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SUPPLEMENTAL CASH FLOW INFORMATION
6 Months Ended
Jun. 30, 2021
Supplemental Cash Flow Information  
SUPPLEMENTAL CASH FLOW INFORMATION

15.     SUPPLEMENTAL CASH FLOW INFORMATION

Supplemental Cash Flow Information for the six months ended June 30, 2021 and 2020:

   2021   2020 
         
Cash Paid for Interest  $469,638   $306,333 
           
Non-cash Investing and Financing Activities:          
Non-cash Additions to Asset Retirement Obligations  $6,117,709   $9,508,484 
           
Unsecured Convertible Note conversion  $1,500,000   $ 
           
Purchases of oil and natural gas properties and deposits in accounts and notes payable, royalty suspense, and contingent payable to seller  $290,325   $2,569,863 
           
Note payable issued - PIE Agreement (see Note 8)  $147,686   $ 
           
Equipment purchased utilizing notes payable  $199,226   $ 
           
Forgiveness of PPP loan  $160,700   $ 
           
Shares and warrants issued for Secured Convertible Note  $4,594,500   $