3.4
)
 
$
-
   
$
(1.8
)
Counterparties without offsetting position - assets
   
-
     
-
     
-
     
-
 
Counterparties without offsetting position - liabilities
   
-
     
(9.5
)
   
-
     
(9.5
)
 
   
1.6
     
(12.9
)
   
-
     
(11.3
)
Long-term position
                               
Counterparties with offsetting position
   
1.0
     
(0.3
)
   
0.7
     
-
 
Counterparties without offsetting position - assets
   
1.9
     
-
     
1.9
     
-
 
Counterparties without offsetting position - liabilities
   
-
     
(0.9
)
   
-
     
(0.9
)
 
   
2.9
     
(1.2
)
   
2.6
     
(0.9
)
Total derivatives
                               
Counterparties with offsetting position
   
2.6
     
(3.7
)
   
0.7
     
(1.8
)
Counterparties without offsetting position - assets
   
1.9
     
-
     
1.9
     
-
 
Counterparties without offsetting position - liabilities
   
-
     
(10.4
)
   
-
     
(10.4
)
 
 
$
4.5
   
$
(14.1
)
 
$
2.6
   
$
(12.2
)
 
                               
December 31, 2013
                               
Current position
                               
Counterparties with offsetting position
 
$
1.9
   
$
(4.4
)
 
$
-
   
$
(2.5
)
Counterparties without offsetting position - assets
   
0.1
     
-
     
0.1
     
-
 
Counterparties without offsetting position - liabilities
   
-
     
(3.6
)
   
-
     
(3.6
)
 
   
2.0
     
(8.0
)
   
0.1
     
(6.1
)
Long-term position
                               
Counterparties with offsetting position
   
0.7
     
(1.2
)
   
-
     
(0.5
)
Counterparties without offsetting position - assets
   
2.4
     
-
     
2.4
     
-
 
Counterparties without offsetting position - liabilities
   
-
     
(0.2
)
   
-
     
(0.2
)
 
   
3.1
     
(1.4
)
   
2.4
     
(0.7
)
Total derivatives
                               
Counterparties with offsetting position
   
2.6
     
(5.6
)
   
-
     
(3.0
)
Counterparties without offsetting position - assets
   
2.5
     
-
     
2.5
     
-
 
Counterparties without offsetting position - liabilities
   
-
     
(3.8
)
   
-
     
(3.8
)
 
 
$
5.1
   
$
(9.4
)
 
$
2.5
   
$
(6.8
)

The fair value of our derivative instruments, depending on the type of instrument, was determined by the use of present value methods or standard option valuation models with assumptions about commodity prices based on those observed in underlying markets.

The estimated fair value of our derivative instruments was a net liability of $9.6 million as of March 31, 2014. The estimated fair value is net of an adjustment for credit risk based on the default probabilities by year as indicated by market quotes for the counterparties’ credit default swap rates. The credit risk adjustment was immaterial for all periods presented.

Our payment obligations in connection with substantially all of these hedging transactions are secured by a first priority lien in the collateral securing our senior secured indebtedness that ranks equal in right of payment with liens granted in favor of our senior secured lenders.

The following tables reflect amounts recorded in OCI and amounts reclassified from OCI to revenue and expense for the periods indicated:

 
Gain (Loss) Recognized in OCI on Derivatives
(Effective Portion)
 
Derivatives in Cash Flow Hedging Relationships
 
Three Months Ended March 31,
 
 
2014
   
2013
 
Commodity contracts
 
$
(11.9
)
 
$
(7.6
)

 
Gain (Loss) Reclassified from OCI into Income
(Effective Portion)
 
Location of Gain (Loss)
 
Three Months Ended March 31,
 
 
2014
   
2013
 
Interest expense, net
 
$
(1.3
)
 
$
(1.7
)
Revenues
   
(6.3
)
   
6.6
 
 
$
(7.6
)
 
$
4.9
 

Hedge ineffectiveness was immaterial for all periods presented.

Our consolidated earnings are also affected by our use of the mark-to-market method of accounting for derivative instruments that do not qualify for hedge accounting or that have not been designated as hedges. The changes in fair value of these instruments are recorded on the balance sheet and through earnings (i.e., using the “mark-to-market” method) rather than being deferred until the anticipated transaction settles. The use of mark-to-market accounting for financial instruments can cause non-cash earnings volatility due to changes in the underlying commodity price indices. Gain (loss) recognized on commodity derivatives not designated as hedging instruments was immaterial for all periods presented.

The following table shows the deferred gains (losses) included in accumulated OCI that will be reclassified into earnings through the end of 2016:

 
March 31, 2014
   
December 31, 2013
 
Commodity hedges
 
$
(9.4
)
 
$
(3.7
)
Interest rate hedges
   
(1.1
)
   
(2.4
)

As of March 31, 2014, net losses of $11.0 million on commodity hedges and net losses of $1.1 million on terminated interest rate swaps recorded in OCI are expected to be reclassified to revenue and interest expense during the next twelve months.

See Note 13 for additional disclosures related to derivative instruments and hedging activities.

Note 13 — Fair Value Measurements

Under GAAP, our Consolidated Balance Sheets reflect a mixture of measurement methods for financial assets and liabilities (“financial instruments”). Derivative financial instruments are reported at fair value in our Consolidated Balance Sheets. Other financial instruments are reported at historical cost or amortized cost in our Consolidated Balance Sheets, with fair value measurements for these instruments provided as supplemental information.

The following are additional qualitative and quantitative disclosures regarding fair value measurements of financial instruments.

Fair Value of Derivative Financial Instruments

Our derivative instruments consist of financially settled commodity swaps and option contracts and fixed-price commodity contracts with certain counterparties. We determine the fair value of our derivative contracts using a discounted cash flow model for swaps and a standard option-pricing model for options, based on inputs that are readily available in public markets. We have consistently applied these valuation techniques in all periods presented and believe we have obtained the most accurate information available for the types of derivative contracts we hold.

The fair values of our derivative instruments are sensitive to changes in forward pricing on natural gas, NGLs and crude oil. This financial position reflects the present value, adjusted for counterparty credit risk, of the amount we expect to receive or pay in the future on our derivative contracts. If forward pricing on natural gas, NGLs and crude oil were to increase by 10%, the result would be a fair value reflecting a net liability of $33.1 million, ignoring an adjustment for counterparty credit risk. If forward pricing on natural gas, NGLs and crude oil were to decrease by 10%, the result would be a fair value reflecting a net asset of $13.8 million, ignoring an adjustment for counterparty credit risk.

Fair Value of Other Financial Instruments

The contingent consideration obligation related to our Badlands acquisition is reported at fair value. Due to their cash or near-cash nature, the carrying value of other financial instruments included in working capital (i.e., cash and cash equivalents, accounts receivable, accounts payable) approximates their fair value. As such, long-term debt is primarily the other financial instrument for which our carrying value could vary significantly from fair value. We determined the supplemental fair value disclosures for our long-term debt as follows:

· Senior secured revolving credit facility and accounts receivable securitization facility are based on carrying value, which approximates fair value as its interest rate is based on prevailing market rates; and

· Senior unsecured notes are based on quoted market prices derived from trades of the debt.

Fair Value Hierarchy

We categorize the inputs to the fair value measurements of financial assets and liabilities using a three-tier fair value hierarchy that prioritizes the significant inputs used in measuring fair value:

· Level 1 – observable inputs such as quoted prices in active markets;

· Level 2 – inputs other than quoted prices in active markets that we can directly or indirectly observe to the extent that the markets are liquid for the relevant settlement periods; and

· Level 3 – unobservable inputs in which little or no market data exists, therefore we must develop our own assumptions.

The following table shows a breakdown by fair value hierarchy category for (1) financial instruments measurements included in our Consolidated Balance Sheets at fair value and (2) supplemental fair value disclosures for other financial instruments:

 
March 31, 2014
 
 
Carrying
Value
   
Fair Value
 
 
Total
   
Level 1
   
Level 2
   
Level 3
 
Financial Instruments Recorded on Our Consolidated Balance Sheets at Fair Value:
                   
Assets from commodity derivative contracts (1)
 
$
3.9
   
$
3.9
   
$
-
   
$
2.6
   
$
1.3
 
Liabilities from commodity derivative contracts (1)
   
13.5
     
13.5
     
-
     
12.0
     
1.5
 
Badlands contingent consideration liability
   
-
     
-
     
-
     
-
     
-
 
Financial Instruments Recorded on Our Consolidated Balance Sheets at Carrying Value:
                                       
Cash and cash equivalents
   
81.4
     
81.4
     
-
     
-
     
-
 
Senior secured revolving credit facility
   
355.0
     
355.0
     
-
     
355.0
     
-
 
Senior unsecured notes
   
2,231.2
     
2,284.0
     
-
     
2,284.0
     
-
 
Accounts receivable securitization facility
   
233.5
     
233.5
     
-
     
233.5
     
-
 
 

(1) The fair value of our derivative contracts in this table is presented on a different basis than the balance sheet presentation as disclosed in Note 12. The above fair values reflect the total value of each derivative contract taken as a whole, whereas the balance sheet presentation is based on the individual maturity dates of estimated future settlements.  As such, an individual contract could have both an asset and liability position when segregated into its current and long-term portions for balance sheet classification purposes.

Additional Information Regarding Level 3 Fair Value Measurements Included in Our Consolidated Balance Sheets

As of March 31, 2014, we reported certain of our natural gas basis swaps at fair value using Level 3 inputs due to such derivatives not having observable market prices for substantially the full term of the derivative asset or liability. For valuations that include both observable and unobservable inputs, if the unobservable input is determined to be significant to the overall inputs, the entire valuation is categorized in Level 3. This includes derivatives valued using indicative price quotations whose contract length extends into unobservable periods.

The fair value of these natural gas basis swaps is determined using a discounted cash flow valuation technique based on a forward commodity basis curve. For these derivatives, the primary input to the valuation model is the forward commodity basis curve, which is based on observable or public data sources and extrapolated when observable prices are not available.

As of March 31, 2014, we had fourteen natural gas basis swaps categorized as Level 3. The significant unobservable inputs used in the fair value measurements of our Level 3 derivatives are the forward natural gas basis curves, for which a significant portion of the derivative’s term is beyond available forward pricing. The change in the fair value of Level 3 derivatives associated with a 10% change in the forward basis curve where prices are not observable is immaterial.

The following table summarizes the changes in fair value of our financial instruments classified as Level 3 in the fair value hierarchy:
 
 
 
Commodity Derivative
Contracts Asset /(Liability)
 
Balance, December 31, 2013
  $
0.7
 
Settlements included in Revenue
   
(0.9
)
Balance, March 31, 2014
 
$
(0.2
)

There has been no material transfer of assets or liabilities among the three levels of the fair value hierarchy during the three months ended March 31, 2014.
Note 14 — Related Party Transactions

Targa Resources Corp.

We do not have any employees. Targa provides operational, general and administrative and other services to us, associated with our existing assets and assets acquired from third parties. Targa performs centralized corporate functions for us, such as legal, accounting, treasury, insurance, risk management, health, safety and environmental, information technology, human resources, credit, payroll, internal audit, taxes, engineering and marketing.

The Partnership Agreement between Targa and us, with Targa as the general partner of the Partnership, governs the reimbursement of costs incurred by Targa on behalf of us. Targa charges us for all the direct costs of the employees assigned to our operations, as well as all general and administrative support costs other than (1) costs attributable to Targa’s status as a separate reporting company and (2) costs of Targa providing management and support services to certain unaffiliated spun-off entities. We generally reimburse Targa monthly for cost allocations to the extent that Targa has made a cash outlay.

The following table summarizes transactions with Targa. Management believes these transactions are executed on terms that are fair and reasonable.

 
Three Months Ended March 31,
 
 
2014
   
2013
 
Parent billings of payroll and related costs included in operating expense
 
$
29.9
   
$
26.5
 
Parent allocation of general & administrative expense
   
33.4
     
32.6
 
Cash distributions to Targa based on unit ownership
   
41.5
     
30.7
 
Contributions from Targa
   
2.4
     
2.3
 

Note 15 Commitments and Contingencies
 
Legal Proceedings

We are a party to various legal proceedings and/or regulatory proceedings and certain claims, suits and complaints arising in the ordinary course of business that have been filed or are pending against us. We believe all such matters are without merit or involve amounts which, if resolved unfavorably, would not have a material effect on our financial position, results of operations or cash flows.

Note 16 — Supplemental Cash Flow Information

 
Three Months Ended March 31,
 
 
2014
   
2013
 
Cash:
       
Interest paid, net of capitalized interest (1)
 
$
23.0
   
$
31.4
 
Income taxes paid, net of refunds
   
(0.2
)
   
-
 
Non-cash:
               
Deadstock inventory transferred to property, plant and equipment
   
1.1
     
4.5
 
Accrued distribution equivalent rights
   
0.6
     
0.3
 
Changes in receivables from unit offerings
   
7.1
     
-
 
Change in capital accruals
   
22.7
     
15.5
 
Transfers from materials and supplies inventory to property, plant and equipment
   
0.4
     
-
 
Change in ARO cash flow estimate
   
2.1
     
0.2
 
 

(1) Interest capitalized on major projects was $6.9 million and $6.1 million for the three months ended March 31, 2014 and 2013.
 
Note 17 — Segment Information

We report our operations in two divisions: (i) Gathering and Processing, consisting of two reportable segments – (a) Field Gathering and Processing and (b) Coastal Gathering and Processing; and (ii) Logistics and Marketing consisting of two reportable segments – (a) Logistics Assets and (b) Marketing and Distribution. The financial results of our hedging activities are reported in Other.

Our Gathering and Processing division includes assets used in the gathering of natural gas produced from oil and gas wells and processing this raw natural gas into merchantable natural gas by extracting NGLs and removing impurities; and assets used for crude oil gathering and terminaling. The Field Gathering and Processing segment's assets are located in North Texas, the Permian Basin of West Texas, New Mexico and in North Dakota. The Coastal Gathering and Processing segment's assets are located in the onshore and near offshore regions of the Louisiana Gulf Coast and the Gulf of Mexico.

Our Logistics and Marketing division is also referred to as our Downstream Business. Our Downstream Business includes all the activities necessary to convert mixed NGLs into NGL products and provides certain value added services such as storing, terminaling, distributing and marketing of NGLs, refined petroleum products and crude oil. It also includes certain natural gas supply and marketing activities in support of our other operations, including services to LPG exporters, as well as transporting natural gas and NGLs.

Our Logistics Assets segment is involved in transporting, storing, and fractionating mixed NGLs; storing, terminaling, and transporting finished NGLs, including services for exported LPGs; and storing and terminaling refined petroleum products. These assets are generally connected to and supplied in part by our Gathering and Processing segments and are predominantly located in Mont Belvieu, and Galena Park, Texas and Lake Charles, Louisiana.

Our Marketing and Distribution segment covers activities required to distribute and market raw and finished NGLs and all natural gas marketing activities. It includes (1) marketing our own NGL production and purchasing NGL products for resale in selected United States markets; (2) providing LPG balancing services to refinery customers; (3) transporting, storing and selling propane and providing related propane logistics services to multi-state retailers, independent retailers and other end-users; (4) providing propane, butane and services to LPG exporters; and (5) marketing natural gas available to us from our Gathering and Processing division and the purchase and resale and other value added activities related to third-party natural gas in selected United States markets.

Other contains the results of our commodity hedging activities included in operating margin. Eliminations of inter-segment transactions are reflected in the corporate and eliminations column.

Our reportable segment information is shown in the following tables:

 
Three Months Ended March 31, 2014
 
 
Field
   
Coastal
                     
 
Gathering
   
Gathering
       
Marketing
       
Corporate
     
 
and
   
and
   
Logistics
   
and
       
and
     
 
Processing
   
Processing
   
Assets
   
Distribution
   
Other
   
Eliminations
   
Total
 
Revenues
                           
Sales of commodities
 
$
45.8
   
$
100.5
   
$
21.0
   
$
1,983.7
   
$
(6.1
)
 
$
(0.1
)
 
$
2,144.8
 
Fees from midstream services
   
40.8
     
7.7
     
68.1
     
91.3
     
-
     
0.2
     
208.1
 
 
   
86.6
     
108.2
     
89.1
     
2,075.0
     
(6.1
)
   
0.1
     
2,352.9
 
Intersegment revenues
                                                       
Sales of commodities
   
400.4
     
177.0
     
0.6
     
130.4
     
-
     
(708.4
)
   
-
 
Fees from midstream services
   
1.1
     
-
     
66.2
     
7.9
     
-
     
(75.2
)
   
-
 
 
   
401.5
     
177.0
     
66.8
     
138.3
     
-
     
(783.6
)
   
-
 
Revenues
 
$
488.1
   
$
285.2
   
$
155.9
   
$
2,213.3
   
$
(6.1
)
 
$
(783.5
)
 
$
2,352.9
 
Operating margin
 
$
94.1
   
$
26.1
   
$
96.6
   
$
64.6
   
$
(6.1
)
 
$
-
   
$
275.3
 
Other financial information:
                                                       
Total assets
 
$
3,275.1
   
$
385.1
   
$
1,568.7
   
$
614.1
   
$
4.5
   
$
128.8
   
$
5,976.3
 
Capital expenditures
 
$
98.9
   
$
4.3
   
$
68.6
   
$
3.1
   
$
-
   
$
0.5
   
$
175.4
 

 
 
Three Months Ended March 31, 2013
 
 
 
Field
   
Coastal
                     
 
 
Gathering
   
Gathering
       
Marketing
       
Corporate
     
 
 
and
   
and
   
Logistics
   
and
       
and
     
 
 
Processing
   
Processing
   
Assets
   
Distribution
   
Other
   
Eliminations
   
Total
 
Revenues
                           
Sales of commodities
 
$
38.1
   
$
69.6
   
$
32.9
   
$
1,136.5
   
$
6.6
   
$
-
   
$
1,283.7
 
Fees from midstream services
   
20.2
     
8.8
     
47.1
     
38.0
     
-
     
-
     
114.1
 
 
   
58.3
     
78.4
     
80.0
     
1,174.5
     
6.6
     
-
     
1,397.8
 
Intersegment revenues
                                                       
Sales of commodities
   
273.0
     
151.9
     
0.9
     
110.5
     
-
     
(536.3
)
   
-
 
Fees from midstream services
   
0.9
     
-
     
36.6
     
6.4
     
-
     
(43.9
)
   
-
 
 
   
273.9
     
151.9
     
37.5
     
116.9
     
-
     
(580.2
)
   
-
 
Revenues
 
$
332.2
   
$
230.3
   
$
117.5
   
$
1,291.4
   
$
6.6
   
$
(580.2
)
 
$
1,397.8
 
Operating margin
 
$
53.8
   
$
23.5
   
$
56.3
   
$
34.0
   
$
6.6
   
$
-
   
$
174.2
 
Other financial information:
                                                       
Total assets
 
$
2,854.7
   
$
416.3
   
$
1,210.7
   
$
436.9
   
$
21.4
   
$
134.2
   
$
5,074.2
 
Capital expenditures
 
$
96.1
   
$
6.5
   
$
103.7
   
$
-
   
$
-
   
$
0.6
   
$
206.9
 
The following table shows our consolidated revenues by product and service for the periods presented:

 
Three Months Ended March 31,
 
 
2014
   
2013
 
Sales of commodities
       
Natural gas
 
$
392.6
   
$
255.3
 
NGL
   
1,710.6
     
963.5
 
Condensate
   
28.4
     
27.1
 
Petroleum products
   
20.1
     
31.3
 
Derivative activities
   
(6.9
)
   
6.5
 
 
   
2,144.8
     
1,283.7
 
Fees from midstream services
               
Fractionating and treating
   
46.5
     
27.2
 
Storage, terminaling, transportation and export
   
99.6
     
60.2
 
Gathering and processing
   
42.6
     
18.5
 
Other
   
19.4
     
8.2
 
 
   
208.1
     
114.1
 
Total revenues
 
$
2,352.9
   
$
1,397.8
 

The following table shows a reconciliation of operating margin to net income for the periods presented:

 
Three Months Ended March 31,
 
 
2014
   
2013
 
Reconciliation of operating margin to net income:
       
Operating margin
 
$
275.3
   
$
174.2
 
Depreciation and amortization expense
   
(79.5
)
   
(63.9
)
General and administrative expense
   
(35.9
)
   
(34.1
)
Interest expense, net
   
(33.1
)
   
(31.4
)
Other, net
   
5.6
     
1.4
 
Income tax expense
   
(1.1
)
   
(0.9
)
Net income
 
$
131.3
   
$
45.3
 

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

The following discussion and analysis of our financial condition and results of operations should be read in conjunction with Management’s Discussion and Analysis of Financial Condition and Results of Operations contained in our Annual Report on Form 10-K for the year ended December 31, 2013 (“Annual Report”), as well as the unaudited consolidated financial statements and Notes hereto included in this Quarterly Report on Form 10-Q.

Overview

Targa Resources Partners LP is a publicly traded Delaware limited partnership formed in October 2006 by Targa Resources Corp. (“Targa” or “Parent”). Our common units are listed on the NYSE under the symbol “NGLS.” In this Quarterly Report, unless the context requires otherwise, references to “we,” “us,” “our,” or “the Partnership” are intended to mean the business and operations of Targa Resources Partners LP and its consolidated subsidiaries.

Targa Resources GP LLC (the “general partner”) is a Delaware limited liability company formed by Targa in October 2006 to own a 2% general partner interest in us. Its primary business purpose is to manage our affairs and operations. Targa Resources GP LLC is an indirect wholly owned subsidiary of Targa.

Our Operations

We are a leading provider of midstream natural gas and NGLs service, with a growing presence in crude oil gathering and petroleum terminaling in the United States. In connection with these business activities, we buy and sell natural gas, NGLs and NGL products, crude oil, condensate and refined products.

We are engaged in the business of:

· gathering, compressing, treating, processing and selling natural gas;

· storing, fractionating, treating, transporting and selling NGLs and NGL products, including services to LPG exporters;

· gathering, storing and terminaling crude oil; and

· storing, terminaling and selling refined petroleum products.

We report our operations in two divisions: (i) Gathering and Processing, consisting of two reportable segments – (a) Field Gathering and Processing and (b) Coastal Gathering and Processing; and (ii) Logistics and Marketing consisting of two reportable segments – (a) Logistics Assets and (b) Marketing and Distribution. The financial results of our hedging activities are reported in Other.

Our Gathering and Processing division includes assets used in the gathering of natural gas produced from oil and gas wells and processing this raw natural gas into merchantable natural gas by extracting NGLs and removing impurities; and assets used for crude oil gathering and terminaling. The Field Gathering and Processing segment's assets are located in North Texas, the Permian Basin of West Texas and New Mexico and in North Dakota. The Coastal Gathering and Processing segment's assets are located in the onshore and near offshore regions of the Louisiana Gulf Coast and the Gulf of Mexico.

