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dei: Entity Common Stock Shares Outstanding NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Costs And Expenses 319.62295.00275.46300.51301.36321.10351.44315.67491.53311.49263.36282.23257.55246.84485.85275.64278.08279.16719.57419.34395.09406.37377.40376.52348.85362.08390.29386.38353.46346.59311.14366.89392.57478.21455.66600.39699.32660.39768.11998.32714.14830.15940.25496.141694.04
General And Administrative Expense 34.4235.0831.6234.4627.6827.9127.0733.8727.3627.4824.4930.5925.4623.7022.9729.4927.8024.8726.0030.6327.8227.9819.7729.0425.0033.6024.5925.4226.9622.6623.7927.1023.6826.6925.0527.0724.9723.1620.8625.1118.8319.6527.4929.4824.95
Operating Income Loss 132.07115.30102.87129.45111.88109.0658.43101.75-79.19115.6198.29104.42105.0492.70-93.06124.0699.9793.28-233.1089.9795.2879.8498.4874.0291.7273.4097.1485.3787.9591.2294.5698.02100.9992.4199.2881.3595.1089.3581.10-228.2065.8774.0459.4656.4650.72
Interest Paid Net 98.4220.9293.5990.4610.1385.799.3288.5515.2989.6024.7448.6152.8759.8643.1748.1943.9936.8847.8037.9948.3354.2142.5545.7542.2227.9742.1529.8742.5229.2041.0828.0539.9627.3338.0425.5538.8826.6138.3525.2829.1634.6724.7025.1029.94
Interest Income Expense Nonoperating Net -62.70-63.12-58.17-55.96-52.29-50.94-49.82-51.77-53.51-53.78-54.92-57.90-64.17-59.50-47.49-46.18-46.90-45.69-44.27-44.70-44.83-48.94-47.77-45.80-45.26-45.61-36.41-34.98-35.02-34.23-34.12-33.56-33.45-32.82-32.04-31.73-33.01-33.12-34.42-33.52-31.08-31.29-31.23-19.85-24.87
Income Tax Expense Benefit 1.901.131.190.911.430.93-0.030.350.691.341.512.04-1.781.810.601.191.091.301.280.933.242.924.332.642.741.632.922.682.154.272.874.924.313.102.390.484.331.864.126.61-0.564.172.542.140.62
Income Taxes Paid Net -0.790.14NA0.300.423.460.180.27-0.675.330.55-1.16-0.244.570.09-0.060.324.841.720.040.525.342.631.250.534.734.831.971.056.082.740.982.654.601.74-3.131.766.072.003.202.184.251.752.723.04
Net Income Loss 70.3951.2046.1491.6059.6359.2012.3157.52-124.9363.3842.2615.53-96.6429.77-147.6478.4147.8145.95-277.862.1348.1429.40126.1325.1838.5926.2557.94-11.0651.1452.5257.4059.4865.0254.33127.9053.3962.1255.5139.74-364.8233.4033.0924.57-10.624.39
Comprehensive Income Net Of Tax 78.9251.1346.1592.0659.75100.0713.2476.36-125.4665.6344.3817.67-93.9832.52-183.9589.7736.2137.99-282.698.9753.0426.78147.0623.6544.4827.3861.70NANANANA53.9938.8885.17107.8045.6258.3364.0438.27-370.5539.5230.2722.4611.50-4.08

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Assets 4896.394912.304890.414973.695002.985024.665129.935156.335405.745645.985643.875817.025862.315836.205877.826185.996135.846379.696316.906349.146720.966646.976586.716535.236418.776359.324895.425030.554990.425055.225095.555149.265135.135173.065084.154918.804877.374895.784914.635032.195242.665413.405547.035613.095363.88
Liabilities 3850.113870.173790.833624.403446.903454.273586.643558.073808.743850.543841.013985.523974.603781.343783.173827.853788.923977.793859.933527.423814.233819.78NA4055.14NANANANANANANANANANANANANANANANANANANANANA
Liabilities And Stockholders Equity 4896.394912.304890.414973.695002.985024.665129.935156.335405.745645.985643.875817.025862.315836.205877.826185.996135.846379.696316.906349.146720.966646.976586.716535.236418.776359.324895.425030.554990.425055.225095.555149.265135.135173.065084.154918.804877.374895.784914.635032.195242.665413.405547.035613.095363.88

