Annual Report — Form 10-K — Sect. 13 / 15(d) – SEA’34 Filing Table of Contents
Document/ExhibitDescriptionPagesSize
1: 10-K Annual Report HTML 2.26M
2: EX-4.6 Instrument Defining the Rights of Security Holders HTML 129K
3: EX-4.7 Instrument Defining the Rights of Security Holders HTML 45K
4: EX-4.8 Instrument Defining the Rights of Security Holders HTML 56K
5: EX-10.1 Material Contract HTML 570K
7: EX-10.11 Material Contract HTML 114K
8: EX-10.13 Material Contract HTML 90K
9: EX-10.14 Material Contract HTML 90K
10: EX-10.15 Material Contract HTML 90K
11: EX-10.16 Material Contract HTML 90K
6: EX-10.9 Material Contract HTML 112K
12: EX-21.1 Subsidiaries List HTML 39K
13: EX-23.1 Consent of Experts or Counsel HTML 41K
14: EX-23.2 Consent of Experts or Counsel HTML 40K
15: EX-23.3 Consent of Experts or Counsel HTML 41K
16: EX-23.4 Consent of Experts or Counsel HTML 40K
17: EX-31.1 Certification -- §302 - SOA'02 HTML 53K
18: EX-31.2 Certification -- §302 - SOA'02 HTML 53K
19: EX-31.3 Certification -- §302 - SOA'02 HTML 53K
20: EX-31.4 Certification -- §302 - SOA'02 HTML 53K
21: EX-32.1 Certification -- §906 - SOA'02 HTML 43K
22: EX-32.2 Certification -- §906 - SOA'02 HTML 42K
23: EX-32.3 Certification -- §906 - SOA'02 HTML 43K
24: EX-32.4 Certification -- §906 - SOA'02 HTML 42K
101: R1 Document And Entity Information HTML 84K
80: R2 Consolidated Balance Sheets HTML 154K
96: R3 Consolidated Balance Sheets (Parenthetical) HTML 64K
105: R4 Consolidated Statements Of Earnings HTML 122K
131: R5 Consolidated Statements Of Earnings HTML 45K
(Parenthetical)
83: R6 Consolidated Statements of Comprehensive Income HTML 77K
95: R7 Consolidated Statements Of Partners' Capital HTML 159K
(Deficit)
74: R8 Consolidated Statements Of Cash Flows HTML 182K
63: R9 Consolidated Statements Of Cash Flows Consolidated HTML 42K
Statements Of Cash Flows (Parenthetical)
133: R10 Partnership Organization And Formation HTML 57K
107: R11 Summary Of Significant Accounting Policies HTML 214K
106: R12 Business Combinations HTML 210K
113: R13 Quarterly Distributions Of Available Cash HTML 45K
114: R14 Supplemental Financial Statement Information HTML 160K
111: R15 Accounts And Notes Receivable, Net And Accounts HTML 77K
Receivable Securitization
115: R16 Goodwill And Intangible Assets, Net HTML 211K
97: R17 Debt HTML 173K
102: R18 Partners' Capital HTML 109K
109: R19 Fair Value Measurements HTML 222K
142: R20 Derivative Instruments and Hedging Activities HTML 252K
124: R21 Transactions With Related Parties HTML 68K
89: R22 Contingencies And Commitments HTML 110K
108: R23 Employee Benefits HTML 53K
92: R24 Net Earnings (Loss) Per Common Unitholders' HTML 77K
Interest
53: R25 Segment Reporting Segment Reporting HTML 193K
125: R26 Quarterly Data (Unaudited) HTML 125K
138: R27 Income Taxes HTML 49K
68: R28 Subsequent Events HTML 49K
67: R29 Schedule I Parent Only Balance Sheets, Statements HTML 154K
Of Earnings And Cash Flows
72: R30 Schedule II Valuation And Qualifying Accounts HTML 132K
73: R31 Summary Of Significant Accounting Policies HTML 277K
(Policy)
75: R32 Summary Of Significant Accounting Policies HTML 123K
(Tables)
40: R33 Business Combinations (Tables) HTML 174K
122: R34 Supplemental Financial Statement Information HTML 161K
(Tables)
87: R35 Accounts And Notes Receivable, Net And Accounts HTML 61K
