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Consolidated Statements of Stockholders' Equity (USD $)
Redeemable Convertible Series 6.3% Preferred Stock [Member]
Common Stock [Member]
Common Stock [Member]
NTR, Inc [Member]
Common Stock [Member]
Dubose Model Homes USA [Member]
Additional Paid In Capital [Member]
Additional Paid In Capital [Member]
NTR, Inc [Member]
Additional Paid In Capital [Member]
Dubose Model Homes USA [Member]
Dividends In Excess of Accumulated Losses [Member]
Total
NTR, Inc [Member]
Dubose Model Homes USA [Member]
Noncontrolling Interest [Member]
Total [Member]
Total [Member]
NTR, Inc [Member]
Total [Member]
Dubose Model Homes USA [Member]
Beginning balance at Dec. 31, 2011 $ 16 $ 152,881     $ 130,416,731     $ (47,777,886) $ 82,791,742     $ 7,920,638 $ 90,712,380    
Beginning balance (in shares) at Dec. 31, 2011 1,649 15,287,998                          
Net (loss) income               (2,133,474) (2,133,474)     497,712 (1,635,762)    
Conversion of partnership interests to common stock (in shares)   17,060                          
Conversion of partnership interests to common stock   171     143,734       143,905     (143,905) 0    
Common stock repurchased - related parties (in shares)   (17,060)                          
Common stock repurchased - related parties   (171)     (143,734)       (143,905)       (143,905)    
Common stock repurchased (in shares)   (1,955)                          
Common stock repurchased   (20)     (15,640)       (15,660)       (15,660)    
Dividends paid/reinvested (in shares)   319,673                          
Dividends paid/reinvested   3,196     3,032,999     (6,297,986) (3,261,791)       (3,261,791)    
Dividends declared/reinvested ( in shares)   104,124                          
Dividends declared/reinvested   1,040     984,880     (2,128,111) (1,142,191)       (1,142,191)    
Issuance of vested restricted stock (in shares)   57,577                          
Issuance of vested restricted stock   577     484,237       484,814       484,814    
Contributions received from noncontrolling interests net of distributions paid                 (2,403,678)     2,403,678 2,403,678    
Stock issuance costs         (18,895)       (18,895)       (18,895)    
Ending balance at Dec. 31, 2012 16 157,674     134,884,312     (58,337,457) 76,704,545     10,678,123 87,382,668    
Ending balance (in shares) at Dec. 31, 2012 1,649 15,767,417                          
Net (loss) income               (4,089,094) (4,089,094)     1,566,023 (2,523,071)    
Stock issued for acquisition (in shares)     200,000 38,752                      
Stock issued for acquisition     2,000 388   1,898,000 332,881     1,900,000 333,269     1,900,000 333,269
Common stock repurchased (in shares)   (4,882)                          
Common stock repurchased   (48)     (34,124)       (34,172)       (34,172)    
Dividends paid/reinvested (in shares)   313,017                          
Dividends paid/reinvested   3,130     2,951,827     (6,578,318) (3,623,361)       (3,623,361)    
Dividends declared/reinvested ( in shares)   103,332                          
Dividends declared/reinvested   1,033     980,617     (2,222,105) (1,240,455)       (1,240,455)    
Issuance of vested restricted stock (in shares)   56,038                          
Issuance of vested restricted stock   560     481,370       481,930       481,930    
Contributions received from noncontrolling interests net of distributions paid                 (3,563,920)     3,191,275 3,191,275    
Ending balance at Dec. 31, 2013 $ 16 $ 164,737     $ 141,494,883     $ (71,226,974) $ 70,432,662     $ 15,435,421 $ 85,868,083    
Ending balance (in shares) at Dec. 31, 2013 1,649 16,473,674