Annual report pursuant to Section 13 and 15(d)

BALANCE SHEETS

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BALANCE SHEETS - USD ($)
Dec. 31, 2021
Dec. 31, 2020
Current Assets    
Cash and cash equivalents $ 2,408,316 $ 3,578,634
Accounts receivable 24,026,807 14,997,979
Joint interest billing receivable 2,433,811 1,327,262
Derivative receivable   499,906
Prepaid expenses and retainers 938,029 396,109
Total Current Assets 29,806,963 20,799,890
Properties and Equipment    
Oil and natural gas properties, full cost method 883,844,745 836,514,815
Financing lease asset subject to depreciation 1,422,487 858,513
Fixed assets subject to depreciation 2,089,722 1,520,890
Total Properties and Equipment 887,356,954 838,894,218
Accumulated depreciation, depletion and amortization (235,997,307) (200,111,658)
Net Properties and Equipment 651,359,647 638,782,560
Operating lease asset 1,277,253 1,494,399
Deferred financing costs 1,713,466 2,379,348
Total Assets 684,157,329 663,456,197
Current Liabilities    
Accounts payable 46,233,452 32,500,081
Financing lease liability 316,514 295,311
Operating lease liability 290,766 859,017
Derivative liabilities 29,241,588 3,287,328
Notes Payable 586,410  
Total Current Liabilities 76,668,730 36,941,737
Noncurrent Liabilities    
Deferred income taxes 90,292  
Revolving line of credit 290,000,000 313,000,000
Financing lease liability, less current portion 343,727 126,857
Operating lease liability, less current portion 1,138,319 635,382
Derivative liabilities   869,273
Asset retirement obligations 15,292,054 17,117,135
Total Liabilities 383,533,122 368,690,384
Stockholders' Equity    
Preferred stock - $0.001 par value; 50,000,000 shares authorized; no shares issued or outstanding 0 0
Common stock - $0.001 par value; 225,000,000 shares authorized; 100,192,562 shares and 85,868,287 shares issued and outstanding, respectively 100,193 85,568
Additional paid-in capital 553,472,292 550,951,415
Accumulated deficit (252,948,278) (256,271,170)
Total Stockholders' Equity 300,624,207 294,765,813
Total Liabilities and Stockholders' Equity $ 684,157,329 $ 663,456,197