Receivable Securitization (Tables)
90: R36 Goodwill And Intangible Assets, Net (Tables) HTML 210K
58: R37 Debt (Tables) HTML 122K
141: R38 Partners' Capital (Tables) HTML 89K
31: R39 Fair Value Measurement (Tables) HTML 217K
77: R40 Derivative Instruments and Hedging Activities HTML 238K
Derivative Instruments and Hedging Activities
(Tables)
129: R41 Transactions With Related Parties (Tables) HTML 63K
55: R42 Contingencies And Commitments (Tables) HTML 83K
66: R43 Net Earnings (Loss) Per Common Unitholders' HTML 74K
Interest (Tables)
71: R44 Segment Reporting Segment Reporting (Tables) HTML 187K
81: R45 Quarterly Data (Unaudited) (Tables) HTML 123K
39: R46 Schedule I Parent Only Balance Sheets, Statements HTML 156K
Of Earnings And Cash Flows (Tables)
62: R47 Schedule II Valuation And Qualifying Accounts HTML 131K
(Tables)
33: R48 Partnership Organization And Formation (Details) HTML 72K
127: R49 Summary Of Significant Accounting Policies HTML 76K
(Narrative) (Details)
54: R50 Summary Of Significant Accounting Policies HTML 61K
(Significant Cash And Non-Cash Activities)
(Details)
123: R51 Summary Of Significant Accounting Policies HTML 52K
(Summary Of Income Tax Expense) (Details)
59: R52 Summary Of Significant Accounting Policies HTML 47K
(Deferred Taxes Assets And Liabilities) (Details)
78: R53 Business Combinations (Narrative) (Details) HTML 52K
32: R54 Business Combinations (Schedule Of Funding Of HTML 56K
Acquisitions) (Details)
36: R55 Business Combinations (Aggregate Fair Value) HTML 92K
(Details)
70: R56 Quarterly Distributions Of Available Cash HTML 47K
(Details)
45: R57 Supplemental Financial Statement Information HTML 49K
(Narrative) (Details)
134: R58 Supplemental Financial Statement Information HTML 49K
(Schedule Of Inventories) (Details)
85: R59 Supplemental Financial Statement Information HTML 101K
(Property, Plant And Equipment) (Details)
112: R60 Supplemental Financial Statement Information HTML 57K
(Other Current Liabilities) (Details)
61: R61 Supplemental Financial Statement Information HTML 53K
(Shipping And Handling Expenses) (Details)
64: R62 Accounts And Notes Receivable, Net And Accounts HTML 75K
Receivable Securitization (Narrative) (Details)
120: R63 Accounts And Notes Receivable, Net And Accounts HTML 54K
Receivable Securitization (Accounts And Notes
Receivable) (Details)
116: R64 Goodwill And Intangible Assets, Net (Narrative) HTML 59K
(Details)
88: R65 Goodwill And Intangible Assets, Net (Goodwill And HTML 77K
Intangible Assets, Net) (Details)
118: R66 Goodwill And Intangible Assets, Net Goodwill And HTML 59K
Intangible Assets, Net (Goodwill Rollforward)
(Details)
60: R67 Goodwill And Intangible Assets, Net (Aggregate HTML 43K
Amortization Expense) (Details)
93: R68 Goodwill And Intangible Assets, Net (Estimated HTML 53K
Amortization Expense) (Details)
137: R69 Debt (Short-Term Borrowings Narrative) (Details) HTML 43K
35: R70 Debt (Senior Notes Narrative) (Details) HTML 87K
52: R71 Debt (Secured Credit Facility Narrative) (Details) HTML 106K
79: R72 Debt (Interest Rate Swaps Narrative) (Details) HTML 82K
43: R73 Debt (Components Of Long-Term Debt) (Details) HTML 111K
140: R74 Debt (Scheduled Annual Principal Payments On HTML 62K
Long-term Debt) (Details)
56: R75 Partners' Capital (Narrative) (Details) HTML 108K
47: R76 Partners' Capital (Limited Partner Units) HTML 48K
