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Changes in Standardized Measure of Discounted Future Net Cash Flows (Details) - USD ($)
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Standardized Measure, Beginning of Year $ 21,693,023 $ 21,722,214
Sales and Transfers, Net of Production Costs (3,145,463) (11,225,797)
Net Change in Sales and Transfer Prices, Net of Production Costs (17,350,045) (1,082,219)
Extensions, Discoveries and Improved Recoveries, Net of Future Production and Development Costs 745,025 8,713,240
Revisions of Quantity Estimates (226,084) 1,468,704
Accretion of Discount $ 2,921,430 $ 2,914,007
Purchases of Reserves in Place
Net Change in Income Taxes $ 4,836,078 $ 16,002
Net Change in Asset Retirement Obligation 15,800 (90,131)
Changes in Production Rates (Timing) and Other (2,084,258) (742,997)
Standardized Measure, End of Year $ 7,405,506 $ 21,693,023