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Note 11 - Derivatives (Tables)
6 Months Ended
Mar. 31, 2013
Gains (losses) on
 
Three months ended
   
Six months ended
 
derivative contracts
 
3/31/2013
   
3/31/2012
   
3/31/2013
   
3/31/2012
 
Realized
  $ 212,998     $ (38,820 )   $ 168,777     $ 275,115  
Increase (decrease) in fair value
    (2,024,357 )     629,732       (1,087,443 )     93,718  
Total
  $ (1,811,359 )   $ 590,912     $ (918,666 )   $ 368,833  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
   
3/31/2013
Fair Value (a)
Commodity Contracts
   
9/30/2012
Fair Value (a)
Commodity Contracts
 
   
Non-Current
Assets
   
Current
Liabilities
 
Current
Assets
   
Current
Liabilities
 
Gross amounts recognized
    19,912       1,279,626       51,530       223,801  
Offsetting adjustments
    -       -       (51,530 )     (51,530 )
Net presentation on Condensed Balance Sheets
    19,912       1,279,626       -       172,271