v3.26.1
Cash Flow Information (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash Flow Information [Abstract]      
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)
Total $ (54,404,542) $ 29,036,548 $ 76,691,589