Our Logistics and Marketing division is also referred to as our Downstream Business. Our Downstream Business includes all the activities necessary to convert mixed NGLs into NGL products and provides certain value added services such as storing, terminaling, distributing and marketing of NGLs, the storage and terminaling of refined petroleum products and crude oil and certain natural gas supply and marketing activities in support of our other businesses including services to LPG exporters.  It also includes certain natural gas supply and marketing activities in support of our other operations, as well as transporting natural gas and NGLs.

Our Logistics Assets segment is involved in transporting, storing, and fractionating mixed NGLs; storing, terminaling, and transporting finished NGLs, including services for exporting LPGs; and storing and terminaling of refined petroleum products. These assets are generally connected to and supplied in part by our Gathering and Processing segments and are predominantly located in Mont Belvieu and Galena Park, Texas and in Lake Charles, Louisiana.
Our Marketing and Distribution segment covers activities required to distribute and market raw and finished NGLs and all natural gas marketing activities. It includes (1) marketing our own NGL production and purchasing NGL products for resale in selected United States markets; (2) providing LPG balancing services to refinery customers; (3) transporting, storing and selling propane and providing related propane logistics services to multi-state retailers, independent retailers and other end-users; (4) providing propane, butane and services to LPG exporters; and (5) marketing natural gas available to us from our Gathering and Processing division and the purchase and resale and other value added activities related to third-party natural gas in selected United States markets.

Other contains the results of our commodity hedging activities included in operating margin.

2014 Year-to-Date Developments

Financing Activities

During 2014, pursuant to the August 2013 EDA, we issued a total of 3,024,901 common units representing total net proceeds of $163.0 million, which were used to reduce borrowings under the TRP Revolver and for general partnership purposes. Targa contributed $3.4 million to maintain its 2% general partner interest during this period.

How We Evaluate Our Operations

Our profitability is a function of the difference between: (i) the revenues we receive from our operations, including fee-based revenues from services and revenues from the natural gas, NGLs, crude and condensate we sell, and (ii) the costs associated with conducting our operations, including the costs of wellhead natural gas, crude and mixed NGLs that we purchase as well as operating, general and administrative costs and the impact of our commodity hedging activities. Because commodity price movements tend to impact both revenues and costs, increases or decreases in our revenues alone are not necessarily indicative of increases or decreases in our profitability. Our contract portfolio, the prevailing pricing environment for crude oil, natural gas and NGLs and the volumes of crude oil, natural gas and NGL throughput on our systems are important factors in determining our profitability. Our profitability is also affected by the NGL content in gathered wellhead natural gas, supply and demand for our products and services, utilization of our assets and changes in our customer mix.

Our profitability is also impacted by fee-based revenues. Our growth strategy, based on expansion of existing facilities as well as third-party acquisitions of businesses and assets, has been increasing the percentage of our revenues that are fee-based. Fixed fees for services such as fractionation, storage, terminaling and crude oil gathering are not directly tied to changes in market prices for commodities.

Management uses a variety of financial measures and operational measurements to analyze our performance. These include: (1) throughput volumes, facility efficiencies and fuel consumption, (2) operating expenses, (3) capital expenditures and (4) the following non-GAAP measures: — gross margin, operating margin, adjusted EBITDA and distributable cash flow.

Throughput Volumes, Facility Efficiencies and Fuel Consumption

Our profitability is impacted by our ability to add new sources of natural gas supply and crude oil supply to offset the natural decline of existing volumes from oil and natural gas wells that are connected to our gathering and processing systems. This is achieved by connecting new wells and adding new volumes in existing areas of production, as well as by capturing crude oil and natural gas supplies currently gathered by third-parties. Similarly, our profitability is impacted by our ability to add new sources of mixed NGL supply, typically connected by third-party transportation, to our Downstream Business’ fractionation facilities. We fractionate NGLs generated by our gathering and processing plants, as well as by contracting for mixed NGL supply from third-party facilities.

In addition, we seek to increase operating margin by limiting volume losses, reducing fuel consumption and by increasing efficiency. With our gathering systems’ extensive use of remote monitoring capabilities, we monitor the volumes received at the wellhead or central delivery points along our gathering systems, the volume of natural gas received at our processing plant inlets and the volumes of NGLs and residue natural gas recovered by our processing plants. We also monitor the volumes of NGLs received, stored, fractionated and delivered across our logistics assets. This information is tracked through our processing plants and Downstream Business facilities to determine customer settlements for sales and volume related fees for service and helps us increase efficiency and reduce fuel consumption.
As part of monitoring the efficiency of our operations, we measure the difference between the volume of natural gas received at the wellhead or central delivery points on our gathering systems and the volume received at the inlet of our processing plants as an indicator of fuel consumption and line loss. We also track the difference between the volume of natural gas received at the inlet of the processing plant and the NGLs and residue gas produced at the outlet of such plant to monitor the fuel consumption and recoveries of our facilities. Similar tracking is performed for our crude oil gathering and logistics assets. These volume, recovery and fuel consumption measurements are an important part of our operational efficiency analysis and safety programs.

Operating Expenses

Operating expenses are costs associated with the operation of specific assets. Labor, contract services, repair and maintenance, utilities and ad valorem taxes comprise the most significant portion of our operating expenses. These expenses, other than fuel and power, generally remain relatively stable and independent of the volumes through our systems, but fluctuate depending on the scope of the activities performed during a specific period.

Capital Expenditures

Capital projects associated with growth and maintenance projects are closely monitored. Return on investment is analyzed before a capital project is approved, spending is closely monitored throughout the development of the project, and the subsequent operational performance is compared to the assumptions used in the economic analysis performed for the capital investment approval. We have seen a substantial increase in our total capital spent since 2010 and currently have significant internal growth projects that we closely monitor.

Gross Margin

We define gross margin as revenues less purchases. It is impacted by volumes and commodity prices as well as by our contract mix and commodity hedging program. We define Gathering and Processing gross margin as total operating revenues from (1) the sale of natural gas, condensate, crude and NGLs (2) natural gas and crude oil gathering and service fee revenues and (3) settlement gains and losses on commodity hedges, less product purchases, which consist primarily of producer payments and other natural gas and crude purchases. Logistics Assets gross margin consists primarily of service fee revenue. Gross margin for Marketing and Distribution equals total revenue from service fees, NGL and natural gas sales, less cost of sales, which consists primarily of NGL and natural gas purchases, transportation costs and changes in inventory valuation. The gross margin impacts of cash flow hedge settlements are reported in Other.

Operating Margin

We define operating margin as gross margin less operating expenses. Operating margin is an important performance measure of the core profitability of our operations.

Management reviews business segment gross margin and operating margin monthly as a core internal management process. We believe that investors benefit from having access to the same financial measures that our management uses in evaluating our operating results. Gross margin and operating margin provide useful information to investors because they are used as supplemental financial measures by us and by external users of our financial statements, including investors and commercial banks, to assess:

· the financial performance of our assets without regard to financing methods, capital structure or historical cost basis;

· our operating performance and return on capital as compared to other companies in the midstream energy sector, without regard to financing or capital structure; and

· the viability of acquisitions and capital expenditure projects and the overall rates of return on alternative investment opportunities.
Gross margin and operating margin are non-GAAP measures. The GAAP measure most directly comparable to gross margin and operating margin is net income. Gross margin and operating margin are not alternatives to GAAP net income and have important limitations as analytical tools. Investors should not consider gross margin and operating margin in isolation or as a substitute for analysis of our results as reported under GAAP. Because gross margin and operating margin exclude some, but not all, items that affect net income and are defined differently by different companies in our industry, our definitions of gross margin and operating margin may not be comparable to similarly titled measures of other companies, thereby diminishing their utility.

Management compensates for the limitations of gross margin and operating margin as analytical tools by reviewing the comparable GAAP measures, understanding the differences between the measures and incorporating these insights into its decision-making processes.

Adjusted EBITDA

We define Adjusted EBITDA as net income attributable to Targa Resources Partners LP before: interest; income taxes; depreciation and amortization; gains or losses on debt repurchases and redemptions, early debt extinguishments and asset disposals; non-cash risk management activities related to derivative instruments; changes in the fair value of the Badlands acquisition contingent consideration and the non-controlling interest portion of depreciation and amortization expenses. Adjusted EBITDA is used as a supplemental financial measure by us and by external users of our financial statements such as investors, commercial banks and others. The economic substance behind our use of Adjusted EBITDA is to measure the ability of our assets to generate cash sufficient to pay interest costs, support our indebtedness and make distributions to our investors.

Adjusted EBITDA is a non-GAAP financial measure. The GAAP measures most directly comparable to Adjusted EBITDA are net cash provided by operating activities and net income attributable to Targa Resources Partners LP. Adjusted EBITDA should not be considered as an alternative to GAAP net cash provided by operating activities or GAAP net income. Adjusted EBITDA has important limitations as an analytical tool. Investors should not consider Adjusted EBITDA in isolation or as a substitute for analysis of our results as reported under GAAP. Because Adjusted EBITDA excludes some, but not all, items that affect net income and net cash provided by operating activities and is defined differently by different companies in our industry, our definition of Adjusted EBITDA may not be comparable to similarly titled measures of other companies, thereby diminishing its utility.

Management compensates for the limitations of Adjusted EBITDA as an analytical tool by reviewing the comparable GAAP measures, understanding the differences between the measures and incorporating these insights into its decision-making processes.

Distributable Cash Flow

We define distributable cash flow as net income attributable to Targa Resources Partners LP plus depreciation and amortization, deferred taxes and amortization of debt issue costs included in interest expense, adjusted for non-cash risk management activities related to derivative instruments, debt repurchases and redemptions, early debt extinguishments and asset disposals, less maintenance capital expenditures (net of any reimbursements of project costs), and changes in the fair value of the Badlands acquisition contingent consideration. This measure includes any impact of noncontrolling interests.

Distributable cash flow is a significant performance metric used by us and by external users of our financial statements, such as investors, commercial banks and research analysts, to compare basic cash flows generated by us (prior to the establishment of any retained cash reserves by the board of directors of our general partner) to the cash distributions we expect to pay our unitholders. Using this metric, management and external users of our financial statements can quickly compute the coverage ratio of estimated cash flows to cash distributions. Distributable cash flow is also an important financial measure for our unitholders 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 flow at a level that can sustain or support an increase in our quarterly distribution rates. Distributable cash flow is also a quantitative standard used throughout the investment community with respect to publicly-traded partnerships and limited liability companies because the value of a unit of such an entity is generally determined by the unit’s yield (which in turn is based on the amount of cash distributions the entity pays to a unitholder).
Distributable cash flow is a non-GAAP financial measure. The GAAP measure most directly comparable to distributable cash flow is net income attributable to Targa Resources Partners LP. Distributable cash flow should not be considered as an alternative to GAAP net income attributable to Targa Resources Partners LP. It has important limitations as an analytical tool. Investors should not consider distributable cash flow in isolation or as a substitute for analysis of our results as reported under GAAP. Because distributable cash flow excludes some, but not all, items that affect net income and is defined differently by different companies in our industry, our definition of distributable cash flow may not be comparable to similarly titled measures of other companies, thereby diminishing its utility.

Management compensates for the limitations of distributable cash flow as an analytical tool by reviewing the comparable GAAP measure, understanding the differences between the measures and incorporating these insights into its decision-making processes.

Non-GAAP Financial Measures

The following tables reconcile the non-GAAP financial measures used by management to the most directly comparable GAAP measures for the periods indicated:

 
Three Months Ended March 31,
 
 
2014
   
2013
 
 
(In millions)
 
Reconciliation of Targa Resources Partners LP gross margin and operating margin to net income:
       
Gross margin
 
$
379.6
   
$
260.3
 
Operating expenses
   
(104.3
)
   
(86.1
)
Operating margin
   
275.3
     
174.2
 
Depreciation and amortization expenses
   
(79.5
)
   
(63.9
)
General and administrative expenses
   
(35.9
)
   
(34.1
)
Interest expense, net
   
(33.1
)
   
(31.4
)
Income tax expense
   
(1.1
)
   
(0.9
)
Gain on sale or disposition of assets
   
0.8
     
0.1
 
Change in contingent consideration
   
-
     
(0.3
)
Other, net
   
4.8
     
1.6
 
Targa Resources Partners LP net income
 
$
131.3
   
$
45.3
 

 
Three Months Ended March 31,
 
 
2014
   
2013
 
 
(In millions)
 
Reconciliation of net cash provided by Targa Resources Partners LP operating activities to Adjusted EBITDA:
       
Net cash provided by operating activities
 
$
316.4
   
$
190.6
 
Net income attributable to noncontrolling interests
   
(8.9
)
   
(6.4
)
Interest expense, net (1)
   
29.7
     
27.4
 
Change in contingent consideration
   
-
     
0.3
 
Current income tax expense
   
0.7
     
0.5
 
Other (2)
   
(7.2
)
   
(3.8
)
Changes in operating assets and liabilities which used (provided) cash:
               
Accounts receivable and other assets
   
(111.2
)
   
(121.5
)
Accounts payable and other liabilities
   
12.1
     
45.1
 
Targa Resources Partners LP Adjusted EBITDA
 
$
231.6
   
$
132.2
 
 

(1) Net of amortization of debt issuance costs, discount and premium included in interest expense of $3.4 million and $4.0 million for three months ended March 31, 2014 and 2013.
(2) Includes equity earnings from unconsolidated investments – net of distributions, accretion expense associated with asset retirement obligations, amortization of stock-based compensation and gain on sale or disposal of assets.
 
Three Months Ended March 31,
 
 
2014
   
2013
 
 
(In millions)
 
       
Reconciliation of Net Income attributable to Targa Resources Partners LP to Adjusted EBITDA:
       
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
 
Interest expense, net
   
33.1
     
31.4
 
Income tax expense
   
1.1
     
0.9
 
Depreciation and amortization expenses
   
79.5
     
63.9
 
Gain on sale or disposition of assets
   
(0.8
)
   
(0.1
)
Change in contingent consideration
   
-
     
0.3
 
Risk management activities
   
(0.2
)
   
(0.2
)
Noncontrolling interests adjustment (1)
   
(3.5
)
   
(2.9
)
Targa Resources Partners LP Adjusted EBITDA
 
$
231.6
   
$
132.2
 
 

(1) Noncontrolling interest portion of depreciation and amortization expenses.

 
Three Months Ended March 31,
 
 
2014
   
2013
 
 
(In millions)
 
Reconciliation of Net Income attributable to Targa Resources Partners LP to Distributable Cash flow:
       
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
 
Depreciation and amortization expenses
   
79.5
     
63.9
 
Deferred income tax expense
   
0.4
     
0.4
 
Amortization in interest expense
   
3.4
     
4.0
 
Change in contingent consideration
   
-
     
0.3
 
Gain on sale or disposition of assets
   
(0.8
)
   
(0.1
)
Risk management activities
   
(0.2
)
   
(0.2
)
Maintenance capital expenditures
   
(13.7
)
   
(21.7
)
Other (1)
   
(2.0
)
   
-
 
Targa Resources Partners LP distributable cash flow
 
$
189.0
   
$
85.5
 
 

(1) Includes the noncontrolling interest portion of maintenance capital expenditures, depreciation and amortization expenses.

Consolidated Results of Operations

The following table and discussion is a summary of our consolidated results of operations:
 
 
Three Months Ended March 31,
         
 
2014
   
2013
   
2014 vs. 2013
 
 
(In millions, except operating statistics and price amounts)
 
 
Revenues
 
$
2,352.9
   
$
1,397.8
   
$
955.1
     
68
%
Product purchases
   
1,973.3
     
1,137.5
     
835.8
     
73
%
Gross margin (1)
   
379.6
     
260.3
     
119.3
     
46
%
Operating expenses
   
104.3
     
86.1
     
18.2
     
21
%
Operating margin (2)
   
275.3
     
174.2
     
101.1
     
58
%
Depreciation and amortization expenses
   
79.5
     
63.9
     
15.6
     
24
%
General and administrative expenses
   
35.9
     
34.1
     
1.8
     
5
%
Other operating income
   
(0.7
)
   
-
     
(0.7
)
   
-
 
Income from operations
   
160.6
     
76.2
     
84.4
     
111
%
Interest expense, net
   
(33.1
)
   
(31.4
)
   
(1.7
)
   
5
%
Equity earnings
   
4.9
     
1.6
     
3.3
     
206
%
Other expenses (income)
   
-
     
(0.2
)
   
0.2
   
NM
 
Income tax expense
   
(1.1
)
   
(0.9
)
   
(0.2
)
   
22
%
Net income
   
131.3
     
45.3
     
86.0
     
190
%
Less: Net income attributable to noncontrolling interests
   
8.9
     
6.4
     
2.5
     
39
%
Net income attributable to Targa Resources Partners LP
 
$
122.4
   
$
38.9
   
$
83.5
     
215
%
 
Financial and operating data:
                               
 
Financial data:
                               
Adjusted EBITDA (3)
 
$
231.6
   
$
132.2
   
$
99.4
     
75
%
Distributable cash flow (4)
   
189.0
     
85.5
     
103.5
     
121
%
Capital expenditures
   
175.4
     
206.9
     
(31.5
)
   
(15
%)
 
Operating data:
                               
Crude oil gathered, MBbl/d
   
74.7
     
31.5
     
43.2
     
137
%
Plant natural gas inlet, MMcf/d (5)(6)
   
2,048.2
     
2,079.7
     
(31.5
)
   
(2
%)
Gross NGL production, MBbl/d
   
142.8
     
133.3
     
9.5
     
7
%
Export volumes, MBbl/d (7)
   
115.6
     
45.8
     
69.8
     
152
%
Natural gas sales, BBtu/d (6)
   
867.2
     
849.7
     
17.5
     
2
%
NGL sales, MBbl/d
   
401.0
     
281.3
     
119.7
     
43
%
Condensate sales, MBbl/d
   
3.5
     
3.4
     
0.1
     
0
%
 

(1) Gross margin is a non-GAAP financial measure and is discussed under “Management’s Discussion and Analysis of Financial Condition and Results of Operations – How We Evaluate Our Operations” and “Non-GAAP Financial Measures.”
(2) Operating margin is a non-GAAP financial measure and is discussed under “Management’s Discussion and Analysis of Financial Condition and Results of Operations – How We Evaluate Our Operations” and “Non-GAAP Financial Measures.”
(3) Adjusted EBITDA is net income attributable to Targa Resources Partners LP before: interest, income taxes, depreciation and amortization, gains or losses on debt repurchases and debt redemptions, early debt extinguishments and asset disposals, non-cash risk management activities related to derivative instruments and changes in the fair value of the Badlands acquisition contingent consideration and the non-controlling interest portion of depreciation and amortization expenses. This is a non-GAAP financial measure and is discussed under “Management’s Discussion and Analysis of Financial Condition and Results of Operations – How We Evaluate Our Operations” and “Non-GAAP Financial Measures.”
(4) Distributable cash flow is income attributable to Targa Resources Partners LP plus depreciation and amortization, deferred taxes and amortization of debt issue costs included in interest expense, adjusted for non-cash risk management activities related to derivative instruments, debt repurchases, and redemptions, early debt extinguishments and asset disposals, less maintenance capital expenditures (net of any reimbursements of project costs) and changes in the fair value of the Badlands acquisition contingent consideration. This is a non-GAAP financial measure and is discussed under “Management’s Discussion and Analysis of Financial Condition and Results of Operations – How We Evaluate Our Operations” and “Non-GAAP Financial Measures.”
(5) Plant natural gas inlet represents the volume of natural gas passing through the meter located at the inlet of a natural gas processing plant, other than in Badlands, where it represents total wellhead gathered volume.
(6) Plant natural gas inlet volumes include producer take-in-kind volumes, while natural gas sales exclude producer take-in-kind volumes.
(7) Export volumes represent the quantity of NGL products delivered to third party customers at our Galena Park Marine terminal that are destined for international markets.
Three Months Ended March 31, 2014 Compared to Three Months Ended March 31, 2013
 
Revenues, including the impact of hedging, increased due to the impact of higher commodity sales prices ($459.8 million), higher commodity volumes ($401.2 million), and higher fee-based and other revenues ($94.1 million).

Higher consolidated gross margin in 2014 was primarily driven by increased export activities and higher fractionation fees in our Logistics and Marketing segments and increased throughput volumes associated with system expansions and higher commodity sales prices in our Field Gathering and Processing segment. This significant growth in our asset base brought a higher level of operating expenses in 2014. See “—Results of Operations—By Reportable Segment” for additional information regarding changes in the components of gross and operating margin on a disaggregated basis.

The increase in depreciation and amortization expenses was primarily due to increased amortization of the Badlands intangible assets and higher depreciation related to the timing of major organic investments placed in service during the last twelve months, including CBF Train 4, Phase I of the international export expansion project and other system expansions.

The increase in general and administrative expenses reflected increased compensation related costs to support our expanding business operations.

The increase in interest expense primarily reflects higher borrowings ($2.3 million) partially offset by increased capitalized interest attributable to our major expansion projects ($0.7 million).

The increase in equity earnings in our investment in GCF was due to higher system product gains at the facility in 2014.

Net income attributable to noncontrolling interests increased as our Versado and CBF joint ventures experienced higher earnings in 2014.