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Assets Current 187.10199.59166.95203.92189.55195.30271.77184.54433.06209.88182.75323.56215.56178.71187.86203.05187.95473.56225.94202.16276.87217.09228.00250.43233.87230.86253.67377.18254.00313.16333.57333.85338.36375.58336.21389.15407.95468.12509.74633.55460.31620.79820.65939.44864.24
Cash And Cash Equivalents At Carrying Value 2.774.373.8114.497.544.348.405.647.9523.5028.25153.6255.4917.2817.6916.1915.3515.3015.8213.6424.5820.3415.1324.2933.6229.1927.2035.9432.66103.02130.92118.86116.42111.6478.1887.9125.6949.0842.60100.7424.5242.13116.5183.60107.46
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 12.0213.5212.8723.3816.3713.1419.6314.4416.7532.3037.05162.4364.2926.0826.4924.9824.1224.8824.5313.6424.5820.3415.1324.29NANANA35.94NANANANANANANANANANANANANANANANANA
Accounts Receivable Net Current 135.79156.65125.12149.97138.87152.04142.53135.13138.39143.39121.25133.47116.73122.62144.67152.53130.55117.69163.74148.31164.77141.87157.27176.57152.07147.55166.84170.29159.98145.34133.47145.06133.97164.40189.66208.31220.84254.82304.06281.31242.20277.84336.76387.94453.14
Inventory Net 18.6217.3410.4815.4015.2514.7919.3116.6411.7912.8117.5311.0610.028.2010.7212.3910.129.4525.0222.7124.7628.0729.5526.8623.3025.7737.1137.9535.0538.7041.1738.7553.8865.3543.6955.71117.94112.84102.65138.15123.00175.28227.63173.23240.69
Inventory Raw Materials And Supplies 5.09NANA4.11NANANA4.19NANANA3.67NANANA3.75NANANA10.02NANANA9.83NANANA9.90NANANA8.608.839.078.918.989.048.587.928.017.898.098.027.898.31

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Goodwill 732.36732.36732.36732.36732.36732.36732.36732.36732.36766.42766.42766.42780.85780.85780.851005.851005.851005.851005.851036.981094.661094.661094.661097.471095.941023.36696.64696.64696.64696.64696.64696.64704.40704.40704.49617.43617.43617.43617.43617.43950.96948.75950.59951.02822.91
Intangible Assets Net Excluding Goodwill 476.06485.47494.88513.70524.47535.57546.68557.78568.89604.50617.35630.21643.06655.92668.78681.63694.49707.34720.20733.06745.91758.77771.62784.48797.34857.62119.86127.08101.63105.09108.55112.01115.47118.93128.7058.6761.8164.9668.1071.2581.7185.2888.9492.4426.52
Other Assets Noncurrent 218.33207.65200.72120.63130.56122.34125.73140.01127.33133.02136.59139.32149.32130.06134.69176.48172.20172.12220.6488.33118.66116.77105.21101.68102.3998.80100.24105.31263.07263.77269.60320.33317.48329.60318.13314.17320.97322.17324.82159.36165.46183.03196.70189.96206.19

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Liabilities Current 220.99256.17181.95196.47236.63181.52277.61214.73244.94189.31224.87221.19204.65188.37247.86731.56730.24332.13321.39323.44317.13311.29652.64651.51641.07654.52254.49289.40211.13194.28272.79332.21255.37271.45260.29365.19299.12271.75281.40392.57356.70440.70846.37845.971110.40
Accounts Payable Current 77.0574.1764.9467.7780.8177.4470.3682.4576.2670.4871.6271.7368.8777.4674.03109.83102.21128.55176.87143.12154.21127.80122.04145.9397.8592.6798.48118.69105.3196.81100.78125.1597.88107.41114.03162.06177.96172.87196.53298.75222.36319.36428.84397.63439.62
Accrued Liabilities Current 88.0684.4366.1776.0760.6953.8554.4579.8268.1660.7158.7677.7768.7052.65104.18104.2899.8969.9782.73101.9997.3064.7247.5261.5860.4755.9939.5160.4852.5247.7843.3555.1950.8048.2839.9461.0239.0537.2629.5138.6337.4441.0380.40124.2097.44
Other Liabilities Current 9.39NANA9.51NANANA10.44NANANA11.69NANANA16.91NANANA24.34NANANA26.37NANANA10.27NANANA9.64NANANA13.17NANANA10.16NANANA20.71NA
Contract With Customer Liability Current 27.13NANA17.65NA13.55NA15.44NA17.0016.5222.02NA20.2320.4221.08NANA21.8046.94NANA13.580.00NANANANANANANANANANANANANANANANANANANANANA

