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ACQUISITION OF ENERGYQUEST II ASSETS (Tables)
3 Months Ended
Mar. 31, 2020
ACQUISITION OF ENERGYQUEST II ASSETS  
Schedule of purchase price allocation

 

 

       
Fair Value of Assets Acquired      
Accounts receivable   $ 1,308,748  
Inventory of oil in tanks     438,321  
Oil properties     10,878,429  
         
Total Assets Acquired   $ 12,625,498  
         
Fair Value of Liabilities Assumed        
Accounts payable – trade   $ 1,861,433  
Asset retirement obligations     5,117,939  
         
Total liabilities assumed   $ 6,979,372  
         
Total consideration paid   $ 5,646,126