BUCKEYE PARTNERS, L.P. company info

CIK 805022
IRS Number 232432497
State of incorporation DE
Business address ONE GREENWAY PLAZA
SUITE 600
HOUSTON
TX
77046
Mail address ONE GREENWAY PLAZA
SUITE 600
HOUSTON
TX
77046

Short summary

BUCKEYE PARTNERS, L.P. is a Texas company, with head office located at One Greenway Plaza Houston, Texas 77046. In 2018 the company owned a total of 8.49 billion USD worth of assets, including 465.13 million USD worth of current assets. 2017 was the year when the company amassed the most assets.

BUCKEYE PARTNERS, L.P. Income Statement

Name [in Millions USD]200720082009201020112012201320142015201620172018Trends
Revenue, Net 1,896.651,770.373,151.274,759.614,357.24
Cost of Goods and Services Sold 1,549.521,969.182,521.86
Operating Expenses 10.603.908.406.60
Operating Income (Loss) 246.49203.80278.58365.85344.54478.04495.35604.12736.70683.90417.03
Other Nonoperating Income (Expense) 1.550.45-0.690.19-0.450.30-0.430.100.18-1.25-0.91
Income Tax Expense (Benefit) -0.34-0.92-0.19-0.681.060.450.871.460.873.74
Net income 26.4849.5943.08108.50226.42160.27272.95437.22535.61478.80-59.04

BUCKEYE PARTNERS, L.P. Balance Sheet

Name [in Millions USD]200720082009201020112012201320142015201620172018Trends
Cash and cash equivalents 94.4922.0012.5118.130.564.8921.918.5814.762.381.661.52
Accounts Receivable, Net, Current 113.58158.93192.62213.09376.48219.10222.34197.61218.72247.43
Inventories 275.17345.71129.91194.88443.91284.72247.29286.47155.92144.98
Property, Plant and Equipment, Gross 4,028.944,265.714,700.035,523.316,467.957,287.987,703.518,177.768,341.52
Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment 363.65418.13511.38598.02732.16962.831,124.401,288.331,391.05
Goodwill 208.88929.58753.10812.30821.50995.21998.661,004.551,007.36470.88
Intangible Assets, Net (Excluding Goodwill) 243.78230.57219.25
Other Assets, Noncurrent 41.7051.4453.9251.5763.1079.8841.9876.4338.64182.13
Total assets 3,110.345,566.625,460.485,924.147,273.698,251.948,488.199,880.7010,250.958,493.89
Current assets 490.60617.03421.18508.101,072.66603.03577.14575.50506.98465.13
Accounts payable 64.1667.0494.6994.52109.8695.8577.9964.9386.33101.32
Total current liabilities 375.61539.40398.80368.59835.38615.76551.81538.42502.94505.30
Long-term Debt, Excluding Current Maturities 1,421.182,189.242,279.912,569.633,309.293,574.563,738.614,579.944,877.893,683.01
Long-term Debt 2,456.442,644.772,941.443,318.713,554.993,844.314,217.704,910.534,714.44
Deferred Revenue, Noncurrent 43.5939.1528.1517.055.980
Total liabilities 1,924.422,926.742,987.383,172.594,279.494,315.394,403.275,217.235,471.364,389.49
Accumulated Other Comprehensive Income (Loss), Net of Tax -37.53-29.64-150.36-124.53-118.02-112.55-92.532.0148.58-38.42

BUCKEYE PARTNERS, L.P. Cash Flow

Name [in Millions USD]200720082009201020112012201320142015201620172018Trends
Net income 26.4849.5943.08108.50226.42160.27272.95437.22535.61478.80-59.04
Depreciation and amortization 50.8354.7059.59119.53146.42
Depreciation 50.9054.70105.50120.20122.70148.40158.70186.60202.80203.70
Amortization of Intangible Assets 4.5013.4024.7024.4047.4062.6068.1066.4065.70
Depreciation and amortization 112.40138.86147.59196.44221.28254.66269.24269.42
Deferred Income Tax Expense (Benefit) 0.20-1.800.40-0.20-0.701.700.581.14
Accounts receivable -36.0644.1143.1129.6853.4769.66-71.30-48.0123.6528.96-54.59
Inventories 4.36177.31-9.96-102.51-39.1445.34-70.07-52.78162.26-56.43-92.10
Accounts payable -10.6514.5711.8129.8720.3011.3127.86-65.2425.9846.08-25.35
Net Cash Provided by (Used in) Operating Activities 208.5647.66292.48403.89441.64385.49599.64710.19717.92888.40767.83
Payments to Acquire Property, Plant, and Equipment 120.4787.3177.70305.32331.34361.45472.15594.52486.32433.34467.61
Payments to Acquire Businesses, Net of Cash Acquired 657.6454.4446.921,084.47260.31856.38824.728.1226.0326.94-0.90
Net Cash Provided by (Used in) Investing Activities -735.78-144.20-114.19-1,310.28-590.32-1,204.68-1,191.50-614.89-481.70-1,809.9972.42
Proceeds from Issuance of Long-term Debt 298.05273.21647.531,292.67599.100847.86398.01
Net Cash Provided by (Used in) Financing Activities 494.0172.83-202.24905.75142.48817.36595.11-98.63399.24283.43-840.60
Cash and Cash Equivalents, Period Increase (Decrease) -33.21-23.71-23.95-0.64-6.21-1.833.26-3.33635.46-638.16-0.35