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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Cash Flows From Operating Activities:      
Net (Loss) $ (14,420,450) $ (21,327,157) $ (48,783,312)
Adjustments To Reconcile Net Loss To Net Cash Used In Operating Activities:      
Depreciation and Amortization 822,294 996,321 1,007,411
Share Based Compensation - Non-employee     1,862,874
Share Based Compensation- Employees 8,887,977 10,094,685 5,849,196
Restricted Stock Retained in Satisfaction of Tax Liabilities (2,912,859)    
Loss on Disposal of Assets 5,281 7,338 16,410
Loss on Sale of Investments Available for Sale 58,095 1,223  
Amortization of Debt Issuance Costs   882,716 227,059
Non-cash Interest Expense   874,942 225,059
Changes in Assets and Liabilities:      
(Increase) Decrease in Accounts Receivable (574,731) 106,317 (146,387)
(Increase) in Inventory (3,951,595) (1,120,537) (150,009)
(Increase) Decrease in Other Assets (360,303) (13,466) 669,896
(Decrease) in Accounts Payable (1,299,299) (3,391,638) (6,147,412)
(Decrease) in Other Liabilities (413,652) (2,345,486) (5,295,738)
Deferred Distribution Agreement Income   20,000,000  
Recognized Distribution Agreement Income (2,081,668) (507,480)  
Changes in Assets and Liabilities (8,681,248) 12,727,710 (11,069,650)
Cash (Used In) Provided By Operating Activities (16,240,910) 4,257,778 (50,664,953)
Cash Flows From Investing Activities:      
Purchase of Investments Available for Sale (21,800,000) (13,100,000) (12,002,203)
Sale of Investments Available for Sale 1,468,656 4,976,000  
Purchase of Equipment (815,002) (684,593) (654,197)
Proceeds on Sale of Assets 4,800   6,898
Cash (Used In) Investing Activities (21,141,546) (8,808,593) (12,649,502)
Cash Flows From Financing Activities:      
Proceeds from the Issuance of Common Shares and Purchase Warrants 2,780,187 79,569,815 51,596,232
Proceeds from the Issuance of Notes Payable     20,000,000
Debt Issuance Costs     (1,109,776)
Payments on Notes Payable and Capital Lease Obligations   (21,100,000) (2,280)
Cash Provided By Financing Activities 2,780,187 58,469,815 70,484,176
(Decrease) Increase In Cash (34,602,269) 53,919,000 7,169,721
Cash At Beginning Of Period 65,800,451 11,881,451 4,711,730
Cash At End Of Period 31,198,182 65,800,451 11,881,451
Supplemental Cash Flow Information:      
Interest Paid $ 0 $ 3,518,168 $ 1,154,752