Quarterly report pursuant to Section 13 or 15(d)

Note 4 - Long-Term Obligations and Operating Lease (Tables)

v2.4.0.6
Note 4 - Long-Term Obligations and Operating Lease (Tables)
6 Months Ended
Feb. 28, 2013
Schedule of Debt [Table Text Block]
   
Export Water Proceeds Received
   
Initial Export Water Proceeds to Pure Cycle
   
Total Potential Third party Obligation
   
Paticipating Interests Liability
   
Contingency
 
Original balances
  $     $ 218,500     $ 31,807,700     $ 11,090,600     $ 20,717,100  
Activity from inception until August 31, 2012:
                                       
Acquisitions
          28,077,500       (28,077,500 )     (9,790,000 )     (18,287,500 )
Option payments - Sky Ranch and The Hills at Sky Ranch
    110,400       (42,300 )     (68,100 )     (23,800 )     (44,300 )
Arapahoe County tap fees *
    533,000       (373,100 )     (159,900 )     (55,800 )     (104,100 )
Export Water sale payments
    111,300       (77,900 )     (33,400 )     (12,100 )     (21,300 )
Balance at August 31, 2012
    754,700       27,802,700       3,468,800       1,208,900       2,259,900  
Fiscal 2013 activity:
                                       
Export Water sale payments
    93,900       (65,700 )     (28,200 )     (9,800 )     (18,400 )
Balance at February 28, 2013
  $ 848,600     $ 27,737,000     $ 3,440,600     $ 1,199,100     $ 2,241,500