v3.26.1
Consolidated Statements of Cash Flows (Unaudited) - USD ($)
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
CASH FLOWS FROM OPERATING ACTIVITIES:    
NET INCOME (LOSS) $ 1,417,668 $ 604,880
Adjustments to Reconcile Net Income to Net Cash    
Depreciation and Amortization 8,612,332 9,979,863
Unrealized (Gains) Losses on Investments (3,602) 22,646
Losses on Cost Investments 7,123 0
(Gains) Losses on Sale of Investments 0 (5,834)
Undistributed Earnings of Other Equity Investments (154,323) (151,784)
Noncash Patronage Refund (154,827) (170,173)
Stock Issued in Lieu of Cash Payment 383,153 203,334
Distributions from Equity Investments 380,844 125,453
Stock-based Compensation 92,336 158,520
Changes in Assets and Liabilities:    
Receivables (224,445) (454,651)
Income Taxes Receivable 176,312 (622,268)
Inventories for Resale (561) 1,581
Prepaid Expenses (835,788) (944,777)
Other Assets 5,022 (12,830)
Accounts Payable 723,556 (241,896)
Checks Written in Excess of Cash Balance 170,118 (818,337)
Other Accrued Taxes 1,586 2,741
Other Accrued Liabilities (246,513) 914,641
Deferred Compensation (21,204) (22,037)
Net Cash Provided by Operating Activities 10,328,787 8,569,072
CASH FLOWS FROM INVESTING ACTIVITIES:    
Additions to Property, Plant, and Equipment, Net (12,427,392) (13,408,635)
Materials and Supplies for Construction 696,324 1,934,631
Other, Net (42,000) 90,740
Net Cash Used in Investing Activities (11,773,068) (11,383,264)
CASH FLOWS FROM FINANCING ACTIVITIES: 906,250 (0)
Proceeds From Issuance of Long-Term Debt 20,000,000 0
Loan Origination Fees 35,000 (0)
Changes in Revolving Credit Facility (18,720,498) 141,650
Grants Received for Construction of Plant 1,037,564 1,729,924
Net Cash Provided by Financing Activities 1,375,816 1,871,574
NET CHANGE IN CASH (68,465) (942,618)
CASH at Beginning of Period 349,857 1,886,697
CASH at End of Period 281,392 944,079
Supplemental cash flow information:    
Cash paid for interest $ 5,650,380 $ 5,694,691