Quarterly report pursuant to Section 13 or 15(d)

Balance Sheets

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Balance Sheets (USD $)
Nov. 30, 2011
Aug. 31, 2011
Current assets:    
Cash and cash equivalents $ 350,092 $ 71,795
Marketable securities 3,852,703 4,588,535
Trade accounts receivable 72,627 98,484
Prepaid expenses 157,545 242,000
Current portion of construction proceeds receivable 64,783 64,783
Total current assets 4,497,750 5,065,597
Investments in water and water systems, net 106,406,747 106,472,051
Sky Ranch land and improvements 3,772,314 3,743,305
Construction proceeds receivable, less current portion 283,955 292,493
Note receivable - related party: Rangeview Metropolitan District, including accrued interest 534,874 531,873
Other assets 16,723 17,333
Total assets 115,512,363 116,122,652
Current liabilities:    
Accounts payable 67,761 69,330
Accrued liabilities 117,377 118,649
Deferred revenues 55,800 55,800
Deferred oil and gas lease payment 414,480 414,480
Total current liabilities 655,418 658,259
Deferred revenues, less current portion 1,320,550 1,334,503
Deferred oil and gas lease payment, less current portion 535,370 638,990
Participating Interests in Export Water Supply 1,211,495 1,212,232
Tap Participation Fee payable to HP A&M, net of $54.8 million and $48.2 million discount, respectively 65,792,310 64,988,329
Total liabilities 69,515,143 68,832,313
SHAREHOLDERS'EQUITY:    
Preferred stock: Series B - par value $.001 per share, 25 million shares authorized; 432,513 shares issued and outstanding (liquidation preference of $432,513) 433 433
Common stock: Par value 1/3 of $.01 per share, 40 million shares authorized; 24,037,596 shares outstanding both periods presented 80,130 80,130
Additional paid-in capital 103,242,795 103,176,607
Accumulated comprehensive loss (475) (2,903)
Accumulated deficit (57,325,663) (55,963,928)
Total shareholders' equity 45,997,220 47,290,339
Total liabilities and shareholders'equity $ 115,512,363 $ 116,122,652