(Details)
51: R77 Partners' Capital (Ferrellgas Paid Cash HTML 52K
Distributions) (Details)
37: R78 Partners' Capital (Dividends Expected To Be Paid HTML 47K
To Related Parties) (Details)
42: R79 Fair Value Measurements (Narrative) (Details) HTML 41K
103: R80 Fair Value Measurements (Assets And Liabilities HTML 58K
Fair Value Hierarchy) (Details)
49: R81 Fair Value Measurements Fair Value Measurements HTML 55K
(Fair Value, Liabilities Measured on Recurring
Basis, Unobservable Input Reconciliation)
(Details)
135: R82 Fair Value Measurements Fair Value Measurements HTML 54K
(Fair Value Inputs, Liabilities, Quantitative
Information) (Details)
76: R83 Fair Value Measurements Fair Value Measurements HTML 49K
(Sensitivity of Unobservable Inputs) (Details)
110: R84 Derivative Instruments and Hedging Activities HTML 63K
(Narrative) (Details)
117: R85 Derivative Instruments and Hedging Activities HTML 70K
(Fair Value of Financial Derivatives Balance Sheet
Locations) (Details)
48: R86 Derivative Instruments and Hedging Activities HTML 45K
(Fair Value Hedge Derivative Effect on Earnings)
(Details)
50: R87 Derivative Instruments and Hedging Activities HTML 53K
(Cash Flow Hedge Derivative Effect on
Comprehensive Income) (Details)
132: R88 Derivative Instruments and Hedging Activities HTML 56K
(Changes in Derivative Value Effect on Other
Comprehensive Income Loss) (Details)
44: R89 Transactions With Related Parties (Narrative) HTML 41K
(Details)
104: R90 Transactions With Related Parties (Allocation Of HTML 49K
Transactions With Related Parties) (Details)
100: R91 Contingencies And Commitments (Narrative) HTML 53K
(Details)
121: R92 Contingencies And Commitments (Contractual HTML 65K
Operating Lease Commitments And Buyouts) (Details)
99: R93 Employee Benefits (Details) HTML 50K
84: R94 Net Earnings (Loss) Per Common Unitholders' HTML 47K
Interest Net Earnings (Loss) Per Common
Unitholders' Interest (Narrative) (Details)
126: R95 Net Earnings (Loss) Per Common Unitholders' HTML 58K
Interest (Schedule of Earnings Per Share)
(Details)
82: R96 Segment Reporting Segment Reporting (Schedule of HTML 56K
Segment Reporting Information, by Segment)
(Details)
57: R97 Net Earnings (Loss) Per Common Unitholders' HTML 53K
Interest Net Earnings (Loss) Per Common
Unitholders' Interest (Earnings Distribution
Allocation) (Details)
91: R98 Segment Reporting Segment Reporting HTML 50K
(Reconciliation of Assets from Segment to
Consolidated) (Details)
86: R99 Segment Reporting Segment Reporting (Schedule of HTML 60K
Capital Expenditure Information, by Segment)
(Details)
69: R100 Segment Reporting Segment Reporting HTML 99K
(Reconciliation of Consolidated EBITDA to
Consolidated Net Earnings) (Details)
143: R101 Quarterly Data (Unaudited) (Summarized Unaudited HTML 64K
Quarterly Data) (Details)
119: R102 Income Taxes (Narrative) (Details) HTML 60K
98: R103 Subsequent Events Subsequent Events (Details) HTML 50K
38: R104 Schedule I Parent Only Balance Sheets, Statements HTML 86K
Of Earnings And Cash Flows (Balance Sheets)
(Details)
128: R105 Schedule I Parent Only Balance Sheets, Statements HTML 45K
Of Earnings And Cash Flows (Balance Sheets)
(Parenthetical) (Details)
136: R106 Schedule I Parent Only Balance Sheets, Statements HTML 66K
Of Earnings And Cash Flows (Statement Of Earnings)
