2013 Q4 Form 10-K Financial Statement

#000138365015000009 Filed on February 20, 2015

View on sec.gov

Income Statement

Concept 2013 Q4 2013 Q3 2013 Q2
Revenue $67.00M $67.45M $67.64M
YoY Change -0.54% 1.64% 10.12%
Cost Of Revenue $12.30M $29.90M $31.20M
YoY Change -39.41% 112.06% 191.59%
Gross Profit $54.70M $37.60M $36.40M
YoY Change 16.14% -28.11% -28.21%
Gross Profit Margin 81.64% 55.75% 53.82%
Selling, General & Admin $30.90M $45.00M $38.60M
YoY Change 100.65% 8.17% 376.54%
% of Gross Profit 56.49% 119.68% 106.04%
Research & Development $3.400M $1.355M $3.318M
YoY Change 36.0% -67.96% -77.07%
% of Gross Profit 6.22% 3.6% 9.12%
Depreciation & Amortization $14.30M $14.49M $14.36M
YoY Change -0.69% -0.06% -20.25%
% of Gross Profit 26.14% 38.54% 39.44%
Operating Expenses $48.60M $90.80M $88.06M
YoY Change 49.54% 21.83% 80.93%
Operating Profit $5.428M -$23.36M -$20.43M
YoY Change -62.59% 185.64% -260.21%
Interest Expense -$16.50M $52.53M $42.02M
YoY Change -59.46% 20.41% -3.32%
% of Operating Profit -303.98%
Other Income/Expense, Net $200.0K -$74.75M -$26.58M
YoY Change 0.0% 73.06% -38.37%
Pretax Income -$61.30M -$98.10M -$47.00M
YoY Change -10.64% 90.86% 54.61%
Income Tax $0.00 $0.00
% Of Pretax Income
Net Earnings -$61.27M -$98.11M -$47.01M
YoY Change -10.71% 90.98% 54.71%
Net Earnings / Revenue -91.44% -145.46% -69.5%
Basic Earnings Per Share
Diluted Earnings Per Share -$81.25K -$509.6K -$681.2K
COMMON SHARES
Basic Shares Outstanding 57.08M shares 57.08M shares 57.08M shares
Diluted Shares Outstanding

Balance Sheet

Concept 2013 Q4 2013 Q3 2013 Q2
SHORT-TERM ASSETS
Cash & Short-Term Investments $351.0M $340.0M $355.0M
YoY Change -16.23% -7.86% 107.6%
Cash & Equivalents $351.0M $339.9M $355.3M
Short-Term Investments
Other Short-Term Assets $237.0M $222.0M $543.0M
YoY Change 123.58% 70.77% 2260.87%
Inventory $10.43M $14.16M $11.15M
Prepaid Expenses
Receivables $40.00K $21.21M $23.92M
Other Receivables $0.00 $0.00 $0.00
Total Short-Term Assets $613.1M $623.2M $945.7M
YoY Change 15.01% 16.19% 375.42%
LONG-TERM ASSETS
Property, Plant & Equipment $6.384B $5.643B $4.831B
YoY Change 98.28% 133.76% 213.55%
Goodwill
YoY Change
Intangibles
YoY Change
Long-Term Investments
YoY Change
Other Assets $82.59M $58.57M $23.21M
YoY Change 319.3% 88.1% -34.4%
Total Long-Term Assets $7.904B $6.947B $7.066B
YoY Change 111.74% 136.75% 322.08%
TOTAL ASSETS
Total Short-Term Assets $613.1M $623.2M $945.7M
Total Long-Term Assets $7.904B $6.947B $7.066B
Total Assets $8.517B $7.571B $8.012B
YoY Change 99.65% 118.12% 327.74%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $10.15M $4.739M $19.88M
YoY Change -86.24% 101.17%
Accrued Expenses $170.1M $141.8M $457.7M
YoY Change 255.4% 22.17% 1118.4%
Deferred Revenue
YoY Change
Short-Term Debt $0.00 $0.00 $0.00
YoY Change
Long-Term Debt Due
YoY Change
Total Short-Term Liabilities $265.9M $233.9M $553.3M
YoY Change 70.62% 31.74% 575.43%
LONG-TERM LIABILITIES
Long-Term Debt $6.576B $5.574B $5.572B
YoY Change 203.46% 142.78% 153.88%
Other Long-Term Liabilities $193.0K $1.209M $1.212M
YoY Change -10.65% 295.1% 290.97%
Total Long-Term Liabilities $6.576B $5.575B $5.573B
YoY Change 203.44% 142.81% 153.9%
TOTAL LIABILITIES
Total Short-Term Liabilities $265.9M $233.9M $553.3M
Total Long-Term Liabilities $6.576B $5.575B $5.573B
Total Liabilities $6.842B $5.809B $6.126B
YoY Change 194.53% 134.83% 169.06%
SHAREHOLDERS EQUITY
Retained Earnings
YoY Change
Common Stock
YoY Change
Preferred Stock
YoY Change
Treasury Stock (at cost)
YoY Change
Treasury Stock Shares
Shareholders Equity $1.640B $1.726B $1.848B
YoY Change
Total Liabilities & Shareholders Equity $8.517B $7.571B $8.012B
YoY Change 99.65% 118.12% 327.74%