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Long Term Debt 3359.633348.013260.203242.293016.443085.323115.913130.623347.963443.533392.623539.263543.313374.063319.253331.843296.613401.223277.833112.003376.853380.373656.073613.063582.613476.942951.983014.36NANANA3079.35NANANA2749.45NANANA2655.55NANANA2411.00NA
Long Term Debt And Capital Lease Obligations 3410.343398.013310.563293.413068.053137.283168.433183.553400.793496.933446.603593.503597.823429.163374.752934.922898.483456.463333.223112.00NANANANANANANANANANANANANANANANANANANANANANANANANA
Deferred Income Tax Liabilities Net 3.933.263.263.222.852.852.8511.8311.7512.2513.2013.0112.0111.2710.6712.4312.10NANA12.43NANANANANANANANANANANANANANANANANANANANANANANANANA
Other Liabilities Noncurrent 214.85212.74213.83131.30139.37132.63137.76147.96151.26152.05156.34157.82160.11152.54149.89148.94148.11176.95193.5479.5696.91105.01112.89118.30102.07107.0396.1692.96129.61138.87113.6270.9761.4551.2350.4727.1019.7718.4611.8411.786.196.446.317.3615.99
Operating Lease Liability Noncurrent 137.94NANA56.58NANANA65.06NANANA74.90NANANA70.08NANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Accumulated Other Comprehensive Income Loss Net Of Tax -22.93-31.46-31.39-31.61-32.06-32.17-73.05-73.98-92.82-92.29-94.54-96.66-98.79-101.45-104.21-67.90-79.26-67.66-59.70-54.88-61.72-66.62-64.00-84.93-83.39-89.28-90.41-94.18-129.40-126.91-103.57-88.79-83.31-57.17-88.01-67.91-60.13-56.34-64.87-63.39-57.66-63.79-60.97-58.87-80.98

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Net Cash Provided By Used In Operating Activities 107.87154.1087.72113.77191.4976.46145.8394.38192.8668.58145.66133.14122.42119.01151.43154.10113.77137.33103.57180.89119.47120.69123.1695.78102.03125.0183.98122.2199.52113.31101.73148.81138.94114.61122.58203.33114.81137.0663.33106.68146.9987.16144.4027.32239.76
Net Cash Provided By Used In Investing Activities -42.96-42.37-26.59-28.66-40.9026.30-41.10202.70-34.48-46.45-45.7852.22-44.22-34.66-71.42-98.4982.91-163.72-139.95163.44-92.39-153.37-71.45-139.40-90.29-1526.0659.31-150.16-52.88-49.20-58.84-74.59-71.22-76.38-229.84-133.39-75.25-55.27-76.33-113.24-53.14-141.46-3.12-323.77160.39
Net Cash Provided By Used In Financing Activities -66.43-110.80-62.52-78.06-147.35-109.83-99.71-299.34-173.39-27.12-225.73-88.52-40.55-85.23-77.09-53.55-197.8626.6447.12-354.77-22.5538.30-60.8534.21-8.301402.41-152.0531.91-116.00-91.75-35.48-69.37-57.94-5.93104.01-4.14-64.23-77.12-42.7086.14-110.95-16.98-107.57274.03-328.45

