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SCHEDULE OF NET CASH FLOWS RELATING TO PROVED OIL AND GAS RESERVES (Details) - USD ($)
Sep. 30, 2022
Sep. 30, 2021
Sep. 30, 2020
Supplemental Information On Oil And Gas Operations      
Future cash inflows $ 589,481,000 $ 355,958,000  
Future production costs(1) [1] (91,630,000) (69,683,000)  
Future development costs (71,700,000) (71,700,000)  
Future income tax expenses (113,873,000) (57,206,000)  
Future net cash flows 312,278,000 157,369,000  
10% annual discount for estimated timing of cash flows (167,549,000) (84,100,000)  
Standardized measure of discounted future net cash flows at the end of the fiscal year $ 144,729,000 $ 73,269,000 $ 20,797,000
[1] Production costs include crude oil and natural gas operations expense, production ad valorem taxes, transportation costs and G&A expense supporting the Company’s crude oil and natural gas operations.