XML 67 R48.htm IDEA: XBRL DOCUMENT v3.25.1
Supplemental disclosure of cash flow information (Tables)
12 Months Ended
Dec. 31, 2024
Supplemental disclosure of cash flow information  
Schedule of Supplemental disclosure of cash flow information

Year Ended December 31, 

    

2024

    

2023

 

2022

Interest paid in cash

$

8,479

$

21,417

$

14,797

Income taxes paid in cash

$

3,147,300

$

4,920,912

$

211,000

Issuance of 5,904, 13,309 and 9,295, respectively, shares of redeemable preferred stock for services rendered

$

148,485

$

323,275

$

133,197

Issuance of 68,832, 68,864 and 72,597, respectively, shares of common stock for services rendered

$

1,064,119

$

1,015,177

$

877,298

Conversion (on a one-to-one basis) of 5,968, 8,848 and 6,585, respectively, shares of redeemable preferred stock to common stock

$

3,581

$

5,309

$

3,951

Dividends declared but not paid

$

1,747,938

$

1,502,506

$

1,305,367

Issuance of 0, 368,383 and 0, respectively, shares of common stock for the purchase of non-controlling interest in PERC

$

$

5,359,973

$

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

$

538,777

$

317,853

$

346,024

Transfers from construction in progress to property, plant and equipment

$

1,395,485

$

7,093,158

$

297,723

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

$

1,604,702

$

745,078

$

Purchase of equipment through issuance of long-term debt

$

$

$

188,645

Transfers from prepaid expenses to property, plant and equipment

$

67,136

$

271,922

$

Transfers from prepaid expenses to inventory

$

$

238,032

$