Results of Operations—By Reportable Segment

Our operating margins by reportable segment are:

 
Field
   
Coastal
                 
 
Gathering
   
Gathering
       
Marketing
         
 
and
   
and
   
Logistics
   
and
         
 
Processing
   
Processing
   
Assets
   
Distribution
   
Other
   
Total
 
Three Months Ended
 
(In millions)
 
March 31, 2014
 
$
94.1
   
$
26.1
   
$
96.6
   
$
64.6
   
$
(6.1
)
 
$
275.3
 
March 31, 2013
   
53.8
     
23.5
     
56.3
     
34.0
     
6.6
     
174.2
 

Gathering and Processing Segments

Field Gathering and Processing

 
Three Months Ended March 31,
         
 
2014
   
2013
   
2014 vs. 2013
 
 
($ in millions, except operating statistics and price amounts)
 
Gross margin
 
$
139.0
   
$
91.5
   
$
47.5
     
52
%
Operating expenses
   
44.9
     
37.7
     
7.2
     
19
%
Operating margin
 
$
94.1
   
$
53.8
   
$
40.3
     
75
%
Operating statistics (1):
                               
Plant natural gas inlet, MMcf/d (2),(3)
                               
Sand Hills
   
166.7
     
152.3
     
14.4
     
9
%
SAOU
   
165.9
     
139.2
     
26.7
     
19
%
North Texas System
   
331.3
     
260.8
     
70.5
     
27
%
Versado
   
155.0
     
160.7
     
(5.7
)
   
(4
%)
Badlands (4)
   
34.4
     
16.5
     
17.9
     
108
%
 
   
853.3
     
729.5
     
123.8
     
17
%
Gross NGL production, MBbl/d (3)
                               
Sand Hills
   
18.2
     
17.4
     
0.8
     
5
%
SAOU
   
24.1
     
20.6
     
3.5
     
17
%
North Texas System
   
33.4
     
29.0
     
4.4
     
15
%
Versado
   
18.9
     
19.4
     
(0.5
)
   
(3
%)
Badlands
   
3.1
     
1.6
     
1.5
     
94
%
 
   
97.7
     
88.0
     
9.7
     
11
%
Crude oil gathered, MBbl/d
   
74.7
     
31.5
     
43.2
     
137
%
Natural gas sales, BBtu/d (3)
   
426.3
     
339.2
     
87.1
     
26
%
NGL sales, MBbl/d
   
75.5
     
70.8
     
4.7
     
7
%
Condensate sales, MBbl/d
   
2.9
     
2.9
     
-
     
0
%
Average realized prices (5):
                               
Natural gas, $/MMBtu
   
4.64
     
3.12
     
1.52
     
49
%
NGL, $/gal
   
0.86
     
0.72
     
0.14
     
19
%
Condensate, $/Bbl
   
89.30
     
85.66
     
3.64
     
4
%
 

(1) Segment operating statistics include the effect of intersegment amounts, which have been eliminated from the consolidated presentation. For all volume statistics presented, the numerator is the total volume during the applicable reporting period and the denominator is the number of calendar days during the applicable reporting period.
(2) Plant natural gas inlet represents the volume of natural gas passing through the meter located at the inlet of a natural gas processing plant.
(3) Plant natural gas inlet volumes and gross NGL production volumes include producer take-in-kind volumes, while natural gas sales exclude producer take-in-kind volumes.
(4) Badlands natural gas inlet represents the total wellhead gathered volume.
(5) Average realized prices exclude the impact of hedging settlements presented in Other.

Three Months Ended March 31, 2014 Compared to Three Months Ended March 31, 2013

The increase in gross margin was primarily due to higher commodity sales prices and increased throughput volumes despite the impact of severe cold weather. The increase in plant inlet volumes was driven by system expansions and by increased producer activity which increased available supply across our areas of operation. Operational issues affected Versado volumes. Badlands crude oil and natural gas volumes increased significantly as a result of our continuing investment to expand and improve gathering and processing capabilities.

Higher operating expenses were driven by volume growth and system expansions and included additional labor costs, ad valorem taxes and compression and system maintenance expenses.

Coastal Gathering and Processing
 
 
Three Months Ended March 31,
         
 
2014
   
2013
   
2014 vs. 2013
 
 
($ in millions, except operating statistics and price amounts)
 
Gross margin
 
$
36.4
   
$
34.0
   
$
2.4
     
7
%
Operating expenses
   
10.3
     
10.5
     
(0.2
)
   
(2
%)
Operating margin
 
$
26.1
   
$
23.5
   
$
2.6
     
11
%
Operating statistics (1):
                               
Plant natural gas inlet, MMcf/d (2),(3)
                               
LOU
   
325.0
     
341.6
     
(16.6
)
   
(5
%)
VESCO
   
490.5
     
534.1
     
(43.6
)
   
(8
%)
Other Coastal Straddles
   
379.4
     
474.5
     
(95.1
)
   
(20
%)
 
   
1,194.9
     
1,350.2
     
(155.3
)
   
(12
%)
Gross NGL production, MBbl/d (3)
                               
LOU
   
10.0
     
9.0
     
1.0
     
11
%
VESCO
   
23.2
     
22.9
     
0.3
     
1
%
Other Coastal Straddles
   
11.9
     
13.4
     
(1.5
)
   
(11
%)
 
   
45.1
     
45.3
     
(0.2
)
   
0
%
Natural gas sales, BBtu/d (3)
   
287.7
     
275.1
     
12.6
     
5
%
NGL sales, MBbl/d
   
40.5
     
41.4
     
(0.9
)
   
(2
%)
Condensate sales, MBbl/d
   
0.5
     
0.5
     
-
     
0
%
Average realized prices:
                               
Natural gas, $/MMBtu
   
5.01
     
3.45
     
1.56
     
45
%
NGL, $/gal
   
0.94
     
0.84
     
0.10
     
12
%
Condensate, $/Bbl
   
97.95
     
110.44
     
(12.49
)
   
(11
%)
 

(1) Segment operating statistics include intersegment amounts, which have been eliminated from the consolidated presentation. For all volume statistics presented, the numerator is the total volume during the applicable reporting period and the denominator is the number of calendar days during the applicable reporting period.
(2) Plant natural gas inlet represents the volume of natural gas passing through the meter located at the inlet of a natural gas processing plant.
(3) Plant natural gas inlet volumes and gross NGL production volumes include producer take-in-kind volumes, while natural gas sales exclude producer take-in-kind volumes.

Three Months Ended March 31, 2014 Compared to Three Months Ended March 31, 2013

The increase in gross margin was primarily due to higher NGL sales prices and a short-term availability of higher average GPM off-system volumes at LOU. The decrease in plant inlet volumes was largely attributable to the decline in other off-system supply volumes and the impact of severe cold weather. Gross NGL production at VESCO during the first quarter 2013 was impacted by a NGL takeaway pipeline volume constraint.

Operating expenses were relatively flat.

Logistics and Marketing Segments

Logistics Assets
 
 
Three Months Ended March 31,
         
 
2014
   
2013
   
2014 vs. 2013
 
 
($ in millions, except operating statistics)
 
Gross margin
 
$
136.5
   
$
86.5
   
$
50.0
     
58
%
Operating expenses
   
39.9
     
30.2
     
9.7
     
32
%
Operating margin
 
$
96.6
   
$
56.3
   
$
40.3
     
72
%
Operating statistics MBbl/d(1):
                               
Fractionation volumes
   
312.5
     
258.0
     
54.5
     
21
%
LSNG treating volumes
   
24.5
     
25.7
     
(1.2
)
   
(5
%)
Benzene treating volumes
   
24.5
     
20.9
     
3.6
     
17
%
 

(1) For all volume statistics presented, the numerator is the total volume during the applicable reporting period and the denominator is the number of calendar days during the applicable reporting period.

Three Months Ended March 31, 2014 Compared to Three Months Ended March 31, 2013

Gross margin was significantly higher due to increased LPG export activity and increased fractionation activities, despite the continued impact of third-party ethane rejection. The first quarter of 2014 also included higher reservation fees for both fractionation and LPG export activities. LPG export volumes, which benefit both the Logistics Assets and Marketing and Distribution segments, averaged 115.6 MBbl/d in the first quarter of 2014 compared to 45.8 MBbl/d for the same period last year. This increase was driven by the first phase of our international export expansion project, which was placed into service in September 2013. Higher 2014 fractionation volumes were due to the expansion of fractionation capacity, with CBF Train 4 commencing commercial operations during the third quarter of 2013. Gross margin results also include the impact of higher fuel prices which pass through to operating expenses.

The increase in operating expenses reflects the expansion of our export and fractionation facilities described above and increased power and fuel costs (which have a corresponding impact on higher fractionating and treating fee revenues). These factors were partially offset by higher system product gains.

Marketing and Distribution
 
 
Three Months Ended March 31,
         
 
2014
   
2013
   
2014 vs. 2013
 
 
(In millions, except operating statistics and price amounts)
 
Gross margin
 
$
77.7
   
$
44.8
   
$
32.9
     
73
%
Operating expenses
   
13.1
     
10.8
     
2.3
     
21
%
Operating margin
 
$
64.6
   
$
34.0
   
$
30.6
     
90
%
Operating statistics (1):
                               
NGL sales, MBbl/d
   
404.4
     
283.6
     
120.8
     
43
%
Average realized prices:
                               
NGL realized price, $/gal
   
1.14
     
0.92
     
0.22
     
24
%
 

(1) Segment operating statistics include intersegment amounts, which have been eliminated from the consolidated presentation. For all volume statistics presented, the numerator is the total volume sold during the applicable reporting period and the denominator is the number of calendar days during the applicable reporting period.

Three Months Ended March 31, 2014 Compared to Three Months Ended March 31, 2013

Gross margin increased primarily due to higher LPG export activity (which benefits both the Logistics Assets and Marketing and Distribution segments) and higher NGL marketing and wholesale margins related to a more favorable market environment.
Operating expenses increased primarily due to increased barge and truck maintenance and increased terminal utilization.

Other

 
Three Months Ended March 31,
     
 
2014
   
2013
   
2014 vs. 2013
 
 
($ in millions)
 
Gross margin
 
$
(6.1
)
 
$
6.6
   
$
(12.7
)
Operating margin
 
$
(6.1
)
 
$
6.6
   
$
(12.7
)

Other contains the financial effects of our hedging program on operating margin as it represents the cash settlements on our derivative contracts. The primary purpose of our commodity risk management activities is to mitigate a portion of the impact of commodity prices on our operating cash flow. We have hedged the commodity prices associated with a portion of our expected (i) natural gas equity volumes in Field Gathering and Processing Operations and (ii) NGL and condensate equity volumes predominately in Field Gathering and Processing as well as in the LOU portion of the Coastal Gathering and Processing Operations that result from percent of proceeds or liquids processing arrangements by entering into derivative instruments. Because we are essentially forward-selling a portion of our plant equity volumes, these hedge positions will move favorably in periods of falling prices and unfavorably in periods of rising prices.

The following table provides a breakdown of the Partnership’s hedge revenue by product:

 
Three Months Ended March 31,
     
 
2014
   
2013
   
2014 vs. 2013
 
 
($ in millions)
     
Natural gas
 
$
(4.1
)
 
$
3.3
   
$
(7.4
)
NGL
   
(0.4
)
   
3.5
     
(3.9
)
Crude oil
   
(1.6
)
   
(0.2
)
   
(1.4
)
 
$
(6.1
)
 
$
6.6
   
$
(12.7
)

Liquidity and Capital Resources

Our ability to finance our operations, including funding capital expenditures and acquisitions, meeting our indebtedness obligations, refinancing our indebtedness and meeting our collateral requirements, will depend on our ability to generate cash in the future. Our ability to generate cash is subject to a number of factors, some of which are beyond our control. These include weather, commodity prices (particularly for natural gas and NGLs) and ongoing efforts to manage operating costs and maintenance capital expenditures, as well as general economic, financial, competitive, legislative, regulatory and other factors.

Our main sources of liquidity and capital resources are internally generated cash flow from operations, borrowings under the TRP Revolver, borrowings under the Securitization Facility, the issuance of additional common units and access to debt markets. The capital markets continue to experience volatility. Our exposure to current credit conditions includes our credit facility, cash investments and counterparty performance risks. We continually monitor our liquidity and the credit markets, as well as events and circumstances surrounding each of the lenders to the TRP Revolver and Securitization Facility.

As of March 31, 2014, our liquidity consisted of the following:

 
March 31, 2014
 
 
(In millions)
 
Cash on hand
 
$
81.4
 
Total availability under the TRP Revolver
   
1,200.0
 
Total availability under the Securitization Facility
   
233.5
 
 
   
1,514.9
 
Less: Outstanding borrowings under the TRP Revolver
   
(355.0
)
  Outstanding borrowings under the Securitization Facility
   
(233.5
)
  Outstanding letters of credit under the TRP Revolver
   
(97.2
)
  Total liquidity
 
$
829.2
 

Other potential capital resources include:

· Our right to request an additional $300.0 million in commitment increases under the TRP Revolver.

· Approximately $7.4 million in remaining capacity as of April 18, 2014 to issue common units pursuant to the August 2013 EDA (see Notes 9 and 10 of the “Consolidated Financial Statements”).

· Our ability to issue debt or equity securities pursuant to shelf registration statements, including availability under our July 2013 Shelf and unlimited amounts under our April 2013 Shelf.

A portion of our capital resources may be allocated to letters of credit to satisfy certain counterparty credit requirements. While our credit ratings have improved over time, these letters of credit reflect our non-investment grade status, as assigned to us by Moody’s Investors Service, Inc. and Standard & Poor’s Corporation. They also reflect certain counterparties’ views of our financial condition and ability to satisfy our performance obligations, as well as commodity prices and other factors.

Risk Management

We evaluate counterparty risks related to our commodity derivative contracts and trade credit. We have all of our commodity derivatives with major financial institutions or major oil companies. Should any of these financial counterparties not perform, we may not realize the benefit of some of our hedges under lower commodity prices, which could have a material adverse effect on our results of operation. We sell our natural gas, NGLs and condensate to a variety of purchasers. Non-performance by a trade creditor could result in losses.

Crude oil, NGL and natural gas prices are also volatile. In an effort to reduce the variability of our cash flows, we have entered into derivative instruments to hedge the commodity price associated with a portion of our expected natural gas equity volumes through 2016 and our NGL and condensate equity volumes through 2014. See “Item 3. – Quantitative and Qualitative Disclosures about Market Risk.” The current market conditions may also impact our ability to enter into future commodity derivative contracts.

Our risk management position has moved from a net liability position of $4.3 million at December 31, 2013 to a net liability position of $9.6 million at March 31, 2014. Aggregate forward prices for commodities are above the fixed prices we currently expect to receive on those derivative contracts, creating this net liability position. We account for derivatives that mitigate commodity price risk as cash flow hedges. Changes in fair value are deferred in other comprehensive income (“OCI”) until the underlying hedged transactions settle.

Working Capital

Working capital is the amount by which current assets exceed current liabilities. On a consolidated basis at the end of any given month, accounts receivable and payable tied to commodity sales and purchases are relatively balanced with receivables from NGL customers offset by plant settlements payable to producers. The factors that typically cause overall variability in our reported total working capital are: (1) our cash position; (2) liquids inventory levels and valuation, which we closely manage; (3) changes in the fair value of the current portion of derivative contracts; and (4) major structural changes in our asset base or business operations, such as acquisitions or divestitures and certain organic growth projects.
Working capital decreased $61.5 million, primarily attributable to lower product inventory due to unusually high propane demand and seasonal product sales, which we supplied in part from the Gulf Coast region, and to an overall decline in NGL prices. Other working capital movement factors were largely offsetting: decreased export-related net receivables attributable to lower quarter-end NGL prices and higher gas plant producer settlement payables due to higher natural gas prices, offset by higher cash balances and lower affiliate payables related to the timing of our reimbursements to Targa.

Based on our anticipated levels of operations and absent any disruptive events, we believe that internally generated cash flow, borrowings available under the TRP Revolver and the Securitization Facility and proceeds from equity offerings and debt offerings should provide sufficient resources to finance our operations, capital expenditures, long-term debt obligations, collateral requirements and minimum quarterly cash distributions for at least the next twelve months.

Cash Flow

The following table and discussion summarize our Consolidated Cash Flows provided by or used in operating activities, investing activities and financing activities:
 
Three Months Ended March 31,
     
2014
   
2013
   
2014 vs. 2013
 
(In millions)
 
Net cash provided by (used in):
           
Operating activities
 
$
316.4
   
$
190.6
   
$
125.8
 
Investing activities
   
(193.7
)
   
(227.0
)
   
33.3
 
Financing activities
   
(98.8
)
   
70.5
     
(169.3
)

Cash Flow from Operating Activities

Our Consolidated Statement of Cash Flows included in our historical consolidated financial statements employs the traditional indirect method of presenting cash flows from operating activities. Under the indirect method, net cash provided by operating activities is derived by adjusting our net income for non-cash items related to operating activities. An alternative GAAP presentation employs the direct method in which the actual cash receipts and outlays comprising cash flow are presented.

The following table displays our operating cash flows using the direct method as a supplement to the presentation in our financial statements:

 
Three Months Ended March 31,
     
 
2014
   
2013
   
2014 vs. 2013
 
 
(In millions)
 
Cash flows from operating activities:
           
Cash received from customers
 
$
2,415.7
   
$
1,474.7
   
$
941.0
 
Cash received from (paid to) derivative counterparties
   
(6.8
)
   
6.4
     
(13.2
)
Cash outlays for:
                       
Product purchases
   
(1,948.5
)
   
(1,149.8
)
   
(798.7
)
Operating expenses
   
(81.0
)
   
(70.1
)
   
(10.9
)
General and administrative expenses
   
(45.1
)
   
(38.8
)
   
(6.3
)
Cash distributions from equity investment (1)
   
4.9
     
-
     
4.9
 
Interest paid, net of amounts capitalized (2)
   
(23.0
)
   
(31.4
)
   
8.4
 
Income taxes paid, net of refunds
   
0.2
     
-
     
0.2
 
Other cash receipts (payments)
   
-
     
(0.4
)
   
0.4
 
Net cash provided by operating activities
 
$
316.4
   
$
190.6
   
$
125.8
 
 

(1) Excludes $2.2 million included in investing activities for three months ended March 31, 2014.
(2) Net of capitalized interest paid of $6.9 million and $6.1 million included in investing activities for the three months ended March 31, 2014 and 2013.
Higher natural gas prices, sales and logistics fees related to export activities and higher other volumes contributed to increased cash collections in 2014 compared to 2013, as well as higher cash payments to producers for commodity products. The change in cash received related to derivatives reflects higher aggregate commodity prices paid to counterparties compared to the aggregate fixed price we received on those derivative contracts.

Cash Flow from Investing Activities

The decrease in net cash used in investing activities was primarily due to lower cash outlays for current capital expansion projects of $23.5 million.

Cash Flow from Financing Activities

The decrease in net cash provided by financing activities was primarily due to an increase in net payments under the Securitization Facility ($157.6 million) and an increase in distributions to owners ($24.9 million), offset by lower net payments under the TRP Revolver of $15.0 million and the issuance of common units under the August 2013 EDA program.

Our primary financing activities during the three months ended March 31, 2014 and 2013 are summarized in the following tables.

Three Months
Ended March 31,
2014
Financing Activity
 
Source
(Use)
 
Use of proceeds
(In millions)
 
Various
Net repayments under TRP Revolver
 
$
(40.0
)
Various
Net repayments under the Securitization Facility
   
(46.2
)
February
Distributions
   
(115.8
)
Various
Sale of common units - 2013 EDA
   
110.6
 
Reduce outstanding borrowings under the TRP Revolver
Various
General partner contributions to maintain 2% interest
   
1.2
  and for general Partnership purposes
 
Three Months
Ended March 31,
2013
Financing Activity
 
Source
(Use)
 
Use of proceeds
(In millions)
 
Various
Net repayments under TRP Revolver
 
$
(55.0
)
February
Distributions
   
(90.9
)
Various
Sale of common units - 2012 and 2013 EDAs
   
107.4
 
Redeem borrowings under 6⅜% Notes, reduce outstanding borrowings under TRP Revolver and general Partnership purposes
Various
General partner contributions to maintain 2% interest
   
2.3
 
Reduce outstanding borrowings under the TRP Revolver
Various
Net borrowings under the Securitization Facility
   
111.4
  and for general Partnership purposes

Distributions to our Unitholders

We distribute all available cash from our operating surplus. As a result, we expect that we will rely upon external financing sources, including debt and common unit issuances, to fund our acquisition and expansion capital expenditures. See Notes 9 and 10 of the “Consolidated Financial Statements” included in this Quarterly Report.

We intend to make cash distributions to our unitholders and our general partner at least at the minimum quarterly distribution rate of $0.3375 per common unit per quarter ($1.35 per common unit on an annualized basis). As of March 31, 2014, such annual minimum amount would have been approximately $157.4 million. In every quarter since the fourth quarter of 2007, we have paid quarterly distributions greater than the minimum quarterly distribution rate. The quarterly distribution per limited partner unit to be paid in May 2014 for the first quarter of 2014 is $0.7625 per limited partner unit.
The following table details the distributions declared and/or paid during the three months ended March 31, 2014:

 
Distributions
     
Three Months Ended
Date Paid or to be Paid
 
Limited Partners
   
General Partner
       
Distributions per Limited Partner Unit
 
 
Common
   
Incentive
   
2%
   
Total
 
                     
 
(In millions, except per unit amounts)
 
                     
March 31, 2014
May 15, 2014
 
$
87.2
   
$
31.7
   
$
2.4
   
$
121.3
   
$
0.7625
 
December 31, 2013
February 14, 2014
   
84.0
     
29.5
     
2.3
     
115.8
     
0.7475
 

Capital Requirements

Our capital requirements relate to capital expenditures, which are classified as expansion expenditures, maintenance expenditures or business acquisitions. Expansion capital expenditures improve the service capability of the existing assets, extend asset useful lives, increase capacities from existing levels, add capabilities, reduce costs or enhance revenues, and fund acquisitions of businesses or assets. Maintenance capital expenditures are those expenditures that are necessary to maintain the service capability of our existing assets, including the replacement of system components and equipment, which are worn, obsolete or completing their useful life and expenditures to remain in compliance with environmental laws and regulations.

 
Three Months Ended March 31,
 
 
2014
   
2013
 
       
Capital expenditures :
 
(In millions)
 
Expansion
 
$
161.7
   
$
185.2
 
Maintenance
   
13.7
     
21.7
 
Gross additions
   
175.4
     
206.9
 
Transfers from materials and supplies inventory to property, plant and equipment
   
(0.4
)
   
-
 
Decrease in capital project payables and accruals
   
22.7
     
15.5
 
Cash outlays for capital projects
 
$
197.7
   
$
222.4
 

We estimate that our total growth capital expenditures for 2014 will be approximately $700 million on a gross basis, and maintenance capital expenditures net to our interest will be approximately $90 million. Given our objective of growth through expansions of existing assets, other internal growth projects, and acquisitions, we anticipate that over time we will invest significant amounts of capital to grow and acquire assets. Future expansion capital expenditures may vary significantly based on investment opportunities. We expect to fund future capital expenditures with funds generated from our operations, borrowings under the TRP Revolver and the Securitization Facility and proceeds from issuances of additional equity and debt securities.

Critical Accounting Policies and Estimates

Our critical accounting policies and estimates are set forth in Part II, “Item 7. Management’s Discussion and Analysis of Financial Condition and Results of Operations” in our Annual Report.

Off-Balance Sheet Arrangements

We have no material off-balance sheet arrangements as defined by the Securities and Exchange Commission.
Item 3. Quantitative and Qualitative Disclosures about Market Risk.

There have been no material changes in market risk exposures that would affect the quantitative and qualitative disclosures presented as of December 31, 2013, in Item 7A in our 2013 Annual Report on Form 10-K. We added 6,000 MMBtu/d of natural gas hedges for 2014 and 2015 during the first quarter of 2014. For more information on risk management activities, see Note 12 “Derivative Instruments and Hedging Activities” to our consolidated financial statements included elsewhere in this Quarterly Report.
 
Item 4. Controls and Procedures.

