Our primary business objectives include generating stable cash flows sufficient to make quarterly cash distributions to our unitholders and increasing quarterly cash distributions over time by executing the following strategies: Growth through accretive acquisitions of complementary energy assets from third parties, Williams, or both; Capitalizing on expected long-term increases in natural gas production in proximity to our pipelines in the Gulf of Mexico; Optimizing the benefits of our scale, strategic location and pipeline connectivity serving the Mid-Continent natural gas liquids market, and; Managing our existing and future asset portfolio to minimize the volatility of our cash flows.