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SUPPLEMENTAL CASH FLOW DISCLOSURES - Schedule of supplemental cash flow information (Details) - USD ($)
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Supplemental Cash Flow Information [Abstract]    
Cash paid for interest $ 3,911,062 $ 799,418
Cash paid for income taxes 0 0
Non-Cash Investing Activities    
Property, plant and equipment non-cash accruals 14,918,342 30,831,459
Capitalized asset retirement obligations 43,112 50,560
Non-cash investing activities 14,961,454 30,882,019
Non-Cash Financing Activities    
Redemption of Redeemable NCI via issuance of Redeemable NCI 31,689,090 19,792,811
Redemption of Redeemable NCI via issuance of Origination member units 2,505,631 3,159,695
Redemption of Redeemable NCI via oil and gas property disposition 336,974 84,300
Non-Cash Financing Activities 34,531,695 23,036,806
Changes in Operating Assets and Liabilities    
Accounts receivable, net 11,075,475 (7,380,237)
Prepaid expenses 304,372 (360,372)
Accounts payable and accrued liabilities 1,572,483 (22,244,817)
Asset backed preferred instrument accrued interest 0 521,752
Operating leases liability (51,075) (20,020)
Changes in operating assets and liabilities $ 12,901,255 $ (29,483,694)