Evaluation of Disclosure Controls and Procedures

Management, under the supervision of and with the participation of our Chief Executive Officer and Chief Financial Officer, has evaluated the design and effectiveness of our disclosure controls and procedures, as such term is defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934, as amended (the “Exchange Act”) as of the end of the period covered by this Quarterly Report. Based on such evaluation, our Chief Executive Officer and Chief Financial Officer have concluded that, as of March 31, 2014, our disclosure controls and procedures were designed at the reasonable assurance level and, as of the end of the period covered by this Quarterly Report, our disclosure controls and procedures are effective at the reasonable assurance level to provide that information required to be disclosed in our reports filed or submitted under the Exchange Act is (i) recorded, processed, summarized and reported within the time periods specified in the rules and forms of the Securities and Exchange Commission and (ii) accumulated and communicated to management, including our principal executive officer and principal financial officer, to allow for timely decisions regarding required disclosure.

Changes in Internal Control Over Financial Reporting

There has been no change in our internal control over financial reporting (as defined in Rules 13a-15(f) and 15d-15(f) under the Securities Exchange Act of 1934, as amended) during the three months ended March 31, 2014 that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

PART II – OTHER INFORMATION

Item 1. Legal Proceedings.

The information required for this item is provided in Note 15 – Commitments and Contingencies, under the heading “Legal Proceedings”, included in the Notes to Consolidated Financial Statements included under Part I, Item 1 of this Quarterly Report, which is incorporated by reference into this item.

Item 1A. Risk Factors.

For an in-depth discussion of our risk factors, see “Item 1A. Risk Factors.” in our Annual Report. All of these risks and uncertainties could adversely affect our business, financial condition and/or results of operations.

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

Not applicable.

Item 3. Defaults Upon Senior Securities.

Not applicable.

Item 4. Mine Safety Disclosures.

Not applicable.

Item 5. Other Information.

Not applicable.
Item 6. Exhibits

Number
Description
 
 
3.1
Certificate of Limited Partnership of Targa Resources Partners LP (incorporated by reference to Exhibit 3.2 to Targa Resources Partners LP’s Registration Statement on Form S-1 filed November 16, 2006 (File No. 333-138747)).
 
 
3.2
Certificate of Formation of Targa Resources GP LLC (incorporated by reference to Exhibit 3.3 to Targa Resources Partners LP’s Registration Statement on Form S-1/A filed January 19, 2007 (File No. 333-138747)).
 
 
3.3
First Amended and Restated Agreement of Limited Partnership of Targa Resources Partners LP (incorporated by reference to Exhibit 3.1 to Targa Resources Partners LP’s Current Report on Form 8-K filed February 16, 2007 (File No. 001-33303)).
 
 
3.4
Amendment No. 1, dated May 13, 2008, to the First Amended and Restated Agreement of Limited Partnership of Targa Resources Partners LP (incorporated by reference to Exhibit 3.5 to Targa Resources Partners LP’s Quarterly Report on Form 10-Q filed May 14, 2008 (File No. 001-33303)).
 
 
3.5
Amendment No. 2, dated May 25, 2012, to the First Amended and Restated Agreement of Limited Partnership of Targa Resources Partners LP (incorporated by reference to Exhibit 3.1 to Targa Resources Partners LP’s Current Report on Form 8-K filed May 25, 2012 (File No. 001-33303)).
 
 
3.6
Limited Liability Company Agreement of Targa Resources GP LLC (incorporated by reference to Exhibit 3.4 to Targa Resources Partners LP’s Registration Statement on Form S-1/A filed January 19, 2007 (File No. 333-138747)).
 
 
Computation of Ratio of Earnings to Fixed Charges.
 
 
Certification Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
 
 
Certification Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
 
 
Certification of the Chief Executive Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
 
 
Certification of the Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
 
 
101.INS*
XBRL Instance Document
 
 
101.SCH*
XBRL Taxonomy Extension Schema Document
 
 
101.CAL*
XBRL Taxonomy Extension Calculation Linkbase Document
 
 
101.DEF*
XBRL Taxonomy Extension Definition Linkbase Document
 
 
101.LAB*
XBRL Taxonomy Extension Label Linkbase Document
 
 
101.PRE*
XBRL Taxonomy Extension Presentation Linkbase Document

* Filed herewith
** Furnished herewith

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.

 
Targa Resources Partners LP
 
(Registrant)
 
 
 
 
By:
Targa Resources GP LLC,
 
 
 its general partner
 
 
 
Date: May 2, 2014
By:
/s/ Matthew J. Meloy
 
 
Matthew J. Meloy
 
 
Senior Vice President, Chief Financial Officer and Treasurer
 
 
(Authorized Officer and Principal Financial Officer)
 
42

EX-12.1 2 ex12_1.htm EXHIBIT 12.1

Exhibit 12.1

Targa Resources Partners LP
Computation of Ratio of Earnings to Fixed Charges

 
Years Ended December 31,
   
Three Months Ended March 31,
 
 
2013
   
2012
   
2011
   
2010
   
2009
   
2014
   
2013
 
                           
 
(In millions)
         
Pre-tax income from continuing operations
 
$
261.5
   
$
207.4
   
$
249.8
   
$
138.0
   
$
8.4
   
$
132.4
   
$
46.2
 
 
                                                       
Fixed charges:
                                                       
Interest expense and amortization of debt issuance costs
   
131.0
     
116.8
     
107.7
     
110.9
     
159.8
     
33.1
     
31.4
 
Capitalized interest
   
28.0
     
13.6
     
3.4
     
1.3
     
0.7
     
6.9
     
6.1
 
Operating lease payments
   
7.8
     
5.4
     
4.7
     
4.6
     
4.5
     
2.1
     
1.9
 
Total fixed charges
   
166.8
     
135.8
     
115.8
     
116.8
     
165.0
     
42.1
     
39.4
 
Amortization of capitalized interest
   
1.7
     
0.7
     
0.2
     
0.1
     
0.1
     
0.5
     
0.3
 
Equity earnings in unconsolidated investment
   
(14.8
)
   
(1.9
)
   
(8.8
)
   
(5.4
)
   
(5.0
)
   
(4.9
)
   
(1.6
)
Distributions from unconsolidated investment
   
12.0
     
2.3
     
8.3
     
8.7
     
5.1
     
7.1
     
-
 
Capitalized interest
   
(28.0
)
   
(13.6
)
   
(3.4
)
   
(1.3
)
   
(0.7
)
   
(6.9
)
   
(6.1
)
Pre-tax income from continuing operations plus fixed charges
 
$
399.2
   
$
330.7
   
$
361.9
   
$
256.9
   
$
172.9
   
$
170.3
   
$
78.1
 
 
                                                       
Ratio of earnings to fixed charges
   
2.4
     
2.4
     
3.1
     
2.2
     
1.0
     
4.0
     
2.0
 
Deficiency
 
$
-
   
$
-
   
$
-
   
$
-
   
$
-
   
$
-
   
$
-
 
 
 

EX-31.1 3 ex31_1.htm EXHIBIT 31.1

Exhibit 31.1
 
CERTIFICATION
PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, Joe Bob Perkins, certify that:

1. I have reviewed this Quarterly Report on Form 10-Q of Targa Resources Partners LP (the “registrant”);

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 officer 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 officer 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: May 2, 2014

By: /s/ Joe Bob Perkins
Name: Joe Bob Perkins
Title: Chief Executive Officer of Targa Resources GP LLC,
the general partner of Targa Resources Partners LP
(Principal Executive Officer)
 
 

EX-31.2 4 ex31_2.htm EXHIBIT 31.2

Exhibit 31.2
 
CERTIFICATION
PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, Matthew J. Meloy, certify that:

1. I have reviewed this Quarterly Report on Form 10-Q of Targa Resources Partners LP (the “registrant”);

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 officer 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 officer 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: May 2, 2014

By: /s/ Matthew J. Meloy
Name: Matthew J. Meloy
Title: Senior Vice President, Chief Financial Officer and Treasurer
of Targa Resources GP LLC, the general partner of Targa Resources Partners LP
(Principal Financial Officer)
 
 

EX-32.1 5 ex32_1.htm EXHIBIT 32.1

 Exhibit 32.1
 
CERTIFICATION OF CHIEF EXECUTIVE OFFICER PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report on Form 10-Q of Targa Resources Partners LP (the “Partnership”) for the three months ended March 31, 2014 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), Joe Bob Perkins, as Chief Executive Officer of Targa Resources GP LLC, the general partner of the Partnership, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to his knowledge:

(1) The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

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

By: /s/ Joe Bob Perkins
Name: Joe Bob Perkins
Title: Chief Executive Officer of Targa Resources GP LLC,
the general partner of Targa Resources Partners LP

Date: May 2, 2014

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to the Partnership and will be retained by the Partnership and furnished to the Securities and Exchange Commission or its staff upon request.
 
 

EX-32.2 6 ex32_2.htm EXHIBIT 32.2

Exhibit 32.2
 
CERTIFICATION OF CHIEF FINANCIAL OFFICER PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report on Form 10-Q of Targa Resources Partners LP (the “Partnership”) for the three months ended March 31, 2014 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), Matthew J. Meloy, as Chief Financial Officer of Targa Resources GP LLC, the general partner of the Partnership, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to his knowledge:

(1) The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

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

By: /s/ Matthew J. Meloy
Name: Matthew J. Meloy
Title: Senior Vice President, Chief Financial Officer and Treasurer
of Targa Resources GP LLC,
the general partner of Targa Resources Partners LP

Date: May 2, 2014

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to the Partnership and will be retained by the Partnership and furnished to the Securities and Exchange Commission or its staff upon request.
 
 

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background-color: #cceeff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 26%; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt; font-weight: bold;">Total current position</div></td><td valign="bottom" style="background-color: #cceeff; width: 15%; vertical-align: bottom;"></td><td valign="bottom" style="background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; 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background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; 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color: #000000; font-size: 10pt;">)</div></td></tr><tr style="height: 18px;"><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; padding-left: 1%; width: 26%; vertical-align: bottom;">&#160;</td><td style="text-align: center; padding-bottom: 2px; background-color: #ffffff; width: 15%; vertical-align: middle;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">Long-term</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;"></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;"></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">2.9</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">)</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">5.1</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">(9.1</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">)</div></td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 26%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 15%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 26%; vertical-align: bottom;"><div style="text-align: left; 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background-color: #cceeff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; padding-left: 1%; width: 26%; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">Commodity contracts</div></td><td style="text-align: center; padding-bottom: 2px; background-color: #ffffff; width: 15%; vertical-align: middle;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">Current</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; 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padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">(0.3</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 26%; vertical-align: bottom;"><div style="text-align: left; text-indent: -9pt; font-family: ''Times New Roman'', Times, serif; 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background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">(0.1</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">)</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; 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background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 26%; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt; font-weight: bold;">Total current position</div></td><td valign="bottom" style="background-color: #cceeff; width: 15%; vertical-align: bottom;"></td><td valign="bottom" style="background-color: #cceeff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 10pt;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; 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background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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Number of days from end of each quarter by when cash is distributed to unitholders The amount of capital contributed by the general partner during the period. General partner contributed to maintain ownership percentage General partner contributed to maintain general partner ownership percentage Equity Distribution Agreement with Citigroup Global Markets Inc. ("Citigroup") as sales agent for sales of common units under the 2012 Shelf. Two Thousand Twelve Equity Distribution Agreement [Member] 2012 EDA [Member] Equity Distribution Agreement with Citigroup, Deutsche Bank Securities Inc., Raymond James & Associates, Inc. and UBS Securities LLC, as sales agents for sales of common units under the 2012 Shelf. Two Thousand Thirteen Equity Distribution Agreement [Member] March 2013 EDA [Member] Cash inflow of distributions from equity investments in excess of accumulated earnings. 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Coastal Gathering and Processing [Member] A component of an entity for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Logistics Assets [Member] A component of an entity for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Field Gathering And Processing [Member] Field Gathering and Processing [Member] A component of an entity for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Other Segment [Member] A component of an entity for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Marketing and Distribution [Member] Total capital expenditures for additions to long-lived assets. Segment Reporting Information Capital Expenditures Capital expenditures A component of an enterprise representing facts about an entire consolidated business entity disaggregated by business or economic activities. Type of Revenue [Domain] Total outside revenues. Total outside Revenues [Member] Total Outside Revenues [Member] Total intersegment revenues. Total Intersegment Revenues [Member] The number of entity's division. Segment reporting, Number of Divisions Number of divisions The amount of the receivables from unit offerings during the period. Receivables from unit offerings Receivables from unit offerings The disclosure for updates or revisions to all significant accounting policies of the reporting entity. Accounting Policy Updates/Revisions [Text Block] Accounting Policy Updates/Revisions Reconciliation of operating margin to net income: [Abstract] Amount of the net cost of borrowed funds accounted for as interest expense. Interest Expense Net Interest expense, net Petroleum products. Petroleum Products [Member] Revenue from processing to remove impurities from natural gas and related products. Gathering and Processing Fees [Member] Gathering and Processing [Member] Revenue from sale of residue oil and condensate, which normally exists in the reservoir as gas but condenses out as a liquid during production. Condensate sales [Member] Condensate [Member] Other product and services revenues not included in the other categories. Other product and service revenue [Member] Other [Member] Revenue related to the transportation, storage, terminaling and exportation of natural gas and related products. Storage Terminaling Transportation And Export Fees [Member] Storage, Terminaling, Transportation and Export [Member] Revenue from the sales of NGL (natural gas liquids). NGL sales [Member] NGL [Member] Revenue from hedging activities. Hedge settlements [Member] Derivative Activities [Member] Revenue from the sale of natural gas during the period. Natural gas sales [Member] Natural Gas [Member] Revenue from fractionation, the process of distilling mixtures into their constituent parts. Fractionating and treating fees [Member] Fractionating and Treating [Member] Interest Rate Hedges [Abstract] Interest rate swaps: Amount of revenue reclassified from settlement during the period. Settlement Reclassified to Revenues Settlement reclassified to revenues The amount of customer contracts and customer relationships acquired in business acquisitions. Intangible Assets - customer contracts and customer relationship [Member] Intangible Assets [Member] Refers to the number of natural gas basis swaps categorized as Level 3. Number of natural gas basis swaps categorized as Level 3 Fair value as of the balance sheet date of the assets less the liabilities of a derivative or group of derivatives if the commodity price decreases by 10 percent. Derivative fair value commodity price decreases 10 percent net asset Derivative fair value commodity price decreases 10 percent, net asset Fair value, as of the acquisition date, of potential payments under the contingent consideration arrangement including cash and shares. Contingent liability [Member] Fair value as of the balance sheet date of the assets less the liabilities of a derivative or group of derivatives if the commodity price increases by 10 percent. Derivative fair value commodity price increases 10 percent net liability Derivative fair value commodity price increases 10 percent, net liability Senior unsecured notes, due February 2021. Senior Unsecured Notes due 2021 [Member] Senior unsecured notes, due October 2018. Senior Unsecured Notes due 2018 [Member] Information on the unamortized discount on senior unsecured notes due July 2017. Senior Unsecured Notes due 2017 Unamortized Discount [Member] Senior unsecured notes, due July 2017. Senior Unsecured Notes due 2017 [Member] Information on the unamortized discount on senior unsecured notes due February 2021. Senior Unsecured Notes due 2021 Unamortized Discount [Member] Senior unsecured notes, due 2022. Senior Unsecured Notes due 2022 [Member] Senior unsecured notes due May 2023. Senior Unsecured Notes due May 2023 [Member] Revolving credit facility due 2017. Revolving Credit Facility Due 2017 [Member] Financing through issuance of security instrument that represents a creditor relationship with the holder of the investment security related to Accounts Receivable securitization facility. Accounts Receivable Securitization Facility [Member] Accounts Receivable Securitization Facility [Member] Senior unsecured notes due November 2023. 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Cash distributions based on unit ownership Cash distributions to Targa based on unit ownership The amount of net cash distributions to parent company based on unit ownership. Distributions Net Contributions from Targa Allocation of general and administrative expense cash transactions by parent company. Parent Allocation Of General Administrative Expense Parent allocation of general & administrative expense Allocation of payroll and related cash transactions by parent company. Parent allocation of payroll and related Parent billings of payroll and related costs included in operating expense The tabular disclosure for classifying current financial statements, which may be different from classifications in the prior year's financial statements. Disclose any material changes in classification including an explanation of the reason for the change and the areas impacted. 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XML 14 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Cash Flow Information (Tables)
3 Months Ended
Mar. 31, 2014
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information

 
Three Months Ended March 31,
 
  
2014
  
2013
 
Cash:
    
Interest paid, net of capitalized interest (1)
 
$
23.0
  
$
31.4
 
Income taxes paid, net of refunds
  
(0.2
)
  
-
 
Non-cash:
        
Deadstock inventory transferred to property, plant and equipment
  
1.1
   
4.5
 
Accrued distribution equivalent rights
  
0.6
   
0.3
 
Changes in receivables from unit offerings
  
7.1
   
-
 
Change in capital accruals
  
22.7
   
15.5
 
Transfers from materials and supplies inventory to property, plant and equipment
  
0.4
   
-
 
Change in ARO cash flow estimate
  
2.1
   
0.2
 
___________
(1)
Interest capitalized on major projects was $6.9 million and $6.1 million for the three months ended March 31, 2014 and 2013.
XML 15 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Cash Flow Information (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Cash [Abstract]    
Interest paid, net of capitalized interest $ 23.0 [1] $ 31.4 [1]
Income taxes paid, net of refunds (0.2) 0
Non-cash [Abstract]    
Deadstock inventory transferred to property, plant and equipment 1.1 4.5
Accrued distribution equivalent rights 0.6 0.3
Changes in receivables from unit offerings 7.1 0
Change in capital accruals 22.7 15.5
Transfers from materials and supplies inventory to property, plant and equipment 0.4 0
Change in ARO cash flow estimate 2.1 0.2
Interest capitalized on major projects $ 6.9 $ 6.1
[1] Interest capitalized on major projects was $6.9 million and $6.1 million for the three months ended March 31, 2014 and 2013.
XML 16 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Debt Obligations (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Debt Instrument [Line Items]    
Long-term debt $ 2,819.7 $ 2,905.3
Letters of credit outstanding 97.2 [1] 86.8 [1]
Accounts Receivable Securitization Facility [Member]
   
Debt Instrument [Line Items]    
Long-term debt 233.5 [2] 279.7 [2]
Maturity Date Dec. 31, 2014  
Range of interest rates and weighted average interest rate [Abstract]    
Range of Interest Rates Incurred, Maximum (in hundredths) 0.90%  
Weighted Average Interest Rate Incurred (in hundredths) 0.90%  
Secured Debt [Member] | Revolving Credit Facility Due 2017 [Member]
   
Debt Instrument [Line Items]    
Long-term debt 355.0 [1] 395.0 [1]
Maturity Date Oct. 31, 2017  
Maximum borrowing capacity under Revolving Credit Facility 1,200  
Availability of credit under senior secured credit facility 747.8  
Range of interest rates and weighted average interest rate [Abstract]    
Weighted Average Interest Rate Incurred (in hundredths) 2.30%  
Secured Debt [Member] | Minimum [Member] | Revolving Credit Facility Due 2017 [Member]
   
Range of interest rates and weighted average interest rate [Abstract]    
Range of Interest Rates Incurred, Minimum (in hundredths) 2.20%  
Secured Debt [Member] | Maximum [Member] | Revolving Credit Facility Due 2017 [Member]
   
Range of interest rates and weighted average interest rate [Abstract]    
Range of Interest Rates Incurred, Maximum (in hundredths) 4.50%  
Unsecured Debt [Member] | Senior Unsecured Notes due 2018 [Member]
   
Debt Instrument [Line Items]    
Long-term debt 250.0 250.0
Maturity Date Oct. 31, 2018  
Interest rate on fixed rate debt (in hundredths) 7.875%  
Unsecured Debt [Member] | Senior Unsecured Notes due 2021 [Member]
   
Debt Instrument [Line Items]    
Long-term debt 483.6 483.6
Maturity Date Feb. 28, 2021  
Interest rate on fixed rate debt (in hundredths) 6.875%  
Unsecured Debt [Member] | Senior Unsecured Notes due 2021 Unamortized Discount [Member]
   
Debt Instrument [Line Items]    
Unamortized discount (27.4) (28.0)
Unsecured Debt [Member] | Senior Unsecured Notes due 2022 [Member]
   
Debt Instrument [Line Items]    
Long-term debt 300.0 300.0
Maturity Date Aug. 31, 2022  
Interest rate on fixed rate debt (in hundredths) 6.375%  
Unsecured Debt [Member] | Senior Unsecured Notes due May 2023 [Member]
   
Debt Instrument [Line Items]    
Long-term debt 600.0 600.0
Maturity Date May 31, 2023  
Interest rate on fixed rate debt (in hundredths) 5.25%  
Unsecured Debt [Member] | Senior Unsecured Notes due November 2023 [Member]
   
Debt Instrument [Line Items]    
Long-term debt $ 625.0 $ 625.0
Maturity Date Nov. 30, 2023  
Interest rate on fixed rate debt (in hundredths) 4.25%  
[1] As of March 31, 2014, availability under our $1.2 billion senior secured revolving credit facility was $747.8 million.
[2] All amounts outstanding under the Securitization Facility are reflected as long-term debt in our balance sheet because we have the ability and intent to fund the Securitization Facility’s borrowings on a long-term basis.
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Segment Information (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Segment
Division
Mar. 31, 2013
Dec. 31, 2013
Segment Information [Abstract]      
Number of divisions 2    
Number of segments 4    
Segment Reporting Information [Line Items]      
Sales of commodities $ 2,144.8 $ 1,283.7  
Fees from midstream services 208.1 114.1  
Revenues 2,352.9 1,397.8  
Operating margin 275.3 174.2  
Other financial information:      
Total assets 5,976.3 5,074.2 5,971.4
Capital expenditures 175.4 206.9  
Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 2,144.8 1,283.7  
Fees from midstream services 208.1 114.1  
Revenues 2,352.9 1,397.8  
Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 0 0  
Fees from midstream services 0 0  
Intersegment revenues 0 0  
Field Gathering and Processing [Member]
     
Segment Reporting Information [Line Items]      
Revenues 488.1 332.2  
Operating margin 94.1 53.8  
Other financial information:      
Total assets 3,275.1 2,854.7  
Capital expenditures 98.9 96.1  
Field Gathering and Processing [Member] | Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 45.8 38.1  
Fees from midstream services 40.8 20.2  
Revenues 86.6 58.3  
Field Gathering and Processing [Member] | Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 400.4 273.0  
Fees from midstream services 1.1 0.9  
Intersegment revenues 401.5 273.9  
Coastal Gathering and Processing [Member]
     
Segment Reporting Information [Line Items]      
Revenues 285.2 230.3  
Operating margin 26.1 23.5  
Other financial information:      
Total assets 385.1 416.3  
Capital expenditures 4.3 6.5  
Coastal Gathering and Processing [Member] | Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 100.5 69.6  
Fees from midstream services 7.7 8.8  
Revenues 108.2 78.4  
Coastal Gathering and Processing [Member] | Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 177.0 151.9  
Fees from midstream services 0 0  
Intersegment revenues 177.0 151.9  
Logistics Assets [Member]
     
