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Note 10 - Other Debt - CBC (Tables)
3 Months Ended
Dec. 31, 2016
CBC [Member]  
Notes Tables  
Other Liabilities [Table Text Block]
 
 
Interest Rate
 
 
December 30
,
2016
 
 
September 30,
201
6
 
Notes payable secured by settlement receivables with principal and interest outstanding payable until June 2025
   
8.75
%
  $
1,817,000
    $
1,862,000
 
Notes payable secured by settlement receivables with principal and interest outstanding payable until August 2026
   
7.25
%
   
4,138,000
     
4,242,000
 
Notes payable secured by settlement receivables with principal and interest outstanding payable until April 2032
   
7.125
%
   
3,948,000
     
3,987,000
 
Notes payable secured by settlement receivables with principal and interest outstanding payable until February 2037
   
5.39
%
   
18,601,000
     
18,978,000
 
Notes payable secured by settlement receivables with principal and interest outstanding payable until March 2034
   
5.07
%
   
14,193,000
     
14,507,000
 
Notes payable secured by settlement receivables with principal and interest outstanding payable until February 2043
   
4.85
%
   
13,605,000
     
13,705,000
 
Subtotal notes payable
   
 
     
56,302,000
     
57,281,000
 
$25,000,000 revolving line of credit expiring on March 1, 2017
   
4.1
%
   
15,264,000
     
10,154,000
 
Total debt – CBC
   
 
    $
71,566,000
    $
67,435,000