(Details)
130: R107 Schedule I Parent Only Balance Sheets, Statements HTML 103K
Of Earnings And Cash Flows (Cash Flows) (Details)
94: R108 Schedule I Parent Only Balance Sheets, Statements HTML 42K
Of Earnings And Cash Flows (Cash Flows)
(Parenthetical) (Details)
46: R109 Schedule II Valuation And Qualifying Accounts HTML 51K
(Details)
139: XML IDEA XML File -- Filing Summary XML 215K
34: EXCEL IDEA Workbook of Financial Reports XLSX 521K
65: EXCEL IDEA Workbook of Financial Reports (.xls) XLS 4.65M
25: EX-101.INS XBRL Instance -- fgp-20140731 XML 7.07M
27: EX-101.CAL XBRL Calculations -- fgp-20140731_cal XML 293K
28: EX-101.DEF XBRL Definitions -- fgp-20140731_def XML 1.88M
29: EX-101.LAB XBRL Labels -- fgp-20140731_lab XML 2.17M
30: EX-101.PRE XBRL Presentations -- fgp-20140731_pre XML 1.99M
26: EX-101.SCH XBRL Schema -- fgp-20140731 XSD 270K
41: ZIP XBRL Zipped Folder -- 0000922358-14-000011-xbrl Zip 512K
‘EX-4.7’ — Instrument Defining the Rights of Security Holders
This First Amendment to Registration Rights Agreement (the "Amendment") is made and entered into as of the __ day of March, 2000, by and between Ferrellgas Partners, L.P., a Delaware limited partnership (the "Issuer"), and Williams Natural Gas Liquids, Inc., a Delaware corporation ("Williams").
WHEREAS, Issuer and Williams have entered into that certain Registration Rights Agreement dated as of December 17, 1999 (the "Registration Rights Agreement");
WHEREAS, Issuer and Williams
desire to amend the Registration Rights Agreement as set forth in this Amendment; and
WHEREAS, pursuant to Section 9(d) of the Registration Rights Agreement, the Registration Rights Agreement may be amended in writing by the Issuer and the Holders (as defined in the Registration Rights Agreement) of not less than a majority in aggregate number of the then outstanding Registrable Units (as defined in the Registration Rights Agreement);
NOW, THEREFORE, in consideration of the premises and the respective representations, warranties, covenants, agreements and conditions contained herein, the parties hereto agree as follows:
ARTICLE I AMENDMENTS TO THE REGISTRATION RIGHTS AGREEMENT
A.
Amendment
to Definition of "Effectiveness Target Date" in the Registration Rights Agreement.
The reference in clause (iii) of the definition of "Effectiveness Target Date" in the Registration Rights Agreement to "180 days" is hereby amended to be "240 days."
B.
Amendment to Section 2(a)(iii) of the Registration Rights Agreement.
The reference in the first sentence of Section 2(a)(iii) of the Registration Rights Agreement to "120 days" is hereby amended to be "180 days." The reference in the first sentence of Section 2(a)(iii) of the Registration Rights Agreement to
"180 days" is hereby amended to be "240 days."
ARTICLE II GENERAL PROVISIONS
A.
Full Force and Effect.
Except as expressly amended hereby, the Registration Rights Agreement shall continue in full force and effect in accordance with the provisions thereof on the date hereof.
B. Other Provisions.
Section 9 of the Registration Rights Agreement shall apply to this Amendment and be incorporated herein with the same force and effect as if its provisions were reprinted as part of this Amendment.
IN
WITNESS WHEREOF, the parties have executed this Amendment to be effective as of the first date stated above.