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Supplemental disclosure of cash flow information (Tables)
12 Months Ended
Dec. 31, 2022
Supplemental disclosure of cash flow information  
Schedule of Supplemental disclosure of cash flow information

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Year Ended December 31, 

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2022

    

2021

Interest paid in cash

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$

14,797

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$

10,248

Income taxes paid in cash

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$

211,000

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$

160,000

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Non-cash transactions:

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Issuance of 9,295 and 8,632, respectively, shares of redeemable preferred stock for services rendered

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$

133,197

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$

102,203

Issuance of 72,597 and 88,488, respectively, shares of common stock for services rendered

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$

521,016

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$

745,468

Conversion (on a one-to-one basis) of 6,585 and 11,522, respectively, shares of redeemable preferred stock to common stock

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$

3,951

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$

6,913

Dividends declared but not paid

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$

1,305,367

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$

1,298,148

Transfers from inventory to property, plant and equipment and construction in progress

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$

346,024

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$

189,924

Transfers from construction in progress to property, plant and equipment

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$

297,723

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$

644,224

Right-of-use assets obtained in exchange for new operating lease liabilities

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$

—

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$

1,852,608

Purchase of equipment through issuance of long-term debt

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$

188,645

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$

95,707