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SUPPLEMENTAL DISCLOSURE TO STATEMENTS OF CASH FLOWS (Tables)
9 Months Ended
Jul. 31, 2013
Supplemental Disclosure To Statements Of Cash Flows Tables  
Supplemental Disclosure of Statements to Cash Flows

The following are supplemental disclosures to the statements of cash flows for the nine months ended July 31, 2013 and 2012:

     
  2013 2012
   Cash paid during the period for:    
           Interest $782,691  $891,467 
           Income taxes $24,200  $56,700 
     
   Non cash operating activities:    
     

   Reclassification of assets from land improvements, buildings and

   equipment, net to long-lived assets held for sale

$220,887  $11,741 
     

   Reclassification of assets from land held for investment to long-lived

   assets held for sale

$248,922  $0 
     

   Reclassification of assets from long-lived assets held for sale to

   land improvements, buildings and equipment

$0  $388,526 
     

   Reclassification of assets from land and land development costs to

   long-lived assets held for sale

$957,625  $0 
     

   Reclassification to land improvements, buildings and equipment

   due to abandonment of sewer line

($515,631) $0 
     
   Reclassification to deferred income due to abandonment of sewer line $515,631  $0