| Cash Flow Information |
Cash Flow Information The following is a schedule of changes in assets and liabilities used to determine cash from operating activities: | | | | | | | | | | | | | | | | | | | | 2025 | | 2024 | | 2023 | | Changes in operating assets and liabilities: | | | | | | | Trade accounts receivable | $ | 486,268 | | | $ | 13,777,097 | | | $ | (30,952) | | | Inventories | (88,122,191) | | | 23,796,968 | | | 60,763,783 | | | Commodity derivative instruments | 8,200,665 | | | (1,427,321) | | | 15,670,560 | | | Prepaid expenses | (165,060) | | | 427,990 | | | (568,725) | | | Accounts payable | (822,513) | | | (3,483,101) | | | 5,217,657 | | | Accrued commodity purchases | 18,919,006 | | | (11,828,038) | | | (4,504,068) | | | Accrued expenses and interest | 3,385,729 | | | (2,095,766) | | | 522,046 | | | Deferred liabilities | 3,713,554 | | | 9,868,719 | | | (378,712) | | | Totals | $ | (54,404,542) | | | $ | 29,036,548 | | | $ | 76,691,589 | |
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