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Consolidated Statements of Cash Flows (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Cash Flow from Operating Activities:      
Net Income (Loss) $ 3,683,247 $ 599,202 $ (4,706,191)
Adjustments to Reconcile Net Income (Loss) to Net Cash Provided By (Used In) Operating Activities:      
Depreciation and Amortization 2,974,587 2,211,516 2,444,662
Loan Cost Amortization 202,500 112,666 67,704
Loss on Early Extinguishment of Debt   245,726  
Gain on Disposition of Property, Plant, and Equipment and Intangible Assets (1,242,295) (239,645) (456,152)
Loss (Gain) on Disposition of Assets Held for Sale 26,367 (78,455)  
Impairment of Assets Held for Sale   426,794 68,454
Impairment of Long-Lived Assets 616,278   6,618,888
Discount Accretion on Commercial Mortgage Loan (1,403,842)    
Amortization of Fees on Acquisition of Commercial Mortgage Loan 60,805    
Deferred Income Taxes 194,563 297,222 (3,032,931)
Non-Cash Compensation 901,447 1,047,335 253,812
Decrease (Increase) in Assets:      
Refundable Income Taxes 239,720 160,185 (370,554)
Land and Development Costs 3,463,333 (22,601) (3,385,019)
Impact Fees and Mitigation Credits 231,986 347,548 277,897
Other Assets (912,225) (936,467) (109,064)
Increase (Decrease) in Liabilities:      
Accounts Payable 431,790 54,855 (660,896)
Accrued Liabilities and Accrued Stock Based Compensation (2,117,918) (825,123) 171,821
Deferred Revenue 2,493,400 102,905 690,266
Income Taxes Payable 1,044,061    
Net Cash Provided By (Used In) Operating Activities 10,887,804 3,503,663 (2,195,757)
Cash Flow From Investing Activities:      
Acquisition of Property, Plant, and Equipment (37,868,099) (24,916,936) (3,197,276)
Acquisition of Intangible Assets (2,920,739) (1,478,688) (130,070)
Acquisition of Commercial Mortgage Loan (17,658,204)    
Decrease (Increase) in Restricted Cash (366,645) 2,779,511 (2,779,511)
Proceeds from Sales, Calls, or Maturities of Investment Securities     6,813,222
Acquisition of Investment Securities (729,814)   (1,873,597)
Proceeds from Disposition of Property, Plant, and Equipment - Net 14,335,817 480,150 3,240,573
Proceeds from Disposition of Assets Held for Sale - Net 3,407,133 7,773,165  
Principal Payments Received on Commercial Mortgage Loan 95,000    
Net Cash Provided By (Used In) Investing Activities (41,705,551) (15,362,798) 2,073,341
Cash Flow from Financing Activities:      
Proceeds from Long-Term Debt 87,750,000 34,765,849 14,863,000
Payments on Long-Term Debt (53,649,817) (20,905,714) (14,845,534)
Cash Proceeds (Disbursements) from Exercise of Stock Options 591,890 (23,055) 2,470
Cash Used to Repurchase Common Stock   (453,654)  
Cash from Excess Tax Benefit from Vesting of Restricted Stock 101,032    
Dividends Paid (344,585) (228,726) (228,963)
Net Cash Provided by (Used In) Financing Activities 34,448,520 13,154,700 (209,027)
Net Increase (Decrease) in Cash 3,630,773 1,295,565 (331,443)
Cash, Beginning of Year 1,301,739 6,174 337,617
Cash, End of Year $ 4,932,512 $ 1,301,739 $ 6,174