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Net Cash Provided By Used In Operating Activities 107.87154.1087.72113.77191.4976.46145.8394.38192.8668.58145.66133.14122.42119.01151.43154.10113.77137.33103.57180.89119.47120.69123.1695.78102.03125.0183.98122.2199.52113.31101.73148.81138.94114.61122.58203.33114.81137.0663.33106.68146.9987.16144.4027.32239.76
Net Income Loss 70.3951.2046.1491.6059.6359.2012.3157.52-124.9363.3842.2615.53-96.6429.77-147.6478.4147.8145.95-277.862.1348.1429.40126.1325.1838.5926.2557.94-11.0651.1452.5257.4059.4865.0254.33127.9053.3962.1255.5139.74-364.8233.4033.0924.57-10.624.39
Depreciation Depletion And Amortization 64.2464.3063.5764.9765.0864.0665.1365.0368.0170.8870.4770.8872.5871.3970.2562.0968.5567.8874.4174.3075.7075.8672.0270.5969.1867.6056.8656.0053.9553.6553.1452.6952.3052.7752.4648.9448.6047.9446.2341.7447.6046.6642.9335.0839.69
Increase Decrease In Accounts Receivable -20.8831.31-12.49-1.33-13.177.5613.70-8.750.9122.17-12.2316.70-5.90-17.61-7.7820.97-0.63-11.8815.03-10.9522.99-14.99-19.5225.4024.34-45.33-3.548.0314.6312.28-11.718.28-30.10-25.78-19.65-12.29-33.32-49.4422.7538.59-36.11-58.88-50.81-65.22-34.79
Increase Decrease In Inventories 1.296.86-5.040.150.46-4.503.064.85-1.01-4.736.471.031.81-2.53-1.652.260.15-3.852.30-1.74-3.31-1.452.693.56-2.49-11.35-1.662.83-3.67-2.502.40-15.12-11.3121.65-12.00-62.215.1610.45-35.4815.17-49.24-52.3254.42-51.71-137.66

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Net Cash Provided By Used In Investing Activities -42.96-42.37-26.59-28.66-40.9026.30-41.10202.70-34.48-46.45-45.7852.22-44.22-34.66-71.42-98.4982.91-163.72-139.95163.44-92.39-153.37-71.45-139.40-90.29-1526.0659.31-150.16-52.88-49.20-58.84-74.59-71.22-76.38-229.84-133.39-75.25-55.27-76.33-113.24-53.14-141.46-3.12-323.77160.39

    2023-12-31 2023-09-30 2023-06-30 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30
Net Cash Provided By Used In Financing Activities -66.43-110.80-62.52-78.06-147.35-109.83-99.71-299.34-173.39-27.12-225.73-88.52-40.55-85.23-77.09-53.55-197.8626.6447.12-354.77-22.5538.30-60.8534.21-8.301402.41-152.0531.91-116.00-91.75-35.48-69.37-57.94-5.93104.01-4.14-64.23-77.12-42.7086.14-110.95-16.98-107.57274.03-328.45
Payments Of Dividends Common Stock 50.3644.3644.3644.1244.1244.1244.0443.8343.8143.8143.8143.6843.6843.6865.1764.6764.6664.6664.3764.2364.2257.05115.27115.08115.08117.1299.0298.8198.0598.0598.05NANANANANANANANANANANANANANA