Cashflow Statement

Concept 2013 Q4 2013 Q3 2013 Q2
OPERATING ACTIVITIES
Net Income -$61.27M -$98.11M -$47.01M
YoY Change -10.71% 90.98% 54.71%
Depreciation, Depletion And Amortization $14.30M $14.49M $14.36M
YoY Change -0.69% -0.06% -20.25%
Cash From Operating Activities $51.80M $8.600M -$27.00M
YoY Change -327.19% 230.77% 255.26%
INVESTING ACTIVITIES
Capital Expenditures -$3.121B
YoY Change 178.92%
Acquisitions
YoY Change
Other Investing Activities $3.115B -$700.0K -$784.9M
YoY Change 178.09% -101.85% 1751.18%
Cash From Investing Activities -$5.700M -$700.0K -$319.9M
YoY Change -538.46% -101.85% 654.48%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net
YoY Change
Debt Paid & Issued, Net
YoY Change
Cash From Financing Activities -410.8M -23.30M 617.7M
YoY Change -417.22% -114.77% 282.71%
NET CHANGE
Cash From Operating Activities 51.80M 8.600M -27.00M
Cash From Investing Activities -5.700M -700.0K -319.9M
Cash From Financing Activities -410.8M -23.30M 617.7M
Net Change In Cash -364.7M -15.40M 270.8M
YoY Change -437.69% -107.77% 143.09%
FREE CASH FLOW
Cash From Operating Activities $51.80M $8.600M -$27.00M
Capital Expenditures -$3.121B
Free Cash Flow $3.172B
YoY Change 189.45%

