Quarterly report pursuant to Section 13 or 15(d)

Acquisitions - Summary of Details of Business Combination (Details)

v3.23.2
Acquisitions - Summary of Details of Business Combination (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 06, 2023
Mar. 01, 2023
Jun. 30, 2022
Jun. 30, 2023
Jun. 30, 2022
Dec. 31, 2022
Business Acquisition [Line Items]            
Deferred tax asset   $ 19,135        
Goodwill       $ 277,795   $ 217,297
Net cash outflow       481,636 $ 6,853  
Transit Energy Group [Member]            
Business Acquisition [Line Items]            
Cash   26,702        
GPMP Capital One Line of Credit   55,000        
Liability resulting from deferred purchase price   45,845        
Receivable from TEG   (62)        
Consideration provided by Oak Street   258,019        
Total consideration   385,504 $ 0   0  
Cash and cash equivalents   379        
Inventory   20,259        
Other assets   1,304        
Property and equipment, net   268,879        
Intangible assets   20,000        
Right-of-use assets under operating leases   69,254        
Environmental receivables   2,664        
Total assets   401,874        
Other liabilities   (2,087)        
Environmental liabilities   (2,939)        
Asset retirement obligations   (11,187)        
Operating leases   (57,569)        
Total liabilities   (73,782)        
Total identifiable net assets   328,092        
Goodwill   57,412   $ 57,400    
Consideration paid in cash   81,702        
Consideration provided by Oak Street   258,019        
Less: cash and cash equivalent balances acquired   (379)        
Net cash outflow   $ 339,342        
WTG Fuels Holdings [Member]            
Business Acquisition [Line Items]            
Cash $ 10,653          
GPMP Capital One Line of Credit 19,200          
Payable 818          
Consideration provided by Oak Street 115,041          
Total consideration 145,712   $ 0   $ 0  
Cash and cash equivalents 60          
Inventory 5,694          
Other assets 149          
Property and equipment, net 128,396          
Intangible assets 14,800          
Right-of-use assets under operating leases 1,812          
Environmental receivables 4          
Total assets 150,915          
Other liabilities (598)          
Environmental liabilities (136)          
Asset retirement obligations (2,730)          
Operating leases (1,739)          
Total liabilities (5,203)          
Total identifiable net assets 145,712          
Goodwill 0          
Consideration paid in cash 29,853          
Consideration provided by Oak Street 115,041          
Less: cash and cash equivalent balances acquired (60)          
Net cash outflow $ 144,834