Segment Reporting Information [Line Items]      
Revenues 155.9 117.5  
Operating margin 96.6 56.3  
Other financial information:      
Total assets 1,568.7 1,210.7  
Capital expenditures 68.6 103.7  
Logistics Assets [Member] | Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 21.0 32.9  
Fees from midstream services 68.1 47.1  
Revenues 89.1 80.0  
Logistics Assets [Member] | Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 0.6 0.9  
Fees from midstream services 66.2 36.6  
Intersegment revenues 66.8 37.5  
Marketing and Distribution [Member]
     
Segment Reporting Information [Line Items]      
Revenues 2,213.3 1,291.4  
Operating margin 64.6 34.0  
Other financial information:      
Total assets 614.1 436.9  
Capital expenditures 3.1 0  
Marketing and Distribution [Member] | Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 1,983.7 1,136.5  
Fees from midstream services 91.3 38.0  
Revenues 2,075.0 1,174.5  
Marketing and Distribution [Member] | Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 130.4 110.5  
Fees from midstream services 7.9 6.4  
Intersegment revenues 138.3 116.9  
Other Segment [Member]
     
Segment Reporting Information [Line Items]      
Revenues (6.1) 6.6  
Operating margin (6.1) 6.6  
Other financial information:      
Total assets 4.5 21.4  
Capital expenditures 0 0  
Other Segment [Member] | Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities (6.1) 6.6  
Fees from midstream services 0 0  
Revenues (6.1) 6.6  
Other Segment [Member] | Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities 0 0  
Fees from midstream services 0 0  
Intersegment revenues 0 0  
Corporate And Elimination [Member]
     
Segment Reporting Information [Line Items]      
Revenues (783.5) (580.2)  
Operating margin 0 0  
Other financial information:      
Total assets 128.8 134.2  
Capital expenditures 0.5 0.6  
Corporate And Elimination [Member] | Total Outside Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities (0.1) 0  
Fees from midstream services 0.2 0  
Revenues 0.1 0  
Corporate And Elimination [Member] | Total Intersegment Revenues [Member]
     
Segment Reporting Information [Line Items]      
Sales of commodities (708.4) (536.3)  
Fees from midstream services (75.2) (43.9)  
Intersegment revenues $ (783.6) $ (580.2)  
XML 19 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Affiliate (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Schedule of Equity Method Investments [Line Items]    
Beginning $ 55.9  
Equity earnings 4.9 1.6
End of period 53.7  
Cumulative earnings considered as return of capital (2.2) 0
GCF [Member]
   
Schedule of Equity Method Investments [Line Items]    
Ownership interest (in hundredths) 38.80%  
Beginning 55.9  
Equity earnings 4.9  
Cash distributions (7.1) [1]  
End of period 53.7  
Cumulative earnings considered as return of capital $ 2.2  
[1] Includes distributions in excess of cumulative earnings of $2.2 million that are considered a return of capital and disclosed in cash flows from investing activities in the Consolidated Statements of Cash Flows.
XML 20 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Debt Obligations (Tables)
3 Months Ended
Mar. 31, 2014
Debt Obligations [Abstract]  
Schedule of Outstanding Debt
 
March 31, 2014
  
December 31, 2013
 
Senior secured revolving credit facility, variable rate, due October 2017 (1)
 
$
355.0
  
$
395.0
 
Senior unsecured notes, 7⅞% fixed rate, due October 2018
  
250.0
   
250.0
 
Senior unsecured notes, 6% fixed rate, due February 2021
  
483.6
   
483.6
 
Unamortized discount
  
(27.4
)
  
(28.0
)
Senior unsecured notes, 6% fixed rate, due August 2022
  
300.0
   
300.0
 
Senior unsecured notes, 5¼% fixed rate, due May 2023
  
600.0
   
600.0
 
Senior unsecured notes, 4¼% fixed rate, due November 2023
  
625.0
   
625.0
 
Accounts receivable securitization facility, due December 2014 (2)
  
233.5
   
279.7
 
Total long-term debt
 
$
2,819.7
  
$
2,905.3
 
         
Letters of credit outstanding (1)
 
$
97.2
  
$
86.8
 
________
(1)
As of March 31, 2014, availability under our $1.2 billion senior secured revolving credit facility was $747.8 million.
(2)
All amounts outstanding under the Securitization Facility are reflected as long-term debt in our balance sheet because we have the ability and intent to fund the Securitization Facility's borrowings on a long-term basis.

Interest Rates Incurred on Variable-Rate Debt Obligations
The following table shows the range of interest rates and weighted average interest rate incurred on our variable-rate debt obligations during the three months ended March 31, 2014:
 
 
Range of Interest Rates Incurred
  
Weighted Average Interest Rate Incurred
 
Senior secured revolving credit facility
  
2.2% - 4.5
%
  
2.3
%
Accounts receivable securitization facility
  
0.9
%
  
0.9
%
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Basis of Presentation (Policies)
3 Months Ended
Mar. 31, 2014
Basis of Presentation [Abstract]  
Reclassifications Affecting Statement of Cash Flows
Reclassifications Affecting Statement of Cash Flows
 
In conjunction with the ongoing integration of Badlands into our financial reporting environment during 2013, we obtained further information about acquisition date balance sheet, including the nature of the items comprising assumed Accounts payable and accrued liabilities. We determined that certain assumed liabilities related to purchases that, under our accounting policies, we considered capital in nature. Consequently, we made certain refinements to better reflect Badlands cash flow activity on a basis similar to that used for our other operations. As a result of these refinements, certain Badlands cash flow activity was presented in our 2013 Form 10-K on a basis different than that utilized for previous quarterly reporting during 2013. In preparing this quarterly report we have made certain measurement period reclassifications to the comparative Statement of Cash Flows for the three months ended March 31, 2013 to conform to the presentation of our Form 10-K, reclassifying $18.9 million related to capital expenditures previously included in Accounts payable and other liabilities of operating activities to Outlays for property, plant and equipment in investing activities, as shown below.

 
Three Months Ended March 31, 2013
 
Revised line items Consolidated Statement of Cash Flows
 
As Reported
  
Reclassification
  
Revised
 
Cash Flows from operating activities
      
Changes in operating assets and liabilities:
      
Accounts payable and other liabilities
 
$
(64.3
)
 
$
18.9
  
$
(45.4
)
Net cash provided by operating activities
  
171.7
   
18.9
   
190.6
 
            
Cash flows from investing activities:
            
Changes in investing assets and liabilities:
            
Outlays for property, plant and equipment
  
(203.5
)
  
(18.9
)
  
(222.4
)
Net cash used in investing activities
  
(208.1
)
  
(18.9
)
  
(227.0
)
            
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Earnings per Limited Partner Unit (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Earnings per Limited Partner Unit [Abstract]    
Net income $ 131.3 $ 45.3
Less: Net income attributable to noncontrolling interests 8.9 6.4
Net income attributable to Targa Resources Partners LP 122.4 38.9
Net income attributable to general partner 33.8 22.8
Net income attributable to limited partners 88.6 16.1
Net income attributable to Targa Resources Partners LP $ 122.4 $ 38.9
Weighted average units outstanding - basic (in shares) 112.4 101.8
Net income available per limited partner unit - basic (in dollars per share) $ 0.79 $ 0.16
Weighted average units outstanding (in shares) 112.4 101.8
Dilutive effect of unvested stock awards (in shares) 0.6 0.2
Weighted average units outstanding - diluted (in shares) 113.0 102.0
Net income available per limited partner unit - diluted (in dollars per share) $ 0.78 $ 0.16
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Basis of Presentation (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Reclassification [Line Items]    
Amount reclassified from operating activities to investing activities   $ 18.9
Changes in operating assets and liabilities:    
Accounts payable and other liabilities (12.1) (45.4)
Net cash provided by operating activities 316.4 190.6
Changes in investing assets and liabilities:    
Outlays for property, plant and equipment (197.7) (222.4)
Net cash used in investing activities (193.7) (227.0)
As Reported [Member]
   
Changes in operating assets and liabilities:    
Accounts payable and other liabilities   (64.3)
Net cash provided by operating activities   171.7
Changes in investing assets and liabilities:    
Outlays for property, plant and equipment   (203.5)
Net cash used in investing activities   (208.1)
Reclassification [Member]
   
Changes in operating assets and liabilities:    
Accounts payable and other liabilities   18.9
Net cash provided by operating activities   18.9
Changes in investing assets and liabilities:    
Outlays for property, plant and equipment   (18.9)
Net cash used in investing activities   $ (18.9)
XML 25 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2014
Fair Value Measurements [Abstract]  
Schedule of Fair Value of Assets and Liabilities Measured on a Recurring Basis
The following table shows a breakdown by fair value hierarchy category for (1) financial instruments measurements included in our Consolidated Balance Sheets at fair value and (2) supplemental fair value disclosures for other financial instruments:

 
March 31, 2014
 
 
Carrying Value
  
Fair Value
 
 
Total
  
Level 1
  
Level 2
  
Level 3
 
Financial Instruments Recorded on Our Consolidated Balance Sheets at Fair Value:
          
Assets from commodity derivative contracts (1)
 
$
3.9
  
$
3.9
  
$
-
  
$
2.6
  
$
1.3
 
Liabilities from commodity derivative contracts (1)
  
13.5
   
13.5
   
-
   
12.0
   
1.5
 
Badlands contingent consideration liability
  
-
   
-
   
-
   
-
   
-
 
Financial Instruments Recorded on Our Consolidated Balance Sheets at Carrying Value:
                    
Cash and cash equivalents
  
81.4
   
81.4
   
-
   
-
   
-
 
Senior secured revolving credit facility
  
355.0
   
355.0
   
-
   
355.0
   
-
 
Senior unsecured notes
  
2,231.2
   
2,284.0
   
-
   
2,284.0
   
-
 
Accounts receivable securitization facility
  
233.5
   
233.5
   
-
   
233.5
   
-
 
___________
(1)
The fair value of our derivative contracts in this table is presented on a different basis than the balance sheet presentation as disclosed in Note 12. The above fair values reflect the total value of each derivative contract taken as a whole, whereas the balance sheet presentation is based on the individual maturity dates of estimated future settlements.  As such, an individual contract could have both an asset and liability position when segregated into its current and long-term portions for balance sheet classification purposes.
Reconciliation of the Changes in Fair Value of Financial Instruments Classified As Level 3
The following table summarizes the changes in fair value of our financial instruments classified as Level 3 in the fair value hierarchy:
 
 
Commodity Derivative Contracts Asset /(Liability)
 
Balance, December 31, 2013
 
$
0.7
 
Settlements included in Revenue
  
(0.9
)
Balance, March 31, 2014
 
$
(0.2
)
XML 26 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Fair Value Measurements [Abstract]  
Derivative fair value commodity price increases 10 percent, net liability $ 33.1
Derivative fair value commodity price decreases 10 percent, net asset 13.8
Number of natural gas basis swaps categorized as Level 3 14
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]  
Assets from commodity derivative contracts 3.9 [1]
Liability from commodity derivative contracts 13.5 [1]
Badlands contingent consideration liability 0
Cash and cash equivalents 81.4
Senior secured revolving credit facility 355.0
Senior unsecured notes 2,284.0
Accounts receivable securitization facility 233.5
Commodity Derivative Contracts Asset/ (Liability)
 
Fair Value Liabilities Measured On Recurring Basis Unobservable Input Reconciliation [Line Items]  
Balance, December 31, 2013 0.7
Settlements included in Revenue (0.9)
Balance, March 31, 2014 (0.2)
Level 1 [Member]
 
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]  
Assets from commodity derivative contracts 0 [1]
Liability from commodity derivative contracts 0 [1]
Badlands contingent consideration liability 0
Cash and cash equivalents 0
Senior secured revolving credit facility 0
Senior unsecured notes 0
Accounts receivable securitization facility 0
Level 2 [Member]
 
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]  
Assets from commodity derivative contracts 2.6 [1]
Liability from commodity derivative contracts 12.0 [1]
Badlands contingent consideration liability 0
Cash and cash equivalents 0
Senior secured revolving credit facility 355.0
Senior unsecured notes 2,284.0
Accounts receivable securitization facility 233.5
Level 3 [Member]
 
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]  
Assets from commodity derivative contracts 1.3 [1]
Liability from commodity derivative contracts 1.5 [1]
Badlands contingent consideration liability 0
Cash and cash equivalents 0
Senior secured revolving credit facility 0
Senior unsecured notes 0
Accounts receivable securitization facility 0
Carrying Value [Member]
 
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]  
Assets from commodity derivative contracts 3.9 [1]
Liability from commodity derivative contracts 13.5 [1]
Badlands contingent consideration liability 0
Cash and cash equivalents 81.4
Senior secured revolving credit facility 355.0
Senior unsecured notes 2,231.2
Accounts receivable securitization facility $ 233.5
[1] The fair value of our derivative contracts in this table is presented on a different basis than the balance sheet presentation as disclosed in Note 12. The above fair values reflect the total value of each derivative contract taken as a whole, whereas the balance sheet presentation is based on the individual maturity dates of estimated future settlements. As such, an individual contract could have both an asset and liability position when segregated into its current and long-term portions for balance sheet classification purposes.
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XML 29 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation
3 Months Ended
Mar. 31, 2014
Basis of Presentation [Abstract]  
Basis of Presentation
Note 2 — Basis of Presentation

We have prepared these unaudited consolidated financial statements in accordance with GAAP for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. Accordingly, they do not include all of the information and footnotes required by GAAP for complete financial statements. While we derived the year-end balance sheet data from audited financial statements, this interim report does not include all disclosures required by GAAP for annual periods. These unaudited consolidated financial statements and other information included in this Quarterly Report should be read in conjunction with our consolidated financial statements and notes thereto included in our Annual Report.

The unaudited consolidated financial statements for the three months ended March 31, 2014 and 2013 include all adjustments, which we believe are necessary, for a fair presentation of the results for interim periods. All significant intercompany balances and transactions have been eliminated in consolidation. Certain amounts in prior periods may have been reclassified to conform to the current year presentation.

Our financial results for the three months ended March 31, 2014 are not necessarily indicative of the results that may be expected for the full year.
 
Reclassifications Affecting Statement of Cash Flows
 
In conjunction with the ongoing integration of Badlands into our financial reporting environment during 2013, we obtained further information about acquisition date balance sheet, including the nature of the items comprising assumed Accounts payable and accrued liabilities. We determined that certain assumed liabilities related to purchases that, under our accounting policies, we considered capital in nature. Consequently, we made certain refinements to better reflect Badlands cash flow activity on a basis similar to that used for our other operations. As a result of these refinements, certain Badlands cash flow activity was presented in our 2013 Form 10-K on a basis different than that utilized for previous quarterly reporting during 2013. In preparing this quarterly report we have made certain measurement period reclassifications to the comparative Statement of Cash Flows for the three months ended March 31, 2013 to conform to the presentation of our Form 10-K, reclassifying $18.9 million related to capital expenditures previously included in Accounts payable and other liabilities of operating activities to Outlays for property, plant and equipment in investing activities, as shown below.

 
Three Months Ended March 31, 2013
 
Revised line items Consolidated Statement of Cash Flows
 
As Reported
  
Reclassification
  
Revised
 
Cash Flows from operating activities
      
Changes in operating assets and liabilities:
      
Accounts payable and other liabilities
 
$
(64.3
)
 
$
18.9
  
$
(45.4
)
Net cash provided by operating activities
  
171.7
   
18.9
   
190.6
 
            
Cash flows from investing activities:
            
Changes in investing assets and liabilities:
            
Outlays for property, plant and equipment
  
(203.5
)
  
(18.9
)
  
(222.4
)
Net cash used in investing activities
  
(208.1
)
  
(18.9
)
  
(227.0
)
            
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M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0O:F%V87-C3X- M"B`@("`\=&%B;&4@8VQA2!0'1E'0^ M)SQS<&%N/CPOF%T M:6]N(&5X<&5N'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'1E'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'1E'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'1E'1E M7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\ M>&UL('AM;&YS.F\],T0B=7)N.G-C:&5M87,M;6EC'10 L87)T7S%A9C,R.3$R7S@R8C=?-#4S.5\X-3 XML 31 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Inventories (Details) (USD $)
In Millions, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Components of inventory [Abstract]    
Commodities $ 74.7 $ 136.4
Materials and supplies 13.8 14.3
Total inventory $ 88.5 $ 150.7
XML 32 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment and Intangible Assets (Tables)
3 Months Ended
Mar. 31, 2014
Property, Plant and Equipment and Intangible Assets [Abstract]  
Property, Plant and Equipment and Intangible Assets
      
Estimated useful life
 
 
March 31, 2014
  
December 31, 2013
  
(In Years)
 
Gathering systems
 
$
2,293.6
  
$
2,230.1
  
5 to 20
 
Processing and fractionation facilities
  
1,600.7
   
1,598.0
  
5 to 25
 
Terminaling and storage facilities
  
735.4
   
715.2
  
5 to 25
 
Transportation assets
  
334.7
   
294.7
  
10 to 25
 
Other property, plant and equipment
  
124.8
   
121.3
  
3 to 25
 
Land
  
89.7
   
89.5
   
-
 
Construction in progress
  
751.2
   
702.8
   
-
 
Property, plant and equipment
  
5,930.1
   
5,751.6
     
Accumulated depreciation
  
(1,470.3
)
  
(1,406.2
)
    
Property, plant and equipment, net
 
$
4,459.8
  
$
4,345.4
     
             
Intangible assets
 
$
681.8
  
$
681.8
   
20
 
Accumulated amortization
  
(43.7
)
  
(28.4
)
    
Intangible assets, net
 
$
638.1
  
$
653.4
     

XML 33 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Inventories (Tables)
3 Months Ended
Mar. 31, 2014
Inventories [Abstract]  
Components of inventory
The components of inventories consisted of the following:

 
March 31, 2014
  
December 31, 2013
 
Commodities
 
$
74.7
  
$
136.4
 
Materials and supplies
  
13.8
   
14.3
 
 
$
88.5
  
$
150.7
 

XML 34 R56.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Information, Revenues by Product and Service and Reconciliation of Operating Margin to Net Income (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Revenue from External Customer [Line Items]    
Sales of commodities $ 2,144.8 $ 1,283.7
Fees from midstream services 208.1 114.1
Revenues 2,352.9 1,397.8
Reconciliation of operating margin to net income: [Abstract]    
Operating margin 275.3 174.2
Depreciation and amortization expense (79.5) (63.9)
General and administrative expense (35.9) (34.1)
Interest expense, net (33.1) (31.4)
Other, net 5.6 1.4
Income tax expense (1.1) (0.9)
Net income 131.3 45.3
Natural Gas [Member]
   
Revenue from External Customer [Line Items]    
Sales of commodities 392.6 255.3
NGL [Member]
   
Revenue from External Customer [Line Items]    
Sales of commodities 1,710.6 963.5
Condensate [Member]
   
Revenue from External Customer [Line Items]    
Sales of commodities 28.4 27.1
Petroleum Products [Member]
   
Revenue from External Customer [Line Items]    
Sales of commodities 20.1 31.3
Derivative Activities [Member]
   
Revenue from External Customer [Line Items]    
Sales of commodities (6.9) 6.5
Fractionating and Treating [Member]
   
Revenue from External Customer [Line Items]    
Fees from midstream services 46.5 27.2
Storage, Terminaling, Transportation and Export [Member]
   
Revenue from External Customer [Line Items]    
Fees from midstream services 99.6 60.2
Gathering and Processing [Member]
   
Revenue from External Customer [Line Items]    
Fees from midstream services 42.6 18.5
Other [Member]
   
Revenue from External Customer [Line Items]    
Fees from midstream services $ 19.4 $ 8.2
XML 35 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment and Intangible Assets (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 3 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Mar. 31, 2014
Intangible Assets [Member]
Mar. 31, 2014
Gathering systems [Member]
Dec. 31, 2013
Gathering systems [Member]
Mar. 31, 2014
Processing and fractionation facilities [Member]
Dec. 31, 2013
Processing and fractionation facilities [Member]
Mar. 31, 2014
Terminaling and storage facilities [Member]
Dec. 31, 2013
Terminaling and storage facilities [Member]
Mar. 31, 2014
Transportation assets [Member]
Dec. 31, 2013
Transportation assets [Member]
Mar. 31, 2014
Other property, plant and equipment [Member]
Dec. 31, 2013
Other property, plant and equipment [Member]
Mar. 31, 2014
Land [Member]
Dec. 31, 2013
Land [Member]
Mar. 31, 2014
Construction in progress [Member]
Dec. 31, 2013
Construction in progress [Member]
Mar. 31, 2014
Minimum [Member]
Gathering systems [Member]
Mar. 31, 2014
Minimum [Member]
Processing and fractionation facilities [Member]
Mar. 31, 2014
Minimum [Member]
Terminaling and storage facilities [Member]
Mar. 31, 2014
Minimum [Member]
Transportation assets [Member]
Mar. 31, 2014
Minimum [Member]
Other property, plant and equipment [Member]
Mar. 31, 2014
Maximum [Member]
Gathering systems [Member]
Mar. 31, 2014
Maximum [Member]
Processing and fractionation facilities [Member]
Mar. 31, 2014
Maximum [Member]
Terminaling and storage facilities [Member]
Mar. 31, 2014
Maximum [Member]
Transportation assets [Member]
Mar. 31, 2014
Maximum [Member]
Other property, plant and equipment [Member]
Property, Plant and Equipment [Line Items]                                                      
Property, plant and equipment $ 5,930.1 $ 5,751.6   $ 2,293.6 $ 2,230.1 $ 1,600.7 $ 1,598.0 $ 735.4 $ 715.2 $ 334.7 $ 294.7 $ 124.8 $ 121.3 $ 89.7 $ 89.5 $ 751.2 $ 702.8                    
Accumulated depreciation (1,470.3) (1,406.2)                                                  
Property, plant and equipment, net 4,459.8 4,345.4                                                  
Estimated useful lives                                   5 years 5 years 5 years 10 years 3 years 20 years 25 years 25 years 25 years 25 years
Intangible assets 681.8 681.8                                                  
Accumulated amortization (43.7) (28.4)                                                  
Intangible assets, net $ 638.1 $ 653.4                                                  
Finite-Lived Intangible Assets [Line Items]                                                      
Intangible assets, estimated useful lives (in years)     20 years                                                
XML 36 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Asset Retirement Obligations (Tables)
3 Months Ended
Mar. 31, 2014
Asset Retirement Obligations [Abstract]  
Changes in Aggregate Asset Retirement Obligations
Our asset retirement obligations primarily relate to certain gas gathering pipelines and processing facilities, and are included in our consolidated balance sheets as a component of other long-term liabilities. The changes in our aggregate asset retirement obligations are as follows:

 
Three Months Ended
 
 
March 31, 2014
 
Beginning of period
 
$
50.5
 
Change in cash flow estimate
  
2.1
 
Accretion expense
  
1.2
 
End of period
 
$
53.8
 

XML 37 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Affiliate (Tables)
3 Months Ended
Mar. 31, 2014
Investment in Unconsolidated Affiliate [Abstract]  
Activity Related to Investment in Unconsolidated Affiliate
The following table shows the activity related to our investment in GCF:

 
Three Months Ended
 
 
March 31, 2014
 
Beginning of period
 
$
55.9
 
Equity earnings
  
4.9
 
Cash distributions (1)
  
(7.1
)
End of period
 
$
53.7
 
___________
(1)
Includes distributions in excess of cumulative earnings of $2.2 million that are considered a return of capital and disclosed in cash flows from investing activities in the Consolidated Statements of Cash Flows.
XML 38 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization and Operations
3 Months Ended
Mar. 31, 2014
Organization and Operations [Abstract]  
Organization and Operations
Note 1 — Organization and Operations

Our Organization

Targa Resources Partners LP is a publicly traded Delaware limited partnership formed in October 2006 by Targa Resources Corp. ("Targa" or "Parent"). Our common units, which represent limited partner interests in us, are listed on the New York Stock Exchange under the symbol "NGLS." In this Quarterly Report, unless the context requires otherwise, references to "we," "us," "our" or the "Partnership" are intended to mean the business and operations of Targa Resources Partners LP and its consolidated subsidiaries.

