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Basis of Presentation, Restatement of Financials and Accounting Principles (Summary of Effect of Error Correction on All Affected Line Items of Previously Issued Statements of Cash Flows) (Details) - USD ($)
6 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Operating Activities    
Net income (loss) $ (18,562,700) $ 10,804,606
Provision for deferred income taxes (4,711,000) 3,942,000
Cash provided (used) by changes in assets and liabilities:    
Oil, NGL and natural gas sales receivables 1,168,943 715,935
Income taxes receivable (2,072,428) (538,150)
Total adjustments 24,671,042 $ (1,743,552)
As Reported [Member]    
Operating Activities    
Net income (loss) (18,081,056)  
Provision for deferred income taxes (4,664,000)  
Cash provided (used) by changes in assets and liabilities:    
Oil, NGL and natural gas sales receivables 464,299  
Income taxes receivable (1,896,428)  
Total adjustments 24,189,398  
Adjustments [Member]    
Operating Activities    
Net income (loss) (481,644)  
Provision for deferred income taxes (47,000)  
Cash provided (used) by changes in assets and liabilities:    
Oil, NGL and natural gas sales receivables 704,644  
Income taxes receivable (176,000)  
Total adjustments $ 481,644