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5. Notes Payable (Tables)
12 Months Ended
Dec. 31, 2014
Wet distiller's grains sales  
Schedule of Notes Payable

Aemetis, Inc.            
Debt Disclosure Schedule            
    December 31, 2014     December 31, 2013  
Third Eye Capital term note   $ 7,394     $ 7,193  
Third Eye Capital revolving credit facility     22,330       38,349  
Third Eye Capital revenue participation term note     10,195       9,465  
Third Eye Capital acquisition term note     17,728       17,280  
Cilion shareholder seller note payable     5,373       4,869  
State Bank of India secured term loan     6,032       5,857  
Subordinated notes     5,428       5,317  
EB-5 long term promissory notes     1,534       1,037  
Unsecured working capital loans and short-term notes     1,287       2,391  
Total debt   $ 77,301     $ 91,758  
Less current portion of debt     12,746       17,966  
Total long term debt                         64,555                            73,792  
Maturities of Long-term Debt

Twelve months ended December 31, Debt Repayments  
2015 $ 12,746  
 2016*   62,508  
 2017   2,623  
 2018   500  
Total debt   78,377  
Discounts   (1,076 )
Total debt, net of discounts $ 77,301  

 

*Due to the Company’s ability to extend the maturity of the Third Eye Capital notes by six months from the scheduled maturity of July 2015, the amounts are reflected above as a 2016 maturity.