Targa Resources GP LLC is a Delaware limited liability company formed by Targa in October 2006 to own a 2% general partner interest in us. Its primary business purpose is to manage our affairs and operations. Targa Resources GP LLC is an indirect wholly owned subsidiary of Targa. As of March 31, 2014, Targa owned a 13.2% interest in us in the form of 2,316,210 general partner units and 12,945,659 common units. In addition, Targa Resources GP LLC also owns incentive distribution rights ("IDRs"), which entitle it to receive increasing cash distributions up to 48% of distributable cash for a quarter.

Allocation of costs

The employees supporting our operations are employed by Targa Resources LLC, a Delaware limited liability company and an indirect wholly owned subsidiary of Targa. Our financial statements include the direct costs of Targa employees deployed to our operating segments, as well as an allocation of costs associated with our usage of Targa centralized general and administrative services.

Our Operations

We are engaged in the business of gathering, compressing, treating, processing and selling natural gas; storing, fractionating, treating, transporting and selling NGLs and NGL products; gathering, storing and terminaling crude oil; and storing, terminaling and selling refined petroleum products. See Note 17 for certain financial information for our business segments.

XML 39 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accounts Payable and Accrued Liabilities (Tables)
3 Months Ended
Mar. 31, 2014
Accounts Payable and Accrued Liabilities [Abstract]  
Schedule of Accounts Payable and Accrued Liabilities
The components of accounts payable and accrued liabilities consisted of the following:

 
March 31, 2014
  
December 31, 2013
 
Commodities
 
$
528.1
  
$
520.8
 
Other goods and services
  
108.5
   
145.1
 
Interest
  
42.3
   
35.8
 
Compensation and benefits
  
1.7
   
1.3
 
Income and other taxes
  
12.0
   
11.1
 
Other
  
6.2
   
7.1
 
 
$
698.8
  
$
721.2
 
 
XML 40 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Information (Tables)
3 Months Ended
Mar. 31, 2014
Segment Information [Abstract]  
Information by Segment
Our reportable segment information is shown in the following tables:

  
Three Months Ended March 31, 2014
 
  
Field
  
Coastal
           
  
Gathering
  
Gathering
    
Marketing
    
Corporate
   
  
and
  
and
  
Logistics
  
and
    
and
   
  
Processing
  
Processing
  
Assets
  
Distribution
  
Other
  
Eliminations
  
Total
 
Revenues
              
Sales of commodities
 
$
45.8
  
$
100.5
  
$
21.0
  
$
1,983.7
  
$
(6.1
)
 
$
(0.1
)
 
$
2,144.8
 
Fees from midstream services
  
40.8
   
7.7
   
68.1
   
91.3
   
-
   
0.2
   
208.1
 
   
86.6
   
108.2
   
89.1
   
2,075.0
   
(6.1
)
  
0.1
   
2,352.9
 
Intersegment revenues
                            
Sales of commodities
  
400.4
   
177.0
   
0.6
   
130.4
   
-
   
(708.4
)
  
-
 
Fees from midstream services
  
1.1
   
-
   
66.2
   
7.9
   
-
   
(75.2
)
  
-
 
   
401.5
   
177.0
   
66.8
   
138.3
   
-
   
(783.6
)
  
-
 
Revenues
 
$
488.1
  
$
285.2
  
$
155.9
  
$
2,213.3
  
$
(6.1
)
 
$
(783.5
)
 
$
2,352.9
 
Operating margin
 
$
94.1
  
$
26.1
  
$
96.6
  
$
64.6
  
$
(6.1
)
 
$
-
  
$
275.3
 
Other financial information:
                            
Total assets
 
$
3,275.1
  
$
385.1
  
$
1,568.7
  
$
614.1
  
$
4.5
  
$
128.8
  
$
5,976.3
 
Capital expenditures
 
$
98.9
  
$
4.3
  
$
68.6
  
$
3.1
  
$
-
  
$
0.5
  
$
175.4
 

  
Three Months Ended March 31, 2013
 
  
Field
  
Coastal
           
  
Gathering
  
Gathering
    
Marketing
    
Corporate
   
  
and
  
and
  
Logistics
  
and
    
and
   
  
Processing
  
Processing
  
Assets
  
Distribution
  
Other
  
Eliminations
  
Total
 
Revenues
              
Sales of commodities
 
$
38.1
  
$
69.6
  
$
32.9
  
$
1,136.5
  
$
6.6
  
$
-
  
$
1,283.7
 
Fees from midstream services
  
20.2
   
8.8
   
47.1
   
38.0
   
-
   
-
   
114.1
 
   
58.3
   
78.4
   
80.0
   
1,174.5
   
6.6
   
-
   
1,397.8
 
Intersegment revenues
                            
Sales of commodities
  
273.0
   
151.9
   
0.9
   
110.5
   
-
   
(536.3
)
  
-
 
Fees from midstream services
  
0.9
   
-
   
36.6
   
6.4
   
-
   
(43.9
)
  
-
 
   
273.9
   
151.9
   
37.5
   
116.9
   
-
   
(580.2
)
  
-
 
Revenues
 
$
332.2
  
$
230.3
  
$
117.5
  
$
1,291.4
  
$
6.6
  
$
(580.2
)
 
$
1,397.8
 
Operating margin
 
$
53.8
  
$
23.5
  
$
56.3
  
$
34.0
  
$
6.6
  
$
-
  
$
174.2
 
Other financial information:
                            
Total assets
 
$
2,854.7
  
$
416.3
  
$
1,210.7
  
$
436.9
  
$
21.4
  
$
134.2
  
$
5,074.2
 
Capital expenditures
 
$
96.1
  
$
6.5
  
$
103.7
  
$
-
  
$
-
  
$
0.6
  
$
206.9
 

Revenues by Product and Service
The following table shows our consolidated revenues by product and service for the periods presented:

 
Three Months Ended March 31,
 
  
2014
  
2013
 
Sales of commodities
    
Natural gas
 
$
392.6
  
$
255.3
 
NGL
  
1,710.6
   
963.5
 
Condensate
  
28.4
   
27.1
 
Petroleum products
  
20.1
   
31.3
 
Derivative activities
  
(6.9
)
  
6.5
 
   
2,144.8
   
1,283.7
 
Fees from midstream services
        
Fractionating and treating
  
46.5
   
27.2
 
Storage, terminaling, transportation and export
  
99.6
   
60.2
 
Gathering and processing
  
42.6
   
18.5
 
Other
  
19.4
   
8.2
 
   
208.1
   
114.1
 
Total revenues
 
$
2,352.9
  
$
1,397.8
 

Reconciliation of Operating Margin to Net Income
The following table shows a reconciliation of operating margin to net income for the periods presented:

 
Three Months Ended March 31,
 
 
2014
  
2013
 
Reconciliation of operating margin to net income:
    
Operating margin
 
$
275.3
  
$
174.2
 
Depreciation and amortization expense
  
(79.5
)
  
(63.9
)
General and administrative expense
  
(35.9
)
  
(34.1
)
Interest expense, net
  
(33.1
)
  
(31.4
)
Other, net
  
5.6
   
1.4
 
Income tax expense
  
(1.1
)
  
(0.9
)
Net income
 
$
131.3
  
$
45.3
 


XML 41 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Related Party Transactions [Abstract]    
Parent billings of payroll and related costs included in operating expense $ 29.9 $ 26.5
Parent allocation of general & administrative expense 33.4 32.6
Cash distributions to Targa based on unit ownership 41.5 30.7
Contributions from Targa $ 2.4 $ 2.3
XML 42 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (Unaudited) (USD $)
In Millions, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Current assets:    
Cash and cash equivalents $ 81.4 $ 57.5
Trade receivables, net of allowances of $0.9 million and $0.9 million 610.1 658.6
Inventories 88.5 150.7
Assets from risk management activities 1.6 2.0
Other current assets 4.0 7.1
Total current assets 785.6 875.9
Property, plant and equipment 5,930.1 5,751.6
Accumulated depreciation (1,470.3) (1,406.2)
Property, plant and equipment, net 4,459.8 4,345.4
Other intangible assets, net 638.1 653.4
Long-term assets from risk management activities 2.9 3.1
Investment in unconsolidated affiliate 53.7 55.9
Other long-term assets 36.2 37.7
Total assets 5,976.3 5,971.4
Current liabilities:    
Accounts payable and accrued liabilities 698.8 721.2
Accounts payable to Targa Resources Corp. 41.1 52.4
Liabilities from risk management activities 12.9 8.0
Total current liabilities 752.8 781.6
Long-term debt 2,819.7 2,905.3
Long-term liabilities from risk management activities 1.2 1.4
Deferred income taxes 12.5 12.1
Other long-term liabilities 55.3 52.6
Commitments and contingencies (see Note 15)      
Owners' equity:    
Common unitholders (113,494,218 and 111,263,207 units issued and outstanding as of March 31, 2014 and December 31, 2013) 2,123.8 2,001.9
General partner (2,316,210 and 2,270,680 units issued and outstanding as of March 31, 2014 and December 31, 2013) 66.4 62.0
Receivables from unit offerings (7.1) 0
Accumulated other comprehensive income (10.4) (6.1)
Partners' Capital 2,172.7 2,057.8
Noncontrolling interests in subsidiaries 162.1 160.6
Total owners' equity 2,334.8 2,218.4
Total liabilities and owners' equity $ 5,976.3 $ 5,971.4
XML 43 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Asset Retirement Obligations (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Changes in aggregate asset retirement obligations [Roll Forward]    
Beginning of period $ 50.5  
Change in cash flow estimate 2.1 0.2
Accretion expense 1.2 1.1
End of period $ 53.8  
XML 44 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF CHANGES IN OWNERS' EQUITY (Unaudited) (USD $)
In Millions, except Share data
Limited Partners Common [Member]
General Partner [Member]
Receivables From Unit Offerings [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Non-controlling Interests [Member]
Total
Beginning Balance at Dec. 31, 2012 $ 1,649.5 $ 45.3 $ 0 $ 14.8 $ 150.5 $ 1,860.1
Beginning Balance (in units) at Dec. 31, 2012 100,096,000 2,043,000        
Compensation on equity grants 1.7 0 0 0 0 1.7
Compensation on equity grants (in units) 13,000 0        
Accrual of distribution equivalent rights (0.3) 0 0 0 0 (0.3)
Equity offerings 105.3 2.3 0 0 0 107.6
Equity offerings (in units) 2,668,000 54,000        
Distributions to noncontrolling interests 0 0 0 0 (3.7) (3.7)
Contribution from noncontrolling interests 0 0 0 0 2.1 2.1
Other comprehensive loss 0 0 0 (12.5) 0 (12.5)
Net income 16.1 22.8 0 0 6.4 45.3
Distributions (69.0) (21.9) 0 0 0 (90.9)
Ending Balance at Mar. 31, 2013 1,703.3 48.5 0 2.3 155.3 1,909.4
Ending Balance (in units) at Mar. 31, 2013 102,777,000 2,097,000        
Beginning Balance at Dec. 31, 2013 2,001.9 62.0 0 (6.1) 160.6 2,218.4
Beginning Balance (in units) at Dec. 31, 2013 111,263,000 2,271,000        
Compensation on equity grants 2.6 0 0 0 0 2.6
Compensation on equity grants (in units) 9,000 0        
Accrual of distribution equivalent rights (0.6) 0 0 0 0 (0.6)
Equity offerings 115.3 2.4 (7.1) 0 0 110.6
Equity offerings (in units) 2,222,000 45,000        
Distributions to noncontrolling interests 0 0 0 0 (7.4) (7.4)
Other comprehensive loss 0 0 0 (4.3) 0 (4.3)
Net income 88.6 33.8 0 0 8.9 131.3
Distributions (84.0) (31.8) 0 0 0 (115.8)
Ending Balance at Mar. 31, 2014 $ 2,123.8 $ 66.4 $ (7.1) $ (10.4) $ 162.1 $ 2,334.8
Ending Balance (in units) at Mar. 31, 2014 113,494,000 2,316,000        
XML 45 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings per Limited Partner Unit (Tables)
3 Months Ended
Mar. 31, 2014
Earnings per Limited Partner Unit [Abstract]  
Earnings per Limited Partner Unit
The following table sets forth a reconciliation of net income and weighted average shares outstanding used in computing basic and diluted net income per limited partner:

 
Three Months Ended March 31,
 
 
2014
  
2013
 
Net income
 
$
131.3
  
$
45.3
 
Less: Net income attributable to noncontrolling interests
  
8.9
   
6.4
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
  
$
38.9
 
        
Net income attributable to general partner
 
$
33.8
  
$
22.8
 
Net income attributable to limited partners
  
88.6
   
16.1
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
  
$
38.9
 
        
Weighted average units outstanding - basic
  
112.4
   
101.8
 
        
Net income available per limited partner unit - basic
 
$
0.79
  
$
0.16
 
        
Weighted average units outstanding
  
112.4
   
101.8
 
Dilutive effect of unvested stock awards
  
0.6
   
0.2
 
Weighted average units outstanding - diluted
  
113.0
   
102.0
 
        
Net income available per limited partner unit - diluted
 
$
0.78
  
$
0.16
 

XML 46 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies
3 Months Ended
Mar. 31, 2014
Commitments and Contingencies [Abstract]  
Commitments and Contingencies
Note 15 Commitments and Contingencies
Legal Proceedings

We are a party to various legal proceedings and/or regulatory proceedings and certain claims, suits and complaints arising in the ordinary course of business that have been filed or are pending against us. We believe all such matters are without merit or involve amounts which, if resolved unfavorably, would not have a material effect on our financial position, results of operations or cash flows.
 
XML 47 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Derivative Instruments and Hedging Activities (Tables)
3 Months Ended
Mar. 31, 2014
Derivative Instruments and Hedging Activities [Abstract]  
Notional Volume of Commodity Hedges
At March 31, 2014, the notional volumes of our commodity hedges for equity volumes were:

Commodity
Instrument
Unit
 
2014
  
2015
  
2016
 
Natural Gas
Swaps
MMBtu/d
  
54,050
   
40,551
   
25,500
 
NGL
Swaps
Bbl/d
  
1,125
   
-
   
-
 
Condensate
Swaps
Bbl/d
  
2,450
   
-
   
-
 
Fair Values of Derivative Instruments
The following schedules reflect the fair values of our derivative instruments and their location in our Consolidated Balance Sheets as well as pro forma reporting assuming that we reported derivatives subject to master netting agreements on a net basis:

  
Fair Value as of March 31, 2014
  
Fair Value as of December 31, 2013
 
 
Balance Sheet
Derivative
Derivative
Derivative
Derivative
 
Location
Assets
Liabilities
Assets
Liabilities
Derivatives designated as hedging instruments
        
Commodity contracts
Current
 
$
1.6
  
$
(12.8
)
 
$
2.0
  
$
(7.7
)
 
Long-term
2.9
(1.2
)
3.1
(1.4
)
Total derivatives designated as hedging instruments
 
$
4.5
  
$
(14.0
)
 
$
5.1
  
$
(9.1
)
                  
Derivatives not designated as hedging instruments
                
Commodity contracts
Current
 
$
-
  
$
(0.1
)
 
$
-
  
$
(0.3
)
Total derivatives not designated as hedging instruments
 
$
-
  
$
(0.1
)
 
$
-
  
$
(0.3
)
                  
Total current position
 
$
1.6
  
$
(12.9
)
 
$
2.0
  
$
(8.0
)
Total long-term position
  
2.9
   
(1.2
)
  
3.1
   
(1.4
)
Total derivatives
 
$
4.5
  
$
(14.1
)
 
$
5.1
  
$
(9.4
)
Pro Forma Impact of Derivatives Net In Consolidated Balance Sheet
The pro forma impact of reporting derivatives in the Consolidated Balance Sheets is as follows:
 
         
 
Gross Presentation
  
Pro forma Net Presentation
 
 
Asset
  
Liability
  
Asset
  
Liability
 
March 31, 2014
 
Position
  
Position
  
Position
  
Position
 
Current position
        
Counterparties with offsetting position
 
$
1.6
  
$
(3.4
)
 
$
-
  
$
(1.8
)
Counterparties without offsetting position - assets
  
-
   
-
   
-
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(9.5
)
  
-
   
(9.5
)
   
1.6
   
(12.9
)
  
-
   
(11.3
)
Long-term position
                
Counterparties with offsetting position
  
1.0
   
(0.3
)
  
0.7
   
-
 
Counterparties without offsetting position - assets
  
1.9
   
-
   
1.9
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(0.9
)
  
-
   
(0.9
)
   
2.9
   
(1.2
)
  
2.6
   
(0.9
)
Total derivatives
                
Counterparties with offsetting position
  
2.6
   
(3.7
)
  
0.7
   
(1.8
)
Counterparties without offsetting position - assets
  
1.9
   
-
   
1.9
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(10.4
)
  
-
   
(10.4
)
 
$
4.5
  
$
(14.1
)
 
$
2.6
  
$
(12.2
)
                 
December 31, 2013
                
Current position
                
Counterparties with offsetting position
 
$
1.9
  
$
(4.4
)
 
$
-
  
$
(2.5
)
Counterparties without offsetting position - assets
  
0.1
   
-
   
0.1
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(3.6
)
  
-
   
(3.6
)
   
2.0
   
(8.0
)
  
0.1
   
(6.1
)
Long-term position
                
Counterparties with offsetting position
  
0.7
   
(1.2
)
  
-
   
(0.5
)
Counterparties without offsetting position - assets
  
2.4
   
-
   
2.4
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(0.2
)
  
-
   
(0.2
)
   
3.1
   
(1.4
)
  
2.4
   
(0.7
)
Total derivatives
                
Counterparties with offsetting position
  
2.6
   
(5.6
)
  
-
   
(3.0
)
Counterparties without offsetting position - assets
  
2.5
   
-
   
2.5
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(3.8
)
  
-
   
(3.8
)
 
$
5.1
  
$
(9.4
)
 
$
2.5
  
$
(6.8
)

Cash Flow Hedges Included In Accumulated Other Comprehensive Income (Loss)
The following tables reflect amounts recorded in OCI and amounts reclassified from OCI to revenue and expense for the periods indicated:
 
Gain (Loss) Recognized in OCI on Derivatives
(Effective Portion)
 
Three Months Ended March 31,
 
Derivatives in Cash Flow Hedging Relationships
 
2014
  
2013
 
Commodity contracts
 
$
(11.9
)
 
$
(7.6
)
        
Schedule of Gain (Loss) On Financial Instruments
Gain (Loss) Reclassified from OCI into Income
(Effective Portion)
 
Location of Gain (Loss)
Three Months Ended March 31,
 
2014
 
2013
 
Interest expense, net
 
$
(1.3
)
 
$
(1.7
)
Revenues
  
(6.3
)
  
6.6
 
 
$
(7.6
)
 
$
4.9
 


XML 48 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Information
3 Months Ended
Mar. 31, 2014
Segment Information [Abstract]  
Segment Information
Note 17 — Segment Information

We report our operations in two divisions: (i) Gathering and Processing, consisting of two reportable segments – (a) Field Gathering and Processing and (b) Coastal Gathering and Processing; and (ii) Logistics and Marketing consisting of two reportable segments – (a) Logistics Assets and (b) Marketing and Distribution. The financial results of our hedging activities are reported in Other.

Our Gathering and Processing division includes assets used in the gathering of natural gas produced from oil and gas wells and processing this raw natural gas into merchantable natural gas by extracting NGLs and removing impurities; and assets used for crude oil gathering and terminaling. The Field Gathering and Processing segment's assets are located in North Texas, the Permian Basin of West Texas, New Mexico and in North Dakota. The Coastal Gathering and Processing segment's assets are located in the onshore and near offshore regions of the Louisiana Gulf Coast and the Gulf of Mexico.

Our Logistics and Marketing division is also referred to as our Downstream Business. Our Downstream Business includes all the activities necessary to convert mixed NGLs into NGL products and provides certain value added services such as storing, terminaling, distributing and marketing of NGLs, refined petroleum products and crude oil. It also includes certain natural gas supply and marketing activities in support of our other operations, including services to LPG exporters, as well as transporting natural gas and NGLs.

Our Logistics Assets segment is involved in transporting, storing, and fractionating mixed NGLs; storing, terminaling, and transporting finished NGLs, including services for exported LPGs; and storing and terminaling refined petroleum products. These assets are generally connected to and supplied in part by our Gathering and Processing segments and are predominantly located in Mont Belvieu, and Galena Park, Texas and Lake Charles, Louisiana.

Our Marketing and Distribution segment covers activities required to distribute and market raw and finished NGLs and all natural gas marketing activities. It includes (1) marketing our own NGL production and purchasing NGL products for resale in selected United States markets; (2) providing LPG balancing services to refinery customers; (3) transporting, storing and selling propane and providing related propane logistics services to multi-state retailers, independent retailers and other end-users; (4) providing propane, butane and services to LPG exporters; and (5) marketing natural gas available to us from our Gathering and Processing division and the purchase and resale and other value added activities related to third-party natural gas in selected United States markets.

Other contains the results of our commodity hedging activities included in operating margin. Eliminations of inter-segment transactions are reflected in the corporate and eliminations column.
 
