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Note 11 - Derivatives (Tables)
9 Months Ended
Jun. 30, 2013
Derivative Instruments and Hedging Activities Disclosure [Abstract]  

Gains (losses) on

 

Three months ended

   

Nine months ended

 

derivative contracts

 

6/30/2013

   

6/30/2012

   

6/30/2013

   

6/30/2012

 

Realized

  $ (359,860 )   $ 221,350     $ (191,083 )   $ 496,465  

Increase (decrease) in fair value

    2,074,692       (140,186 )     987,249       (46,468 )

Total

  $ 1,714,832     $ 81,164     $ 796,166     $ 449,997  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
   

6/30/2013

Fair Value (a)

Commodity Contracts

   

9/30/2012

Fair Value (a)

Commodity Contracts

 
   

Current Assets

   

Current Liabilities

   

Current Assets

   

Current Liabilities

 

Gross amounts recognized

  $ 928,299     $ 113,321     $ 51,530     $ 223,801  

Offsetting adjustments

    (113,321 )     (113,321 )     (51,530 )     (51,530 )

Net presentation on Condensed Balance Sheets

  $ 814,978     $ -     $ -     $ 172,271