    2023-12-31 2023-09-30 2023-06-30 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30
Intersegment Elimination -0.000.00-0.00-0.000.000.00-0.00-0.000.000.00-0.01-0.040.000.00-0.01-0.020.000.00-1.86-1.77-1.72-0.13-2.08-2.04-2.39-3.73-3.94-4.40-5.02-5.51-6.01-5.90-6.63-6.83-6.25-6.29-6.17-6.69-7.28-5.72-6.93-8.24-9.78-3.63-19.68
Operating, Fuels Marketing 137.54109.7393.43120.57125.84140.81133.26121.82108.00114.9483.86NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Operating, Pipeline 228.62225.36206.70229.94209.01200.56188.68203.90196.21192.91169.23NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Operating, Storage 85.5375.2078.2179.4578.3988.7887.9291.70108.14119.25108.57NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Product And Service 451.69410.30378.33429.96413.24430.16409.86417.42412.35427.09361.65NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Product 146.70120.36102.97130.46135.86152.09144.56129.15115.87126.3189.7677.6766.9755.3976.0582.2888.8089.97188.06210.38175.85129.66184.47167.07145.46NANANANANANANANANANANANANANANANANANANANA
Service 304.99289.94275.37299.50277.38278.07265.31288.27296.47300.79271.88308.98295.62284.15316.75317.41289.26282.47298.40298.93314.51259.60291.41283.46295.10NANANANANANANANANANANANANANANANANANANANA
Operating Segments Net Of Intersegment Eliminations 451.69410.30378.33429.96413.24430.16409.86417.42412.35427.09361.65NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Storage 85.5375.2078.2179.4578.3988.7887.9291.70108.14119.25108.57129.38122.44119.41123.22126.36113.73110.40143.01139.04154.13114.82155.33152.89158.07148.78137.65148.00157.77151.87152.40154.83162.10157.64150.33143.01143.94144.99132.57126.60140.52142.68141.68130.91148.93
Crude Oil Pipelines, Pipeline 97.99100.5393.19109.18101.8694.0186.1288.7286.1482.0374.5978.0880.1979.1191.7289.3681.2977.2968.4866.7767.5460.5153.4450.6053.4947.0436.75NANANANANANANANANANANANANANANANANANA
Refined Productsand Ammonia Pipelines, Pipeline 130.63124.84113.52120.76107.14106.56102.56115.17110.07110.8794.64102.7595.7486.17103.13103.7395.2292.5385.1194.3895.3089.7783.3080.2883.9479.7084.49NANANANANANANANANANANANANANANANANANA
Storage Terminal, Storage 42.7342.0143.0542.4040.6947.0950.7249.7267.0173.7473.4282.6082.8576.8874.1773.1177.2177.04111.13107.22123.02127.35125.35121.12127.17126.66116.96NANANANANANANANANANANANANANANANANANA
Throughput Terminal, Storage 31.4721.8723.8426.2926.9330.9326.4431.6230.7735.1424.7936.4529.2632.2038.7243.0526.3323.1721.6921.8621.1420.1420.0222.0021.1222.1220.69NANANANANANANANANANANANANANANANANANA
Fuels Marketing 137.54109.7393.43120.57125.84140.81133.26121.82108.00114.9483.8676.4763.9554.0273.9079.4485.1589.55189.07210.88175.11180.48185.84168.80147.46153.92222.70205.44166.19169.86140.45185.50206.70297.59NA414.20531.19493.65NA549.17534.92670.60NANANA
Pipeline 228.62225.36206.70229.94209.01200.56188.68203.90196.21192.91169.23180.82175.94165.28194.86193.09176.51169.83153.58161.16162.84150.28136.74130.88137.43126.74121.24122.72122.48121.58118.87NA131.40122.21124.42NA125.46117.80102.96NA111.5196.98NANANA
Storage 74.2063.8866.8968.6967.6378.0277.1681.3497.78108.8998.21119.05112.11109.08112.89116.17103.54100.21132.82129.08144.17147.49145.37143.11148.29148.78137.65148.00157.77151.87152.40154.83162.10157.64150.33143.01143.94144.99132.57126.60140.52142.68141.68130.91148.93

Plots across concepts


IncomeStatement
Net Income Loss
Expenses
Income Tax Expense Benefit
Balance Sheet
Cash And Cash Equivalents At Carrying Value
Assets
Cash And Cash Equivalents At Carrying Value
Current Assets
Cash And Cash Equivalents At Carrying Value
NonCurrent Assets
Operating Lease Right Of Use Asset
Liabilities
Operating Lease Liability
Current Liabilities
Operating Lease Liability Current
Noncurrent Liabilities
Deferred Income Tax Liabilities Net
CashFlow
Net Cash Provided By Used In Financing Activities
NetCashProvidedByUsedInOperatingActivities
Increase Decrease In Accounts Receivable
NetCashProvidedByUsedInInvestingActivities
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInFinancingActivities
Net Cash Provided By Used In Financing Activities
OperatingLeaseLiability
Operating Lease Liability Current
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Payments Due Year Four

Line plots across dimensions of each concept