Our reportable segment information is shown in the following tables:

  
Three Months Ended March 31, 2014
 
  
Field
  
Coastal
           
  
Gathering
  
Gathering
    
Marketing
    
Corporate
   
  
and
  
and
  
Logistics
  
and
    
and
   
  
Processing
  
Processing
  
Assets
  
Distribution
  
Other
  
Eliminations
  
Total
 
Revenues
              
Sales of commodities
 
$
45.8
  
$
100.5
  
$
21.0
  
$
1,983.7
  
$
(6.1
)
 
$
(0.1
)
 
$
2,144.8
 
Fees from midstream services
  
40.8
   
7.7
   
68.1
   
91.3
   
-
   
0.2
   
208.1
 
   
86.6
   
108.2
   
89.1
   
2,075.0
   
(6.1
)
  
0.1
   
2,352.9
 
Intersegment revenues
                            
Sales of commodities
  
400.4
   
177.0
   
0.6
   
130.4
   
-
   
(708.4
)
  
-
 
Fees from midstream services
  
1.1
   
-
   
66.2
   
7.9
   
-
   
(75.2
)
  
-
 
   
401.5
   
177.0
   
66.8
   
138.3
   
-
   
(783.6
)
  
-
 
Revenues
 
$
488.1
  
$
285.2
  
$
155.9
  
$
2,213.3
  
$
(6.1
)
 
$
(783.5
)
 
$
2,352.9
 
Operating margin
 
$
94.1
  
$
26.1
  
$
96.6
  
$
64.6
  
$
(6.1
)
 
$
-
  
$
275.3
 
Other financial information:
                            
Total assets
 
$
3,275.1
  
$
385.1
  
$
1,568.7
  
$
614.1
  
$
4.5
  
$
128.8
  
$
5,976.3
 
Capital expenditures
 
$
98.9
  
$
4.3
  
$
68.6
  
$
3.1
  
$
-
  
$
0.5
  
$
175.4
 

  
Three Months Ended March 31, 2013
 
  
Field
  
Coastal
           
  
Gathering
  
Gathering
    
Marketing
    
Corporate
   
  
and
  
and
  
Logistics
  
and
    
and
   
  
Processing
  
Processing
  
Assets
  
Distribution
  
Other
  
Eliminations
  
Total
 
Revenues
              
Sales of commodities
 
$
38.1
  
$
69.6
  
$
32.9
  
$
1,136.5
  
$
6.6
  
$
-
  
$
1,283.7
 
Fees from midstream services
  
20.2
   
8.8
   
47.1
   
38.0
   
-
   
-
   
114.1
 
   
58.3
   
78.4
   
80.0
   
1,174.5
   
6.6
   
-
   
1,397.8
 
Intersegment revenues
                            
Sales of commodities
  
273.0
   
151.9
   
0.9
   
110.5
   
-
   
(536.3
)
  
-
 
Fees from midstream services
  
0.9
   
-
   
36.6
   
6.4
   
-
   
(43.9
)
  
-
 
   
273.9
   
151.9
   
37.5
   
116.9
   
-
   
(580.2
)
  
-
 
Revenues
 
$
332.2
  
$
230.3
  
$
117.5
  
$
1,291.4
  
$
6.6
  
$
(580.2
)
 
$
1,397.8
 
Operating margin
 
$
53.8
  
$
23.5
  
$
56.3
  
$
34.0
  
$
6.6
  
$
-
  
$
174.2
 
Other financial information:
                            
Total assets
 
$
2,854.7
  
$
416.3
  
$
1,210.7
  
$
436.9
  
$
21.4
  
$
134.2
  
$
5,074.2
 
Capital expenditures
 
$
96.1
  
$
6.5
  
$
103.7
  
$
-
  
$
-
  
$
0.6
  
$
206.9
 

The following table shows our consolidated revenues by product and service for the periods presented:

 
Three Months Ended March 31,
 
  
2014
  
2013
 
Sales of commodities
    
Natural gas
 
$
392.6
  
$
255.3
 
NGL
  
1,710.6
   
963.5
 
Condensate
  
28.4
   
27.1
 
Petroleum products
  
20.1
   
31.3
 
Derivative activities
  
(6.9
)
  
6.5
 
   
2,144.8
   
1,283.7
 
Fees from midstream services
        
Fractionating and treating
  
46.5
   
27.2
 
Storage, terminaling, transportation and export
  
99.6
   
60.2
 
Gathering and processing
  
42.6
   
18.5
 
Other
  
19.4
   
8.2
 
   
208.1
   
114.1
 
Total revenues
 
$
2,352.9
  
$
1,397.8
 

The following table shows a reconciliation of operating margin to net income for the periods presented:

 
Three Months Ended March 31,
 
 
2014
  
2013
 
Reconciliation of operating margin to net income:
    
Operating margin
 
$
275.3
  
$
174.2
 
Depreciation and amortization expense
  
(79.5
)
  
(63.9
)
General and administrative expense
  
(35.9
)
  
(34.1
)
Interest expense, net
  
(33.1
)
  
(31.4
)
Other, net
  
5.6
   
1.4
 
Income tax expense
  
(1.1
)
  
(0.9
)
Net income
 
$
131.3
  
$
45.3
 
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CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Cash flows from operating activities    
Net income $ 131.3 $ 45.3
Adjustments to reconcile net income to net cash provided by operating activities:    
Amortization in interest expense 3.4 4.0
Compensation on equity grants 2.6 1.7
Depreciation and amortization expense 79.5 63.9
Accretion of asset retirement obligations 1.2 1.1
Deferred income tax expense 0.4 0.4
Equity earnings, net of distributions 0 (1.6)
Risk management activities (0.3) (0.2)
Gain on sale or disposition of assets (0.8) (0.1)
Changes in operating assets and liabilities:    
Receivables and other assets 50.6 87.9
Inventories 60.6 33.6
Accounts payable and other liabilities (12.1) (45.4)
Net cash provided by operating activities 316.4 190.6
Cash flows from investing activities    
Outlays for property, plant and equipment (197.7) (222.4)
Purchase of materials and supplies 0.1 0
Return of capital from unconsolidated affiliate 2.2 0
Other, net 1.7 (4.6)
Net cash used in investing activities (193.7) (227.0)
Cash flows from financing activities    
Proceeds from borrowings under credit facility 460.0 325.0
Repayments of credit facility (500.0) (380.0)
Borrowings from accounts receivable securitization facility 29.5 171.4
Repayments of accounts receivable securitization facility (75.7) (60.0)
Costs incurred in connection with financing arrangements (1.2) (3.1)
Proceeds from equity offerings 111.8 109.7
Distributions (115.8) (90.9)
Contributions from noncontrolling interests 0 2.1
Distributions to noncontrolling interests (7.4) (3.7)
Net cash provided by (used in) financing activities (98.8) 70.5
Net change in cash and cash equivalents 23.9 34.1
Cash and cash equivalents, beginning of period 57.5 68.0
Cash and cash equivalents, end of period $ 81.4 $ 102.1
XML 51 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (Unaudited) (Parenthetical) (USD $)
In Millions, except Share data, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Current assets:    
Allowance for receivables $ 0.9 $ 0.9
Owners' equity:    
Common unitholders units issued (in units) 113,494,218 111,263,207
Common unitholders units outstanding (in units) 113,494,218 111,263,207
General partner units issued (in units) 2,316,210 2,270,680
General partner units outstanding (in units) 2,316,210 2,270,680
XML 52 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Partnership Units and Related Matters
3 Months Ended
Mar. 31, 2014
Partnership Units and Related Matters [Abstract]  
Partnership Units and Related Matters
Note 10 — Partnership Units and Related Matters

Public Offerings of Common Units

During 2014, we issued 2,222,271 common units under an equity distribution agreement entered into in August 2013 (the "August 2013 EDA"), receiving net proceeds of $115.3 million, of which $5.9 million was received in April. Targa contributed $2.4 million to us to maintain its 2% general partner interest, of which $1.2 million was received in April.

Subsequent Event

In April 2014, we issued 802,630 common units under the August 2013 EDA, receiving net proceeds of $47.7 million. Targa contributed $1.0 million to us to maintain its 2% general partner interest. As of April 18, 2014, approximately $7.4 million of the aggregate offering amount remained available for sale pursuant to the August 2013 EDA.
 
Distributions

In accordance with the Partnership Agreement, we must distribute all of our available cash, as determined by the general partner, to unitholders of record within 45 days after the end of each quarter. The following table details the distributions declared and/or paid by us for the three months ended March 31, 2014.

 
Distributions
  
Three Months Ended
Date Paid or to be Paid
Limited Partners
 
General Partner
 
Distributions per Limited Partner Unit
 
Common
 
Incentive
   
2
%
Total
 
         
 
(In millions, except per unit amounts)
 
         
March 31, 2014
May 15, 2014
 
$
87.2
  
$
31.7
  
$
2.4
  
$
121.3
  
$
0.7625
 
December 31, 2013
February 14, 2014
  
84.0
   
29.5
   
2.3
   
115.8
   
0.7475
 
XML 53 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
3 Months Ended
Mar. 31, 2014
Apr. 18, 2014
Common Units [Member]
Apr. 18, 2014
General Partner Units [Member]
Document and Entity Information [Line Items]      
Entity Registrant Name Targa Resources Partners LP    
Entity Central Index Key 0001379661    
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   114,296,848 2,332,590
Document Fiscal Year Focus 2014    
Document Fiscal Period Focus Q1    
Document Type 10-Q    
Amendment Flag false    
Document Period End Date Mar. 31, 2014    
XML 54 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings per Limited Partner Unit
3 Months Ended
Mar. 31, 2014
Earnings per Limited Partner Unit [Abstract]  
Earnings per Limited Partner Unit
Note 11 — Earnings per Limited Partner Unit

The following table sets forth a reconciliation of net income and weighted average shares outstanding used in computing basic and diluted net income per limited partner:

 
Three Months Ended March 31,
 
 
2014
  
2013
 
Net income
 
$
131.3
  
$
45.3
 
Less: Net income attributable to noncontrolling interests
  
8.9
   
6.4
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
  
$
38.9
 
        
Net income attributable to general partner
 
$
33.8
  
$
22.8
 
Net income attributable to limited partners
  
88.6
   
16.1
 
Net income attributable to Targa Resources Partners LP
 
$
122.4
  
$
38.9
 
        
Weighted average units outstanding - basic
  
112.4
   
101.8
 
        
Net income available per limited partner unit - basic
 
$
0.79
  
$
0.16
 
        
Weighted average units outstanding
  
112.4
   
101.8
 
Dilutive effect of unvested stock awards
  
0.6
   
0.2
 
Weighted average units outstanding - diluted
  
113.0
   
102.0
 
        
Net income available per limited partner unit - diluted
 
$
0.78
  
$
0.16
 

XML 55 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited) [Abstract]    
Revenues $ 2,352.9 $ 1,397.8
Costs and expenses:    
Product purchases 1,973.3 1,137.5
Operating expenses 104.3 86.1
Depreciation and amortization expenses 79.5 63.9
General and administrative expenses 35.9 34.1
Other operating expense (0.7) 0
Income from operations 160.6 76.2
Other income (expense):    
Interest expense, net (33.1) (31.4)
Equity earnings (loss) 4.9 1.6
Other 0 (0.2)
Income before income taxes 132.4 46.2
Income tax expense:    
Current (0.7) (0.5)
Deferred (0.4) (0.4)
Total income tax expense (1.1) (0.9)
Net income 131.3 45.3
Less: Net income attributable to noncontrolling interests 8.9 6.4
Net income attributable to Targa Resources Partners LP 122.4 38.9
Net income attributable to general partner 33.8 22.8
Net income attributable to limited partners 88.6 16.1
Net income attributable to Targa Resources Partners LP $ 122.4 $ 38.9
Net income per limited partner unit - basic (in dollars per share) $ 0.79 $ 0.16
Net income per limited partner unit - diluted (in dollars per share) $ 0.78 $ 0.16
Weighted average limited partner units outstanding - basic (in shares) 112.4 101.8
Weighted average limited partner units outstanding - diluted (in shares) 113.0 102.0
XML 56 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment and Intangible Assets
3 Months Ended
Mar. 31, 2014
Property, Plant and Equipment and Intangible Assets [Abstract]  
Property, Plant and Equipment and Intangible Assets
Note 5 — Property, Plant and Equipment and Intangible Assets

      
Estimated useful life
 
 
March 31, 2014
  
December 31, 2013
  
(In Years)
 
Gathering systems
 
$
2,293.6
  
$
2,230.1
  
5 to 20
 
Processing and fractionation facilities
  
1,600.7
   
1,598.0
  
5 to 25
 
Terminaling and storage facilities
  
735.4
   
715.2
  
5 to 25
 
Transportation assets
  
334.7
   
294.7
  
10 to 25
 
Other property, plant and equipment
  
124.8
   
121.3
  
3 to 25
 
Land
  
89.7
   
89.5
   
-
 
Construction in progress
  
751.2
   
702.8
   
-
 
Property, plant and equipment
  
5,930.1
   
5,751.6
     
Accumulated depreciation
  
(1,470.3
)
  
(1,406.2
)
    
Property, plant and equipment, net
 
$
4,459.8
  
$
4,345.4
     
             
Intangible assets
 
$
681.8
  
$
681.8
   
20
 
Accumulated amortization
  
(43.7
)
  
(28.4
)
    
Intangible assets, net
 
$
638.1
  
$
653.4
     

XML 57 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Inventories
3 Months Ended
Mar. 31, 2014
Inventories [Abstract]  
Inventories
Note 4 — Inventories

The components of inventories consisted of the following:

 
March 31, 2014
  
December 31, 2013
 
Commodities
 
$
74.7
  
$
136.4
 
Materials and supplies
  
13.8
   
14.3
 
 
$
88.5
  
$
150.7
 

XML 58 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Cash Flow Information
3 Months Ended
Mar. 31, 2014
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information
Note 16 — Supplemental Cash Flow Information

 
Three Months Ended March 31,
 
  
2014
  
2013
 
Cash:
    
Interest paid, net of capitalized interest (1)
 
$
23.0
  
$
31.4
 
Income taxes paid, net of refunds
  
(0.2
)
  
-
 
Non-cash:
        
Deadstock inventory transferred to property, plant and equipment
  
1.1
   
4.5
 
Accrued distribution equivalent rights
  
0.6
   
0.3
 
Changes in receivables from unit offerings
  
7.1
   
-
 
Change in capital accruals
  
22.7
   
15.5
 
Transfers from materials and supplies inventory to property, plant and equipment
  
0.4
   
-
 
Change in ARO cash flow estimate
  
2.1
   
0.2
 
___________
(1)
Interest capitalized on major projects was $6.9 million and $6.1 million for the three months ended March 31, 2014 and 2013.
XML 59 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Derivative Instruments and Hedging Activities
3 Months Ended
Mar. 31, 2014
Derivative Instruments and Hedging Activities [Abstract]  
Derivative Instruments and Hedging Activities
Note 12 — Derivative Instruments and Hedging Activities

Commodity Hedges

The primary purpose of our commodity risk management activities is to manage our exposure to commodity price risk and reduce volatility in our operating cash flow due to fluctuations in commodity prices. We have hedged the commodity prices associated with a portion of our expected (i) natural gas equity volumes in our Field Gathering and Processing segment and (ii) NGL and condensate equity volumes predominately in our Field Gathering and Processing segment and the LOU business unit in our Coastal Gathering and Processing segment that result from its percent-of-proceeds processing arrangements. These hedge positions will move favorably in periods of falling commodity prices and unfavorably in periods of rising commodity prices. We have designated these derivative contracts as cash flow hedges for accounting purposes.

The hedges generally match the NGL product composition and the NGL and natural gas delivery points to those of our physical equity volumes. The NGL hedges may be transacted as specific NGL hedges or as baskets of ethane, propane, normal butane, isobutane and natural gasoline based upon our expected equity NGL composition. We believe this approach avoids uncorrelated risks resulting from employing hedges on crude oil or other petroleum products as "proxy" hedges of NGL prices. Our natural gas and NGL hedges are settled using published index prices for delivery at various locations, which closely approximate our actual natural gas and NGL delivery points.

We hedge a portion of our condensate equity volumes using crude oil hedges that are based on the New York Mercantile Exchange ("NYMEX") futures contracts for West Texas Intermediate light, sweet crude, which approximates the prices received for condensate. This necessarily exposes us to a market differential risk if the NYMEX futures do not move in exact parity with the sales price of our underlying condensate equity volumes.

At March 31, 2014, the notional volumes of our commodity hedges for equity volumes were:

 Commodity
 Instrument
 Unit
 
2014
  
2015
  
2016
 
 Natural Gas
 Swaps
 MMBtu/d
  
54,050
   
40,551
   
25,500
 
 NGL
Swaps
 Bbl/d
  
1,125
   
-
   
-
 
 Condensate
 Swaps
 Bbl/d
  
2,450
   
-
   
-
 

We also enter into derivative instruments to help manage other short-term commodity-related business risks. We have not designated these derivatives as hedges, and we record changes in fair value and cash settlements to revenues.

Our derivative contracts are subject to netting arrangements that allow net cash settlement of offsetting asset and liability positions with the same counterparty. We record derivative assets and liabilities on our Consolidated Balance Sheets on a gross basis, without considering the effect of master netting arrangements. The following schedules reflect the fair values of our derivative instruments and their location in our Consolidated Balance Sheets as well as pro forma reporting assuming that we reported derivatives subject to master netting agreements on a net basis:

  
Fair Value as of March 31, 2014
  
Fair Value as of December 31, 2013
 
 
Balance Sheet
Derivative
Derivative
Derivative
Derivative
 
Location
Assets
Liabilities
Assets
Liabilities
Derivatives designated as hedging instruments
        
Commodity contracts
Current
 
$
1.6
  
$
(12.8
)
 
$
2.0
  
$
(7.7
)
 
Long-term
2.9
(1.2
)
3.1
(1.4
)
Total derivatives designated as hedging instruments
 
$
4.5
  
$
(14.0
)
 
$
5.1
  
$
(9.1
)
                  
Derivatives not designated as hedging instruments
                
Commodity contracts
Current
 
$
-
  
$
(0.1
)
 
$
-
  
$
(0.3
)
Total derivatives not designated as hedging instruments
 
$
-
  
$
(0.1
)
 
$
-
  
$
(0.3
)
                  
Total current position
 
$
1.6
  
$
(12.9
)
 
$
2.0
  
$
(8.0
)
Total long-term position
  
2.9
   
(1.2
)
  
3.1
   
(1.4
)
Total derivatives
 
$
4.5
  
$
(14.1
)
 
$
5.1
  
$
(9.4
)
                  
The pro forma impact of reporting derivatives in the Consolidated Balance Sheets is as follows:
 
         
 
Gross Presentation
  
Pro forma Net Presentation
 
 
Asset
  
Liability
  
Asset
  
Liability
 
March 31, 2014
 
Position
  
Position
  
Position
  
Position
 
Current position
        
Counterparties with offsetting position
 
$
1.6
  
$
(3.4
)
 
$
-
  
$
(1.8
)
Counterparties without offsetting position - assets
  
-
   
-
   
-
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(9.5
)
  
-
   
(9.5
)
   
1.6
   
(12.9
)
  
-
   
(11.3
)
Long-term position
                
Counterparties with offsetting position
  
1.0
   
(0.3
)
  
0.7
   
-
 
Counterparties without offsetting position - assets
  
1.9
   
-
   
1.9
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(0.9
)
  
-
   
(0.9
)
   
2.9
   
(1.2
)
  
2.6
   
(0.9
)
Total derivatives
                
Counterparties with offsetting position
  
2.6
   
(3.7
)
  
0.7
   
(1.8
)
Counterparties without offsetting position - assets
  
1.9
   
-
   
1.9
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(10.4
)
  
-
   
(10.4
)
 
$
4.5
  
$
(14.1
)
 
$
2.6
  
$
(12.2
)
                 
December 31, 2013
                
Current position
                
Counterparties with offsetting position
 
$
1.9
  
$
(4.4
)
 
$
-
  
$
(2.5
)
Counterparties without offsetting position - assets
  
0.1
   
-
   
0.1
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(3.6
)
  
-
   
(3.6
)
   
2.0
   
(8.0
)
  
0.1
   
(6.1
)
Long-term position
                
Counterparties with offsetting position
  
0.7
   
(1.2
)
  
-
   
(0.5
)
Counterparties without offsetting position - assets
  
2.4
   
-
   
2.4
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(0.2
)
  
-
   
(0.2
)
   
3.1
   
(1.4
)
  
2.4
   
(0.7
)
Total derivatives
                
Counterparties with offsetting position
  
2.6
   
(5.6
)
  
-
   
(3.0
)
Counterparties without offsetting position - assets
  
2.5
   
-
   
2.5
   
-
 
Counterparties without offsetting position - liabilities
  
-
   
(3.8
)
  
-
   
(3.8
)
 
$
5.1
  
$
(9.4
)
 
$
2.5
  
$
(6.8
)

The fair value of our derivative instruments, depending on the type of instrument, was determined by the use of present value methods or standard option valuation models with assumptions about commodity prices based on those observed in underlying markets.

The estimated fair value of our derivative instruments was a net liability of $9.6 million as of March 31, 2014. The estimated fair value is net of an adjustment for credit risk based on the default probabilities by year as indicated by market quotes for the counterparties' credit default swap rates. The credit risk adjustment was immaterial for all periods presented.

Our payment obligations in connection with substantially all of these hedging transactions are secured by a first priority lien in the collateral securing our senior secured indebtedness that ranks equal in right of payment with liens granted in favor of our senior secured lenders.
 
The following tables reflect amounts recorded in OCI and amounts reclassified from OCI to revenue and expense for the periods indicated:
 
Gain (Loss) Recognized in OCI on Derivatives
(Effective Portion)
 
Three Months Ended March 31,
 
Derivatives in Cash Flow Hedging Relationships
 
2014
  
2013
 
Commodity contracts
 
$
(11.9
)
 
$
(7.6
)
        
Gain (Loss) Reclassified from OCI into Income
(Effective Portion)
 
Location of Gain (Loss)
Three Months Ended March 31,
 
2014
 
2013
 
Interest expense, net
 
$
(1.3
)
 
$
(1.7
)
Revenues
  
(6.3
)
  
6.6
 
 
$
(7.6
)
 
$
4.9
 
 
Hedge ineffectiveness was immaterial for all periods presented.

Our consolidated earnings are also affected by our use of the mark-to-market method of accounting for derivative instruments that do not qualify for hedge accounting or that have not been designated as hedges. The changes in fair value of these instruments are recorded on the balance sheet and through earnings (i.e., using the "mark-to-market" method) rather than being deferred until the anticipated transaction settles. The use of mark-to-market accounting for financial instruments can cause non-cash earnings volatility due to changes in the underlying commodity price indices. Gain (loss) recognized on commodity derivatives not designated as hedging instruments was immaterial for all periods presented.

The following table shows the deferred gains (losses) included in accumulated OCI that will be reclassified into earnings through the end of 2016:

 
March 31, 2014
  
December 31, 2013
 
Commodity hedges
 
$
(9.4
)
 
$
(3.7
)
Interest rate hedges
  
(1.1
)
  
(2.4
)

As of March 31, 2014, net losses of $11.0 million on commodity hedges and net losses of $1.1 million on terminated interest rate swaps recorded in OCI are expected to be reclassified to revenue and interest expense during the next twelve months.