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<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;text-align:justify;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-weight:bold;">Concentration of Credit Risk</font></div><div style="line-height:120%;text-align:justify;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-style:italic;">&#160;</font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Financial instruments that potentially subject us to a concentration of credit risk consist principally of cash and cash equivalents and restricted cash. We maintain cash balances at financial institutions, which may at times be in excess of federally insured levels. We have not incurred losses related to these balances to date.</font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The use of derivative instruments exposes us to counterparty credit risk, or the risk that a counterparty will be unable to meet its commitments. Our commodity derivative transactions are executed through over-the-counter contracts which are subject to nominal credit risk as these transactions are settled on a daily margin basis with investment grade financial institutions. Collateral deposited for such contracts is recorded as an other current asset and not netted within the derivative fair value. Our interest rate derivative instruments are placed with investment grade financial institutions whom we believe are acceptable credit risks. We monitor counterparty creditworthiness on an ongoing basis; however, we cannot predict sudden changes in counterparties&#8217; creditworthiness. In addition, even if such changes are not sudden, we may be limited in our ability to mitigate an increase in counterparty credit risk. Should one of these counterparties not perform, we may not realize the benefit of some of our derivative instruments.</font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Sabine Pass LNG has entered into certain long-term TUAs with unaffiliated third parties for regasification capacity at the Sabine Pass LNG terminal. Sabine Pass LNG is dependent on the respective counterparties&#8217; creditworthiness and their willingness to perform under their respective TUAs. Sabine Pass LNG has mitigated this credit risk by securing TUAs for a significant portion of its regasification capacity with creditworthy third-party customers with a minimum Standard&#160;&amp; Poor&#8217;s rating of AA.</font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Sabine Pass Liquefaction has entered into </font><font style="font-family:inherit;font-size:10pt;">six</font><font style="font-family:inherit;font-size:10pt;"> fixed price </font><font style="font-family:inherit;font-size:10pt;">20</font><font style="font-family:inherit;font-size:10pt;">-year SPAs with </font><font style="font-family:inherit;font-size:10pt;">six</font><font style="font-family:inherit;font-size:10pt;"> unaffiliated third parties. Sabine Pass Liquefaction is dependent on the respective counterparties&#8217; creditworthiness and their willingness to perform under their respective SPAs.</font></div></div>
CY2014 us-gaap Nature Of Operations
NatureOfOperations
<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-weight:bold;">NATURE OF OPERATIONS</font></div><div style="line-height:120%;text-align:justify;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">We are a publicly traded Delaware limited partnership (NYSE MKT: CQP) formed by Cheniere Energy, Inc. (&#8220;Cheniere&#8221;). Through our wholly owned subsidiary, Sabine Pass LNG, L.P. (&#8220;Sabine Pass LNG&#8221;), we own and operate the regasification facilities at the Sabine Pass LNG terminal </font><font style="font-family:inherit;font-size:10pt;color:#231f20;">located on the Sabine Pass deep water shipping channel less than four miles from the Gulf Coast. The Sabine Pass LNG terminal includes existing infrastructure of </font><font style="font-family:inherit;font-size:10pt;color:#231f20;">five</font><font style="font-family:inherit;font-size:10pt;color:#231f20;"> LNG storage tanks with capacity of </font><font style="font-family:inherit;font-size:10pt;">approximately </font><font style="font-family:inherit;font-size:10pt;">16.9</font><font style="font-family:inherit;font-size:10pt;color:#231f20;"> Bcfe, </font><font style="font-family:inherit;font-size:10pt;color:#231f20;">two</font><font style="font-family:inherit;font-size:10pt;color:#231f20;"> docks that can accommodate </font><font style="font-family:inherit;font-size:10pt;">vessels with nominal capacity of</font><font style="font-family:inherit;font-size:10pt;color:#231f20;"> up to </font><font style="font-family:inherit;font-size:10pt;color:#231f20;">266,000</font><font style="font-family:inherit;font-size:10pt;color:#231f20;"> cubic meters and vaporizers with regasification capacity of approximately </font><font style="font-family:inherit;font-size:10pt;color:#231f20;">4.0</font><font style="font-family:inherit;font-size:10pt;color:#231f20;"> Bcf/d. </font><font style="font-family:inherit;font-size:10pt;">We are developing and constructing </font><font style="font-family:inherit;font-size:10pt;color:#231f20;">natural gas liquefaction facilities (the &#8220;Liquefaction Project&#8221;) at the Sabine Pass LNG terminal adjacent to the existing regasification facilities </font><font style="font-family:inherit;font-size:10pt;">through our wholly owned subsidiary, Sabine Pass Liquefaction, LLC (&#8220;Sabine Pass Liquefaction&#8221;). We plan to construct up to </font><font style="font-family:inherit;font-size:10pt;">six</font><font style="font-family:inherit;font-size:10pt;"> Trains which are in various stages of development. Each Train is expected to have a nominal production capacity of approximately </font><font style="font-family:inherit;font-size:10pt;">4.5</font><font style="font-family:inherit;font-size:10pt;"> mtpa of LNG. We also own the </font><font style="font-family:inherit;font-size:10pt;">94</font><font style="font-family:inherit;font-size:10pt;">-mile Creole Trail Pipeline through our wholly owned subsidiary, Cheniere Creole Trail Pipeline, L.P. (&#8220;CTPL&#8221;), which interconnects the Sabine Pass LNG terminal with a number of large interstate pipelines. </font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">As of December 31, </font><font style="font-family:inherit;font-size:10pt;">2014</font><font style="font-family:inherit;font-size:10pt;">, Cheniere owned </font><font style="font-family:inherit;font-size:10pt;">100%</font><font style="font-family:inherit;font-size:10pt;"> of our general partner interest and </font><font style="font-family:inherit;font-size:10pt;">80.1%</font><font style="font-family:inherit;font-size:10pt;"> of Cheniere Energy Partners LP Holdings, LLC (&#8220;Cheniere Holdings&#8221;) which owned </font><font style="font-family:inherit;font-size:10pt;">12.0 million</font><font style="font-family:inherit;font-size:10pt;"> of our common units, </font><font style="font-family:inherit;font-size:10pt;">45.3 million</font><font style="font-family:inherit;font-size:10pt;"> of our Class B units and </font><font style="font-family:inherit;font-size:10pt;">135.4 million</font><font style="font-family:inherit;font-size:10pt;"> of our subordinated units. </font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Unless the context requires otherwise, references to &#8220;Cheniere Partners,&#8221; &#8220;we,&#8221; &#8220;us&#8221; and &#8220;our&#8221; refer to Cheniere Energy Partners, L.P. and its consolidated subsidiaries, including Sabine Pass LNG, Sabine Pass Liquefaction and CTPL.</font></div></div>
CY2014 us-gaap Use Of Estimates
UseOfEstimates
<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;text-align:justify;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-weight:bold;">Use of Estimates</font></div><div style="line-height:120%;text-align:justify;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div><div style="line-height:120%;text-align:justify;text-indent:36px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The preparation of Consolidated Financial Statements in conformity with GAAP requires management to make certain estimates and assumptions that affect the amounts reported in the Consolidated Financial Statements and the accompanying notes. Management evaluates its estimates and related assumptions regularly, including those related to the value of property, plant and equipment, collectability of accounts receivable, derivative instruments, asset retirement obligations (&#8220;AROs&#8221;) and fair value measurements. Changes in facts and circumstances or additional information may result in revised estimates, and actual results may differ from these estimates.</font></div></div>

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