See Note 13 for additional disclosures related to derivative instruments and hedging activities.
XML 60 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accounts Payable and Accrued Liabilities
3 Months Ended
Mar. 31, 2014
Accounts Payable and Accrued Liabilities [Abstract]  
Accounts Payable and Accrued Liabilities
Note 8 Accounts Payable and Accrued Liabilities

The components of accounts payable and accrued liabilities consisted of the following:

 
March 31, 2014
  
December 31, 2013
 
Commodities
 
$
528.1
  
$
520.8
 
Other goods and services
  
108.5
   
145.1
 
Interest
  
42.3
   
35.8
 
Compensation and benefits
  
1.7
   
1.3
 
Income and other taxes
  
12.0
   
11.1
 
Other
  
6.2
   
7.1
 
 
$
698.8
  
$
721.2
 
 
XML 61 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Asset Retirement Obligations
3 Months Ended
Mar. 31, 2014
Asset Retirement Obligations [Abstract]  
Asset Retirement Obligations
Note 6 — Asset Retirement Obligations

Our asset retirement obligations primarily relate to certain gas gathering pipelines and processing facilities, and are included in our consolidated balance sheets as a component of other long-term liabilities. The changes in our aggregate asset retirement obligations are as follows:

 
Three Months Ended
 
 
March 31, 2014
 
Beginning of period
 
$
50.5
 
Change in cash flow estimate
  
2.1
 
Accretion expense
  
1.2
 
End of period
 
$
53.8
 

XML 62 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Affiliate
3 Months Ended
Mar. 31, 2014
Investment in Unconsolidated Affiliate [Abstract]  
Investment in Unconsolidated Affiliate
Note 7 — Investment in Unconsolidated Affiliate

At March 31, 2014 our unconsolidated investment consisted of a 38.8% ownership interest in Gulf Coast Fractionators LP ("GCF").

The following table shows the activity related to our investment in GCF:

 
Three Months Ended
 
 
March 31, 2014
 
Beginning of period
 
$
55.9
 
Equity earnings
  
4.9
 
Cash distributions (1)
  
(7.1
)
End of period
 
$
53.7
 
___________
(1)
Includes distributions in excess of cumulative earnings of $2.2 million that are considered a return of capital and disclosed in cash flows from investing activities in the Consolidated Statements of Cash Flows.
XML 63 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Debt Obligations
3 Months Ended
Mar. 31, 2014
Debt Obligations [Abstract]  
Debt Obligations
Note 9 — Debt Obligations

 
March 31, 2014
  
December 31, 2013
 
Senior secured revolving credit facility, variable rate, due October 2017 (1)
 
$
355.0
  
$
395.0
 
Senior unsecured notes, 7⅞% fixed rate, due October 2018
  
250.0
   
250.0
 
Senior unsecured notes, 6% fixed rate, due February 2021
  
483.6
   
483.6
 
Unamortized discount
  
(27.4
)
  
(28.0
)
Senior unsecured notes, 6% fixed rate, due August 2022
  
300.0
   
300.0
 
Senior unsecured notes, 5¼% fixed rate, due May 2023
  
600.0
   
600.0
 
Senior unsecured notes, 4¼% fixed rate, due November 2023
  
625.0
   
625.0
 
Accounts receivable securitization facility, due December 2014 (2)
  
233.5
   
279.7
 
Total long-term debt
 
$
2,819.7
  
$
2,905.3
 
         
Letters of credit outstanding (1)
 
$
97.2
  
$
86.8
 
________
(1)
As of March 31, 2014, availability under our $1.2 billion senior secured revolving credit facility was $747.8 million.
(2)
All amounts outstanding under the Securitization Facility are reflected as long-term debt in our balance sheet because we have the ability and intent to fund the Securitization Facility's borrowings on a long-term basis.

The following table shows the range of interest rates and weighted average interest rate incurred on our variable-rate debt obligations during the three months ended March 31, 2014:
 
Range of Interest Rates Incurred
  
Weighted Average Interest Rate Incurred
 
Senior secured revolving credit facility
  
2.2% - 4.5
%
  
2.3
%
Accounts receivable securitization facility
  
0.9
%
  
0.9
%

Compliance with Debt Covenants

As of March 31, 2014, we were in compliance with the covenants contained in our various debt agreements.

XML 64 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Partnership Units and Related Matters (Tables)
3 Months Ended
Mar. 31, 2014
Partnership Units and Related Matters [Abstract]  
Schedule of Distributions
The following table details the distributions declared and/or paid by us for the three months ended March 31, 2014.

 
Distributions
  
Three Months Ended
Date Paid or to be Paid
Limited Partners
 
General Partner
 
Distributions per Limited Partner Unit
 
Common
 
Incentive
   
2
%
Total
 
         
 
(In millions, except per unit amounts)
 
         
March 31, 2014
May 15, 2014
 
$
87.2
  
$
31.7
  
$
2.4
  
$
121.3
  
$
0.7625
 
December 31, 2013
February 14, 2014
  
84.0
   
29.5
   
2.3
   
115.8
   
0.7475
 

XML 65 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Derivative Instruments and Hedging Activities (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Dec. 31, 2013
Derivative Assets [Abstract]      
Current assets $ 1.6   $ 2.0
Long-term assets 2.9   3.1
Total derivative assets 4.5   5.1
Derivative Liabilities [Abstract]      
Current liabilities (12.9)   (8.0)
Long-term liabilities (1.2)   (1.4)
Total derivative liabilities (14.1)   (9.4)
Derivative Instruments, Gain (Loss) [Line Items]      
Cash flow commodity hedge deferred net gain to be reclassified within twelve months 11.0    
Cash flow interest rate swaps deferred net loss to be reclassified within twelve months 1.1    
Pro forma impact of reporting derivatives in the Consolidated Balance Sheet [Abstract]      
Fair value (9.6)    
Asset Position [Member] | Gross Presentation [Member]
     
Pro forma impact of reporting derivatives in the Consolidated Balance Sheet [Abstract]      
Counterparties with offsetting position 2.6   2.6
Counterparties without offsetting position - assets 1.9   2.5
Counterparties without offsetting position - liabilities 0   0
Fair value 4.5   5.1
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Natural Gas [Member] | Swaps [Member] | Year 2015 [Member]
     
Derivative [Line Items]      
Notional volumes of commodity hedges (per day) 40,551    
Natural Gas [Member] | Swaps [Member] | Year 2016 [Member]
     
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Notional volumes of commodity hedges (per day) 0    
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Notional volumes of commodity hedges (per day) 0    
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Notional volumes of commodity hedges (per day) 0    
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Derivative [Line Items]      
Notional volumes of commodity hedges (per day) 0    
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Related Party Transactions
3 Months Ended
Mar. 31, 2014
Related Party Transactions [Abstract]  
Related Party Transactions
Note 14 — Related Party Transactions

Targa Resources Corp.

We do not have any employees. Targa provides operational, general and administrative and other services to us, associated with our existing assets and assets acquired from third parties. Targa performs centralized corporate functions for us, such as legal, accounting, treasury, insurance, risk management, health, safety and environmental, information technology, human resources, credit, payroll, internal audit, taxes, engineering and marketing.

The Partnership Agreement between Targa and us, with Targa as the general partner of the Partnership, governs the reimbursement of costs incurred by Targa on behalf of us. Targa charges us for all the direct costs of the employees assigned to our operations, as well as all general and administrative support costs other than (1) costs attributable to Targa's status as a separate reporting company and (2) costs of Targa providing management and support services to certain unaffiliated spun-off entities. We generally reimburse Targa monthly for cost allocations to the extent that Targa has made a cash outlay.

The following table summarizes transactions with Targa. Management believes these transactions are executed on terms that are fair and reasonable.

 
Three Months Ended March 31,
 
  
2014
  
2013
 
    
Parent billings of payroll and related costs included in operating expense
 
$
29.9
  
$
26.5
 
Parent allocation of general & administrative expense
  
33.4
   
32.6
 
Cash distributions to Targa based on unit ownership
  
41.5
   
30.7
 
Contributions from Targa
  
2.4
   
2.3
 

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Significant Accounting Policies (Policies)
3 Months Ended
Mar. 31, 2014
Significant Accounting Policies [Abstract]  
Accounting Policy Updates/Revisions
Accounting Policy Updates/Revisions

The accounting policies that we follow are set forth in Note 3 of the Notes to Consolidated Financial Statements in our Annual Report on Form 10-K for the year ended December 31, 2013. There were no significant updates or revisions to these policies during the three months ended March 31, 2014.

Recent Accounting Pronouncements
Recent Accounting Pronouncements

In April 2014, the Financial Accounting Standards Board ("FASB") issued Accounting Standards Update No 2014-08, Presentation of Financial Statements (Topic 205) and Property, Plant and Equipment (Topic 360): Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity. The amendment, required to be applied prospectively for reporting periods beginning after December 15, 2014, limits discontinued operations reporting to disposals of components of an entity that represent strategic shifts that have, or will have, a major effect on operations and financial results.  The amendment requires expanded disclosures for discontinued operations and also requires additional disclosures regarding disposals of individually significant components that do not qualify as discontinued operations. Early adoption is permitted, but only for disposals (or classifications as held for sale) that have not been reported in financial statements previously issued or available for issuance. This amendment has no impact on our current disclosures, but will in the future if we dispose of any individually significant components.
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Partnership Units and Related Matters (Details) (USD $)
In Millions, except Share data, unless otherwise specified
3 Months Ended 1 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Mar. 31, 2014
August 2013 EDA [Member]
Apr. 18, 2014
August 2013 EDA [Member]
Subsequent Event [Member]
Apr. 30, 2014
August 2013 EDA [Member]
Subsequent Event [Member]
Subsidiary, Sale of Stock [Line Items]          
Number of common units included in public offerings (in shares)     2,222,271 802,630  
Net proceeds from public offering     $ 115.3 $ 47.7  
Receivables from issuance of common units         5.9
General partner contributed to maintain general partner ownership percentage     2.4 1.0  
Receivables from contribution to maintain 2% general partner interest         1.2
General partner interest (in hundredths)     2.00% 2.00%  
Aggregate offering amount remained available for sale pursuant to agreement       7.4  
Number of days from end of each quarter by when cash is distributed to unitholders 45 days        
Date Paid or to be paid May 15, 2014 Feb. 14, 2014      
Distributions to limited partners 87.2 84.0      
Distributions to general partners (Incentive) 31.7 29.5      
Distributions to general partners (2%) 2.4 2.3      
Total distributions to general and limited partners $ 121.3 $ 115.8      
Distributions per limited partner per unit (in dollars per unit) $ 0.7625 $ 0.7475      
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Organization and Operations (Details)
Mar. 31, 2014
Dec. 31, 2013
Organization and Operations [Abstract]    
General partner interest (in hundredths) 2.00%  
Ownership interest by related party and parents (in hundredths) 13.20%  
General partner units outstanding (in units) 2,316,210 2,270,680
Common units held by related party (in units) 12,945,659  
Increasing cash distributions as percentage of distributable cash for a quarter (in hundredths) 48.00%  
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CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (Unaudited) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Mar. 31, 2013
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (Unaudited) [Abstract]    
Net income $ 131.3 $ 45.3
Commodity hedging contracts:    
Change in fair value (11.9) (7.6)
Settlement reclassified to revenues 6.3 (6.6)
Interest rate swaps:    
Settlements reclassified to interest expense, net 1.3 1.7
Other comprehensive loss (4.3) (12.5)
Comprehensive income 127.0 32.8
Less: Comprehensive income attributable to noncontrolling interests 8.9 6.4
Comprehensive income attributable to Targa Resources Partners LP $ 118.1 $ 26.4
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Significant Accounting Policies
3 Months Ended
Mar. 31, 2014
Significant Accounting Policies [Abstract]  
Significant Accounting Policies
Note 3 — Significant Accounting Policies

Accounting Policy Updates/Revisions

The accounting policies that we follow are set forth in Note 3 of the Notes to Consolidated Financial Statements in our Annual Report on Form 10-K for the year ended December 31, 2013. There were no significant updates or revisions to these policies during the three months ended March 31, 2014.

Recent Accounting Pronouncements

In April 2014, the Financial Accounting Standards Board ("FASB") issued Accounting Standards Update No 2014-08, Presentation of Financial Statements (Topic 205) and Property, Plant and Equipment (Topic 360): Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity. The amendment, required to be applied prospectively for reporting periods beginning after December 15, 2014, limits discontinued operations reporting to disposals of components of an entity that represent strategic shifts that have, or will have, a major effect on operations and financial results.  The amendment requires expanded disclosures for discontinued operations and also requires additional disclosures regarding disposals of individually significant components that do not qualify as discontinued operations. Early adoption is permitted, but only for disposals (or classifications as held for sale) that have not been reported in financial statements previously issued or available for issuance. This amendment has no impact on our current disclosures, but will in the future if we dispose of any individually significant components.
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Basis of Presentation (Tables)
3 Months Ended
Mar. 31, 2014
Basis of Presentation [Abstract]  
Certain Measurement Period Reclassifications Made to Comparative Statement of Cash Flows
In preparing this quarterly report we have made certain measurement period reclassifications to the comparative Statement of Cash Flows for the three months ended March 31, 2013 to conform to the presentation of our Form 10-K, reclassifying $18.9 million related to capital expenditures previously included in Accounts payable and other liabilities of operating activities to Outlays for property, plant and equipment in investing activities, as shown below.

 
Three Months Ended March 31, 2013
 
Revised line items Consolidated Statement of Cash Flows
 
As Reported
  
Reclassification
  
Revised
 
Cash Flows from operating activities
      
Changes in operating assets and liabilities:
      
Accounts payable and other liabilities
 
$
(64.3
)
 
$
18.9
  
$
(45.4
)
Net cash provided by operating activities
  
171.7
   
18.9
   
190.6
 
            
Cash flows from investing activities:
            
Changes in investing assets and liabilities:
            
Outlays for property, plant and equipment
  
(203.5
)
  
(18.9
)
  
(222.4
)
Net cash used in investing activities
  
(208.1
)
  
(18.9
)
  
(227.0
)
            
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Element us-gaap_IncomeTaxesPaid had a mix of decimals attribute values: -6 -5. Element us-gaap_MinorityInterestDecreaseFromDistributionsToNoncontrollingInterestHolders had a mix of decimals attribute values: -6 -5. Element us-gaap_NoncontrollingInterestIncreaseFromSaleOfParentEquityInterest had a mix of decimals attribute values: -6 -5. Element us-gaap_OtherOperatingIncomeExpenseNet had a mix of decimals attribute values: -6 -5. Element us-gaap_PartnersCapitalAccountSaleOfUnits had a mix of decimals attribute values: -6 -5. Element us-gaap_PartnersCapitalAccountUnitsSoldInPublicOffering had a mix of decimals attribute values: -3 0. Element us-gaap_PaymentsToAcquireOtherProductiveAssets had a mix of decimals attribute values: -6 -5. Element us-gaap_Revenues had a mix of decimals attribute values: -6 -5. 'Shares' elements on report '040000 - Statement - CONSOLIDATED STATEMENTS OF CHANGES IN OWNERS' EQUITY (Unaudited)' had a mix of different decimal attribute values. Process Flow-Through: 010000 - Statement - CONSOLIDATED BALANCE SHEETS (Unaudited) Process Flow-Through: Removing column 'Mar. 31, 2013' Process Flow-Through: Removing column 'Dec. 31, 2012' Process Flow-Through: 010100 - Statement - CONSOLIDATED BALANCE SHEETS (Unaudited) (Parenthetical) Process Flow-Through: 020000 - Statement - CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited) Process Flow-Through: 030000 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS) (Unaudited) Process Flow-Through: 050000 - Statement - CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) ngls-20140331.xml ngls-20140331.xsd ngls-20140331_cal.xml ngls-20140331_def.xml ngls-20140331_lab.xml ngls-20140331_pre.xml true true XML 74 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions (Tables)
3 Months Ended
Mar. 31, 2014
Related Party Transactions [Abstract]  
Summary of Transactions with Affiliates
The following table summarizes transactions with Targa. Management believes these transactions are executed on terms that are fair and reasonable.

 
Three Months Ended March 31,
 
  
2014
  
2013
 
    
Parent billings of payroll and related costs included in operating expense
 
$
29.9
  
$
26.5
 
Parent allocation of general & administrative expense
  
33.4
   
32.6
 
Cash distributions to Targa based on unit ownership
  
41.5
   
30.7
 
Contributions from Targa
  
2.4
   
2.3
 

XML 75 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
3 Months Ended
Mar. 31, 2014
Fair Value Measurements [Abstract]  
Fair Value Measurements
Note 13 — Fair Value Measurements

Under GAAP, our Consolidated Balance Sheets reflect a mixture of measurement methods for financial assets and liabilities ("financial instruments"). Derivative financial instruments are reported at fair value in our Consolidated Balance Sheets. Other financial instruments are reported at historical cost or amortized cost in our Consolidated Balance Sheets, with fair value measurements for these instruments provided as supplemental information.

The following are additional qualitative and quantitative disclosures regarding fair value measurements of financial instruments.

Fair Value of Derivative Financial Instruments

Our derivative instruments consist of financially settled commodity swaps and option contracts and fixed-price commodity contracts with certain counterparties. We determine the fair value of our derivative contracts using a discounted cash flow model for swaps and a standard option-pricing model for options, based on inputs that are readily available in public markets. We have consistently applied these valuation techniques in all periods presented and believe we have obtained the most accurate information available for the types of derivative contracts we hold.

The fair values of our derivative instruments are sensitive to changes in forward pricing on natural gas, NGLs and crude oil. This financial position reflects the present value, adjusted for counterparty credit risk, of the amount we expect to receive or pay in the future on our derivative contracts. If forward pricing on natural gas, NGLs and crude oil were to increase by 10%, the result would be a fair value reflecting a net liability of $33.1 million, ignoring an adjustment for counterparty credit risk. If forward pricing on natural gas, NGLs and crude oil were to decrease by 10%, the result would be a fair value reflecting a net asset of $13.8 million, ignoring an adjustment for counterparty credit risk.

Fair Value of Other Financial Instruments

The contingent consideration obligation related to our Badlands acquisition is reported at fair value. Due to their cash or near-cash nature, the carrying value of other financial instruments included in working capital (i.e., cash and cash equivalents, accounts receivable, accounts payable) approximates their fair value. As such, long-term debt is primarily the other financial instrument for which our carrying value could vary significantly from fair value. We determined the supplemental fair value disclosures for our long-term debt as follows:

·
Senior secured revolving credit facility and accounts receivable securitization facility are based on carrying value, which approximates fair value as its interest rate is based on prevailing market rates; and

·
Senior unsecured notes are based on quoted market prices derived from trades of the debt.

Fair Value Hierarchy

We categorize the inputs to the fair value measurements of financial assets and liabilities using a three-tier fair value hierarchy that prioritizes the significant inputs used in measuring fair value:

·
Level 1 – observable inputs such as quoted prices in active markets;

·
Level 2 – inputs other than quoted prices in active markets that we can directly or indirectly observe to the extent that the markets are liquid for the relevant settlement periods; and

·
Level 3 – unobservable inputs in which little or no market data exists, therefore we must develop our own assumptions.
 
The following table shows a breakdown by fair value hierarchy category for (1) financial instruments measurements included in our Consolidated Balance Sheets at fair value and (2) supplemental fair value disclosures for other financial instruments:

 
March 31, 2014
 
 
Carrying Value
  
Fair Value
 
 
Total
  
Level 1
  
Level 2
  
Level 3
 
Financial Instruments Recorded on Our Consolidated Balance Sheets at Fair Value:
          
Assets from commodity derivative contracts (1)
 
$
3.9
  
$
3.9
  
$
-
  
$
2.6
  
$
1.3
 
Liabilities from commodity derivative contracts (1)
  
13.5
   
13.5
   
-
   
12.0
   
1.5
 
Badlands contingent consideration liability
  
-
   
-
   
-
   
-
   
-
 
Financial Instruments Recorded on Our Consolidated Balance Sheets at Carrying Value:
                    
Cash and cash equivalents
  
81.4
   
81.4
   
-
   
-
   
-
 
Senior secured revolving credit facility
  
355.0
   
355.0
   
-
   
355.0
   
-
 
Senior unsecured notes
  
2,231.2
   
2,284.0
   
-
   
2,284.0
   
-
 
Accounts receivable securitization facility
  
233.5
   
233.5
   
-
   
233.5
   
-
 
___________
(1)
The fair value of our derivative contracts in this table is presented on a different basis than the balance sheet presentation as disclosed in Note 12. The above fair values reflect the total value of each derivative contract taken as a whole, whereas the balance sheet presentation is based on the individual maturity dates of estimated future settlements.  As such, an individual contract could have both an asset and liability position when segregated into its current and long-term portions for balance sheet classification purposes.

Additional Information Regarding Level 3 Fair Value Measurements Included in Our Consolidated Balance Sheets

As of March 31, 2014, we reported certain of our natural gas basis swaps at fair value using Level 3 inputs due to such derivatives not having observable market prices for substantially the full term of the derivative asset or liability. For valuations that include both observable and unobservable inputs, if the unobservable input is determined to be significant to the overall inputs, the entire valuation is categorized in Level 3. This includes derivatives valued using indicative price quotations whose contract length extends into unobservable periods.

The fair value of these natural gas basis swaps is determined using a discounted cash flow valuation technique based on a forward commodity basis curve. For these derivatives, the primary input to the valuation model is the forward commodity basis curve, which is based on observable or public data sources and extrapolated when observable prices are not available.

As of March 31, 2014, we had fourteen natural gas basis swaps categorized as Level 3. The significant unobservable inputs used in the fair value measurements of our Level 3 derivatives are the forward natural gas basis curves, for which a significant portion of the derivative's term is beyond available forward pricing. The change in the fair value of Level 3 derivatives associated with a 10% change in the forward basis curve where prices are not observable is immaterial.

The following table summarizes the changes in fair value of our financial instruments classified as Level 3 in the fair value hierarchy:
 
 
Commodity Derivative Contracts Asset /(Liability)
 
Balance, December 31, 2013
 
$
0.7
 
Settlements included in Revenue
  
(0.9
)
Balance, March 31, 2014
 
$
(0.2
)

There has been no material transfer of assets or liabilities among the three levels of the fair value hierarchy during the three months ended March 31, 2014.

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Accounts Payable and Accrued Liabilities (Details) (USD $)
In Millions, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Accounts Payable and Accrued Liabilities [Abstract]    
Commodities $ 528.1 $ 520.8
Other goods and services 108.5 145.1
Interest 42.3 35.8
Compensation and benefits 1.7 1.3
Income and other taxes 12.0 11.1
Other 6.2 7.1
Accounts payable and accrued liabilities $ 698.8 $ 721.2